TrdType (Tag = 828, Type: int)

Type of Trade.

Valid values:
'0' Regular Trade
'1' Block Trade
'2' EFP (Exchange for physical)
'3' Transfer
'4' Late Trade
'5' T Trade
'6' Weighted Average Price Trade
'7' Bunched Trade
'8' Late Bunched Trade
'9' Prior Reference Price Trade
'10' After Hours Trade
'11' Exchange for Risk (EFR)
'12' Exchange for Swap (EFS )
'13' Exchange of Futures for (in Market) Futures (EFM ) (e,g, full sized for mini)
'14' Exchange of Options for Options (EOO)
'15' Trading at Settlement
'16' All or None
'17' Futures Large Order Execution
'18' Exchange of Futures for Futures (external market) (EFF)
'19' Option Interim Trade
'20' Option Cabinet Trade
'22' Privately Negotiated Trades
'23' Substitution of Futures for Forwards
'24' Error trade
'25' Special cum dividend (CD)
'26' Special ex dividend (XD)
'27' Special cum coupon (CC)
'28' Special ex coupon (XC)
'29' Cash settlement (CS)
'30' Special price (usually net- or all-in price) (SP)
'31' Guaranteed delivery (GD)
'32' Special cum rights (CR)
'33' Special ex rights (XR)
'34' Special cum capital repayments (CP)
'35' Special ex capital repayments (XP)
'36' Special cum bonus (CB)
'37' Special ex bonus (XB)
'38' Block trade (same as large trade)
'39' Worked principal trade (UK-specific)
'40' Block Trades - after market
'41' Name change
'42' Portfolio transfer
'43' Prorogation buy - Euronext Paris only. Is used to defer settlement under French SRD (deferred settlement system) . Trades must be reported as crosses at zero price
'44' Prorogation sell - see prorogation buy
'45' Option exercise
'46' Delta neutral transaction
'47' Financing transaction (includes repo and stock lending)

Used in: