Used to identify the type of quantity that is being returned.
Valid values:
| 'TQ' | Transaction Quantity |
| 'IAS' | Intra-Spread Qty |
| 'IES' | Inter-Spread Qty |
| 'FIN' | End-of-Day Qty |
| 'SOD' | Start-of-Day Qty |
| 'EX' | Option Exercise Qty |
| 'AS' | Option Assignment |
| 'TX' | Transaction from Exercise |
| 'TA' | Transaction from Assignment |
| 'PIT' | Pit Trade Qty |
| 'TRF' | Transfer Trade Qty |
| 'ETR' | Electronic Trade Qty |
| 'ALC' | Allocation Trade Qty |
| 'PA' | Adjustment Qty |
| 'ASF' | As-of Trade Qty |
| 'DLV' | Delivery Qty |
| 'TOT' | Total Transaction Qty |
| 'XM' | Cross Margin Qty |
| 'SPL' | Integral Split |
Used in: