[This message was posted by Robert Stephenson of F&C Asset Management plc <[email protected]> to the "FIXML_Schema" discussion forum at http://fixprotocol.org/discuss/19. You can reply to it on-line at http://fixprotocol.org/discuss/read/96499a7e - PLEASE DO NOT REPLY BY MAIL.]
We are using FIXML 4.4. fields to represent some x-currency trades - i.e. settlement currency is different to trade currency. We've identified We've identified AllocSettlCurrAmt as the field to use as per the FIXML documentation. However the schema is different - it is SettlCcyAmt. The schema seems to be inconsistent both with the documentation and other fields in the schema: >From the downloaded copy of fixml-allocation-base-4-4.xsd <xs:attribute name="SettlCcyAmt" type="AllocSettlCurrAmt_t" use="optional"/> I would expect it to be: <xs:attribute name="AllocSettlCurrAmt" type="AllocSettlCurrAmt_t" use="optional"/> Any suggestions? [You can unsubscribe from this discussion group by sending a message to mailto:[email protected]] -- You received this message because you are subscribed to the Google Groups "Financial Information eXchange" group. To post to this group, send email to [email protected]. To unsubscribe from this group, send email to [email protected]. For more options, visit this group at http://groups.google.com/group/fix-protocol?hl=en.
