SIQ 0.26% $7.77 smartgroup corporation ltd

Breaking out of consolidation, page-23

  1. 10,372 Posts.
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    Column 3 are the 2 trades to which I refer and Column 5 defines the type of cross trade.  Column 4 is obviously the $ value of the trade.


    Column 1
    0 mce-anchorAustralian Condition Codes


    Column 1 Column 2 Column 3
    0 {colgroup}
    1 {col=120x@}{/col}{col=98x@}{/col}{col=350x@}{/col}
    2 {/colgroup}
    3   ITS Code Trade Report Description
    4 Transaction Type    
    5   BB Bulletin Board Trade
    6   BK Buy Back
    7   CE Centre Point Preference Matching
    8   CM Tailor Made Combo 1 Side
    9   CX Centre Point Trade
    10   DR Directed Reporting
    11   EC Exercise of Call
    12   EP Exercise of Put
    13   EQ Equity Combination
    14   GL Non-Scr Traded Govt Instr
    15   LN Loan
    16   LR Loan Return
    17   NORM Normal Trade (CIBOIS)
    18   SM Self-Managed Super Fund (SMSF) Transfer
    19   ST Price Stabilisation
    20   STL1 Price Stabilasation Late Trade - Book Squaring
    21   STL2 Price Stabilasation Late Trade - Hedging Trades
    22   STL3 Price Stabilasation Late Trade - Order Completion
    23   STL4 Price Stabilasation Late Trade - Error Rectification
    24   STL5 Price Stabilasation Late Trade - Put Through
    25   STLT Price Stabilisation Late Trade
    26   TM Tailor Made Combination
    27   VM Volume Match
    28   WH Non-Scr Traded Wholesale Instr
    29 Time or Location    
    30   LT Late Trade - Post 5 pm
    31   L1 Late Trade - Book Squaring
    32   L2 Late Trade - Hedging Trades
    33   L3 Late Trade - Order Completion
    34   L4 Late Trade - Error Rectification
    35   L5 Late Trade - Put Through
    36   LTCT Late Combination Trade
    37   OS Overseas
    38 Delivery    
    39   FD Forward Delivery
    40   OR Overseas Resident
    41 Crossing/Special    
    42   CP Centre Point Priority Crossing
    43   ET Exchange Traded Funds Special
    44   IB Index Replicating Special Crossing
    45   P1 Put-Through Special Crossing ≥ T1
    46   P2 Put-Through Special Crossing ≥ T3 < T2
    47   PT Put-Through Trade Report
    48   S1 Special Crossing ≥ T1
    49   S2 Special Crossing ≥ T2 < T1
    50   S3 Special Crossing ≥ T3 < T2
    51   SA Special Crossing Sale to complete client order
    52   SO Other Special Sale
    53   SP Block Special Trade Report
    54   SPCT Special Combo, Contingent
    55   SX Portfolio Special Crossing
    56   XT Crossed Trade
    57   XTCT Combo Crossing
    58   XTTM Tailor Made Combination Crossing
    59 Short Sale    
    60   SH Short
    61 Chi-X    
    62   BP Booking Purposed Only
    63   LT Done during out of hours
    64   NX Trade at or within spread
    65   PC Done during Post Trading hours
    66   PO Done during Pre Trading hours
    67   PX Principal Transaction
    68   PXDE Principal Transaction (delayed)
    69   SP Block Trade
    70   SX Portfolio Trade
    71   SXDE Portfolio Trade (delayed)
    72 IRESS Generated    
    73   BR Broker Preference
    74   DE Delayed Reporting
    75   HL Chi-X Hidden Liquidity
    76   MC Market on Close
    77   MP Market on Close Private
    78   OC OTC Contingent Equity Trade
    79   SXXT Portfolio Special Crossing
 
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Last
$7.77
Change
-0.020(0.26%)
Mkt cap ! $1.115B
Open High Low Value Volume
$7.79 $7.85 $7.71 $3.843M 494.4K

Buyers (Bids)

No. Vol. Price($)
4 3175 $7.71
 

Sellers (Offers)

Price($) Vol. No.
$7.78 1496 1
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