Trades |
TradesShows price movements (usually trades) and information regarding the trades such as market place, buyer ID and seller ID. To filter a trades list for specific volumes, prices, buyers, sellers, market codes and more; see Filtering ExampleThe Trades tab displays today's trades and includes different columns. Some markets can display trades with millisecond accuracy. Simply widen the time field to see if milliseconds are available. Trade typesThe exchanges use their own codes to indicate what type of trade was executed. Below are some examples from popular exchanges.These are correct as of January 2017, but please be aware that the exchange may change the codes or change their definitions. Contact the exchanges directly for more information.New York Stock Exchange (Tape A), EquitiesIMSW - Intermarket Sweep OrderCASH - Cash Trade (Same Day Clearing)AUTO - Automatic ExecutionIDET - Intraday trade detailCAP - CAP Election tradeLATE - Sold Last (Late Reporting)PREF - Prior reference priceMCOO - Market Center Official OpenSOLD - Sold (out of sequence)MRCT - Market center re-opening tradeMCCT - Market center closing tradeNasdaq New Markets, EquitiesA - AcquisitionB - Bunched TradeC - Cash TradeD - DistributionE - Placeholder for future useF - Intermarket SweepG - Bunched Sold TradesH - Price Variation TradeK - Rule 155 Trade (AMEX)L - Sold LastM - Market Center Close PriceN - Next DayO - OpenedP - Prior Reference PriceQ - Market Center Open PriceR - SellerT - Pre-Open and Post-Close Market TradeU - Extended Trading Hours/Sold out of SequenceV - Stock-Option TradeW - Average Price TradeX - Cross TradeY - Yellow FlagZ - Sold (Out of Sequence)0 - Odd lot execution1 - Stopped Stock- Regular Trade2 - Stopped Stock - Sold Last3 - Stopped Stock - Sold (Out of Sequence)4 - Derivatively Priced5 - Re-opening Prints7 - Placeholder for 611 exempt8 - Placeholder for 611 exempt9 - Placeholder for 611 exemptLondon Stock Exchange, UK EquitiesSPEC - Special Trade (Outside spread)AT - Automatic TradeUT - Uncrossing TradePT - Closing Price Crossing Session TradePC - Orderbook contra not same dayIX - Internal CrossIB - Internal Block Trade FacilityCX - Committed CrossCB - Committed Block Trade FacilityO - Ordinary TradeOK - Ordinary Trade - delayedNT - Negotiated TradeNK - Negotiated Trade - delayedLC - Cancellation of on-Exchange TradeGC - Cancellation of GILT & UKGT segment tradesNM - Not to MarkNC - Cancellation of NM TradeOT - OTC TradeTK - OTC Trade - delayedIF - Inter fund cross - delayedOC - Cancellation of OTC TradeSI - SI TradeSK - SI Trade - delayedSC - Cancellation of SI TradeJohannesburg Stock Exchange, EquitiesBT - Block TradeOX - Option ExercisedPF - Portfolio TradePC - Post Contra Trade (correction of previous day on book trade)TX - Traded Option ExercisedWX - Warrant ExercisedBK - Book BuildCF - Corporate Finance TradeOD - Delta TradeGU - Give UpLC - Post Contra Trade (correction of previous day published off book trade)NC - Post Contra Trade (correction of previous day non-published off book trade)LT - Late Trade (After Hours Trade)OP - Off Order Book Principal TradeNordic Growth MarketsCncl - CancelLast - Sold LastOut - Outside SpreadOutU - Outside Spread UnknownKOBB - Knockout buyback TradeSOBB - Soldout buyback TradeDist - Distribution TradeTrade statisticsThe trade statistics section shows accumulated trade values. If no range is selected, the statistics is calculated from all of today's trades. If you select specific trades in the trades list by highlighting them, the statistics will calculate from the selected trades. The trade statistics includes the following fields:
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