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: