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titleNew Features

Context Information

Relevant information about the client, portfolio, account and MiFID are show in grey areas next to the respective input field.

The portfolio context information will display the current shares on hand with a pop up display when you place your mouse over the icon besides the number. It will also display a warning message for the portfolio if present. A "Sell all" button is also shown which will fill the side to Sell and the quantity to the shares on hand.

The account context information will display the available funds for that account. If you place the mouse over the icon besides the amount display a pop up will appear which displays current balance, overdraft and available funds.

Portfolio input

You can now enter the external reference # of a portfolio and Kodiak OMS will select the customer for you.

Account

The account dropdown is now larger.

Order Reference

You can now insert and Order Reference number to connect Kodiak client orders to orders in other systems.

Trade and Settlement dates

The trade and settlement dates will be displayed along with the number of settlement dates for the chosen orderbook.

 

Description
The Client Order Entry Window allows you to create a client order and send it to a broker (DMA/Manual) or a market (DMA).

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Field
Description
Notes
Order  
B/SBuy or Sell order 
QuantityThe Quantity being bought or sold 
SymbolThe symbol/company Auto complete text box.  Type in the first letters and the system will suggest from available instruments.
Price (ISK)Price - used to specify a limit price for the order. 
Order TypeOrder TypeLimit, Market, LOO (Limit-On-Open), LOC (Limit-On-Close), MOO (Market-On-Open) , MOC (Limit-On-Close), IOOC (Imbalance On-Close), IOOP (Imbalance On-Open Orders) 
Visible

Visible Quantity - Usually called iceberg order. 

The quantity that will be displayed on the market.

 
Display Range-- The dispaly range for a given orderThe display range is used for iceberg orders. The visible market quantity will be a random number not to exceed the display range.
HiddenMakes the order hidden.  This only works for orders with large quantity. 
TIFTime In ForceDay, FOK, IOC, GTC, GTT  
TimeThe good till timeOnly visible if TIF = GTT
Minimum quantityMinimum quantity for the order to be filled 
BrokerThe broker that the order will be sent toDefault for icelandic markets is INET
HandlingHow the broker will handle the order.  

DMA, Manual.

Nordic@Mid-- Specifies whether the order is a Nordic@Mid order.Nordic@Mid orders do not appear in Market Data. They only appear in your Market Orders view.
Advanced Field in the advanced area are default hidden. To display them, click the "Advanced" button in the button panel at the bottom.
Capacity--On whose behalf the order is submitted 
Routing--Order routing strategy provided by the exchange 
Peg Type--Peg Type 
Peg Diff--Peg difference in number of tick steps 
STP Level--The STP Level for this order.See Self Trade Protection (STP)
Trader Group--A 2 character value designating the trader groupSee Self Trade Protection (STP) 
STP Action--What action should be takenSee Self Trade Protection (STP) 
Clearing Firm--Free text field used to specify the give-up firm.  
Clearing Account--Free text field used to specify an account to the clearing house 
Client  
NameName of clientWhen name is entered, OMS will automatically find the clients information and open his portfolio.
PortfolioClients portfolioKODIAK Oms will automatically open a clients portfolio when the client has been added.
Account

Choose clients account, if available.

 
Paid in cashCheck box if the order is paid in cash. 

External

--
Allows for custom input of account 
Commission Cat.--The commission group for this order 
CommissionCommission value 
Commission --TypeWhat type of commission 
Processing Fee--The monetary value of the processing fee 
Trade Date--The trade date 
Settlement Date--The settlement date 
CommunicationThe method of communication in which the order came inChoose between phone, mobile, email, instant messaging programs, in person, general internet or undefined.
CommentAdd an optional client comment. 
Order Reference-- A user specified value which references orders from external systemsThis value can be a maximum of 10 characters. It is sent to the market
Is AdviceCheck box if the order is an advice order. 
Show MiFidClick to show clients MifFid registration. 

Information Fields

 

Field
Description
Notes
SSN--The SSN of the client 
Ref.#--The reference number for the client in the external system 
MiFID--The MiFID category of the client 
Shares on hand-- Shows the number of shares that are available to sellA tooltip will be shown when the mouse is over the box which displays more information about the Shares on Hand.
Available funds--The available funds in the chosen account 
--MiFID test status--The Mifid status for the order 

 


Summary 
When all fields have been filled out, a summary will be calculated for the trade on the right side of the client. 

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