[This message was posted by glen guo of  <[email protected]> to the 
"Foreign Exchange" discussion forum at http://fixprotocol.org/discuss/1. You 
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hi, 

I am using execution report to match FX optional forward deal. 

the value date for FX optional forward deal is the period rather than a single 
day. 

eg. deal for aud/usd, 1m. 

value data start: Mar 01, 2011
value data end: Mar 31, 2011

any business date between start and end could be the value date. 

No lucky to find fix tag for value data start and value data end in execution 
report. 

Anyone can throw some light?

Many thanks.

Cheers, 

Glen

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