German Regional Exchanges (Berlin, Munich, Dusseldorf, Hamburg, Hannover) Enumerations#
These are the regional stock exchanges in major German cities like Berlin, Munich, Dusseldorf, Hamburg, and Hannover, providing trading venues for local companies and securities.
The following fields have Enumerations:
BOOK_TYPE - Type of order book or trading mechanism through which a trade was executed.
MKT_PHASE - Indicates the instrument’s current market phase, as specified by the trading venue
MMT_ALGO_IND - Identifies whether a trade involved an algorithmic order.
MMT_BENCHMARK_IND - Identifies whether a trade was priced according to a defined benchmark (e.g. VWAP) or reference price (e.g. midpoint of the primary market BBO), or whether it was part of a trade in multiple instruments (contingent trade or portfolio trade).
MMT_CROSS_IND - Identifies agency cross trades, where a broker crossed two client orders outside the order book.
MMT_DEFERRAL_TYPE - Type of publication deferral or subsequent enrichment applied to a trade report.
MMT_DIVIDEND_IND - Identifies whether a trade includes special dividend arrangements, e.g. a trade sold cum-dividend during an ex-dividend period.
MMT_DUP_IND - Identifies trades reported to more than one Approved Publication Arrangement.
MMT_MKT_MECH - Market mechanism through which a trade was executed.
MMT_MOD_IND - Identifies trade cancellations, or amendments of a previous trade.
MMT_NEGOTIATED_IND - Indicates privately negotiated trades, or Systematic Internaliser trades exempt from pre-trade transparency.
MMT_OFF_BOOK_AUTO_IND - Identifies whether an off-book trade report was executed via a manual or automated process.
MMT_PRICE_FORMING_IND - Identifies whether a trade is price-forming, or contributes to the price discovery process.
MMT_PUB_MODE - Identifies whether a trade was subject to delayed publication, and the reason for the deferral.
MMT_TRANS_CAT - Identifies various special categories of trade.
MMT_TRD_MODE - Trading period during which an on-book trade was executed, or origin of an off-book trade report (on-exchange / off-exchange / SI).
TRADE_PERIOD - Market period during which a trade was executed.
TRADE_TYPE - Type of trade
Enumeration ID |
Enumeration Description |
|---|---|
‘””’ |
Not applicable |
1 |
Off-book |
9 |
Off-exchange |
Q |
Quote-driven trading |
Enumeration ID |
Enumeration Description |
|---|---|
ACALL |
Auction Call |
CACAL |
Continuous auction call |
IIPO |
Intraday auction call |
SUSP |
Suspended |
VOLA |
Volatility interruption |
Enumeration ID |
Enumeration Description |
|---|---|
- |
Not an algorithmic trade |
H |
Algorithmic trade |
Enumeration ID |
Enumeration Description |
|---|---|
- |
Not applicable |
B |
Benchmark trade |
S |
Reference price trade |
Enumeration ID |
Enumeration Description |
|---|---|
- |
Not a cross trade |
X |
Agency cross trade |
Enumeration ID |
Enumeration Description |
|---|---|
- |
No deferral / unspecified |
Enumeration ID |
Enumeration Description |
|---|---|
- |
Not applicable |
Enumeration ID |
Enumeration Description |
|---|---|
- |
Unique trade report |
Enumeration ID |
Enumeration Description |
|---|---|
- |
Not applicable |
2 |
Quote-Driven Market |
4 |
Off Book |
7 |
Other / Hybrid |
8 |
Hybrid |
9 |
Other |
Enumeration ID |
Enumeration Description |
|---|---|
- |
New trade |
A |
Amended trade |
C |
Trade cancellation |
Enumeration ID |
Enumeration Description |
|---|---|
- |
Not applicable |
1 |
Negotiated trade in liquid instruments |
2 |
Negotiated trade in illiquid instruments |
3 |
Negotiated trade subject to conditions other than the market price |
4 |
Pre-trade transparency waiver for illiquid instrument on an SI |
5 |
Pre-trade transparency waiver for trade larger than Standard Market Size on an SI |
6 |
Pre-trade transparency waivers for trade larger than Standard Market Size on an SI and illiquid instrument on an SI |
N |
Negotiated trade |
Enumeration ID |
Enumeration Description |
|---|---|
- |
Not applicable |
Enumeration ID |
Enumeration Description |
|---|---|
J |
Trade not contributing to the price discovery process |
N |
Price not available but pending |
P |
Plain vanilla (price-forming) trade |
T |
Non-price forming (technical) trade |
Enumeration ID |
Enumeration Description |
|---|---|
- |
Immediate publication |
1 |
Delayed publication / late reported |
2 |
Deferred publication (Large in Scale) |
3 |
Deferred publication (illiquid instrument) |
4 |
Deferred publication (size specific to instrument) |
5 |
Deferred publication (illiquid instrument and size specific to instrument) |
6 |
Deferred publication (illiquid instrument and Large in Scale) |
Enumeration ID |
Enumeration Description |
|---|---|
- |
Not applicable |
Enumeration ID |
Enumeration Description |
|---|---|
- |
Not applicable |
6 |
Trade reporting (off-exchange) |
I |
Intraday auction |
K |
Closing auction |
O |
Opening auction |
U |
Unscheduled auction |
Enumeration ID |
Enumeration Description |
|---|---|
‘””’ |
Not applicable |
A |
Auction |
C |
Closing Auction |
I |
Intraday Auction |
O |
Opening Auction |
U |
Unscheduled Auction |
- |
Regular trading |
Enumeration ID |
Enumeration Description |
|---|---|
‘””’ |
No condition |
100 |
Opening auction |
101 |
Intraday auction |
102 |
Volatility auction |
103 |
Closing auction |
104 |
Cross auction |
107 |
IPO auction |
108 |
Liquidity improvement cross |
109 |
Special auction |
2 |
Opening |
3 |
Regular trading |
5 |
Fixing |
9 |
Closing |
C |
Trading at close |
F |
Off-book |
M |
Price from subscription period |
X |
Regular trade |