Egyptian Exchange Enumerations#
The Egyptian Exchange facilitates trading in equities, bonds, securitized mortgage and asset-backed securities of Egyptian companies.
The following fields have Enumerations:
TRADE_TYPE - Type of trade
TRADE_PERIOD - Market period during which a trade was executed.
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
Enumeration ID |
Enumeration Description |
|---|---|
1 |
Regular trade |
Enumeration ID |
Enumeration Description |
|---|---|
C |
Closing auction |
O |
Opening auction |
T |
Trading at last price |
- |
Regular trading |
Enumeration ID |
Enumeration Description |
|---|---|
0 |
Lit order book |
Enumeration ID |
Enumeration Description |
|---|---|
1 |
Pre-open |
2 |
Pre-opening adjustment |
3 |
Trading |
4 |
Adjustment |
5 |
Unavailable |
7 |
End of day |
8 |
Pre-close |
9 |
Pre-closing adjustment |
10 |
Trading at closing price |