# 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 #### TRADE_TYPE - Enumeration | Enumeration ID | Enumeration Description | |------------------|---------------------------| | 1 | Regular trade | #### TRADE_PERIOD - Enumeration | Enumeration ID | Enumeration Description | |------------------|---------------------------| | C | Closing auction | | O | Opening auction | | T | Trading at last price | | - | Regular trading | #### BOOK_TYPE - Enumeration | Enumeration ID | Enumeration Description | |------------------|---------------------------| | 0 | Lit order book | #### MKT_PHASE - Enumeration | 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 |