Daily Trading Details of Foreign and Institutional Investors

Product details

1. Production time:Generated once every 18: 00 (GMT+8)(excluding huge amount) and 20: 00(GMT+8) (including huge amount) on each trading day
2. Data content: Security Code|Foreign Investors include Mainland Area Investors (Foreign Dealers excluded) Total Buy|Foreign Investors include Mainland Area Investors (Foreign Dealers excluded) Total Sell|Foreign Dealers Total Buy|Foreign Dealers Total Sell|(wordexcel)Securities Investment Trust Companies Total Buy|Securities Investment Trust Companies Total Sel|Dealers (Proprietary) Total Buy|Dealers (Proprietary) Total Sell|Dealers (Hedge) Total Buy|Dealers (Hedge) Total Sell|Total Difference
3. Product file: Daily Trading Details of Foreign and Institutional Investors
4. Formats: TEXT, CSV

Description of the content:
The content of the information is foreign land, self-employed (self-employed), self-employed (safe haven), the number of shares purchased for each security, the number of shares sold, and the number of net purchases and sales.

Start Date

2004-10-01

Period

Daily

Unit of subscription

Month

Sample Data

Shipment Method

Use of Information and Price

Production Range

Subscription Date:

Subscription period: / Month

Subtotal

NT$ 0
Add to Cart Add to Wish List