Trade Allocations Configuration

Field Description
Client Account ID The account number.
Account Alias Account alias, if there is one.
Currency Primary The currency denomination of the instrument traded.
Asset Class The asset class of the instrument traded.
Symbol The symbol of the instrument traded.
Description The description of the instrument traded.
Conid The conid of the instrument traded.
Security ID The security ID of the instrument traded.
Security ID Type The security ID type of the instrument traded.
CUSIP The CUSIP of the instrument traded.
ISIN The ISIN of the instrument traded.
Issuer The company that issued the contract. For Structured Products only.
Underlying Conid The underlying conid of the contract traded.
Underlying Symbol The underlying symbol of the contract traded.
Multiplier The multiplier of the contract traded.
Strike The strike price of the contract if applicable.
Expiry The expiration of the contract if applicable.
Put/Call Put or call.
Principal Adjustment Factor The IB calculated principal adjustment for Treasury Inflation-Protected Securities (TIPS).
Trade ID The ID of the trade.
Trade Date The transaction date.
Settlement Date The settlement date.
Broker Name The name of the broker.
Broker Account The account number of the broker.
Buy/Sell Buy or sell.
Quantity The number of units in the trade allocation.
Price The transaction price.
Amount Amount of the trade, calculated by multiplying Quantity x Price.
Commission The amount of the commission.
SEC Fees The amount of the SEC fees.
Tax The amount of tax.
Net Amount The net amount of the trade allocation.
Code The code abbreviation.