The "Time & Sales" column displays the "Trade Indicator" code on the left side of the column, as seen in the screenshot below:
A normal trade will have no trade Indicators.
Here are the code descriptions of the trade indicators:
US Stocks
Code | Code Description |
---|---|
a | acquisition |
b | bunched trade - average price |
c | cash trade |
d | distribution |
e | automatic execution |
f | intermarket sweep |
g | bunched sold trade - opening/reopening trade detail |
h | intraday trade detail |
i | basket index on close transaction |
j | rule 127 trade |
k | rule 155 trade |
l | sold last |
n | next day |
o | opened |
p | prior reference price |
r | seller |
s | split trade |
t | form t trade - pre/post market trade |
u | extended hours traded - reported late or out of sequence |
w | average price trade |
y | yellow flagged regular trade |
z | sold - out of sequence |
Canadian Stocks
Code | Code Description |
---|---|
b | Delayed Delivery |
c | Contingent Trade |
d | Cash |
e | Non Boardlot |
f | Mandatory Cash |
g | VWAP Trade |
k | Sets the Last Price |
l | Sets the Open Price |
m | Special Terms Trading |
n | Non-Voting shares |
o | Basis Trade |
p | Accrued Interest Stock |
q | MOC Trade |
r | Restricted Voting Shares |
s | Special Trading Session |
t | form t trade - pre/post market trade |
u | Trading in $US. |
v | Subordinate Voting Shares |
x | Internal Cross |
London Stock Exchange Stocks
Code | Code Description |
---|---|
@ | Uncrossing Trade, Contra Trade, or Automatic trade |
u | All other LSE Trade Type Indicators |