Monthly Trading Details of Foreign and Other Investors
Product details
1.Production time:Generate data files at approximately 19:40 (GMT+8)on each trading day
2.Data content:Trading Date 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 Securities Investment Trust Companies Total Buy Securities Investment Trust Companies Total Sell Dealers (Proprietary) Total Buy Dealers (Proprietary) Total Sell Dealers (Hedge) Total Buy Dealers (Hedge) Total Sell Foreign and Other Investors Total Difference
3.Product file:Monthly Trading Details of Foreign and Other Investors
4.Formats:TEXT、CSV
(1)The three major legal person transactions and super-monthly statements are sorted by stock code
(2)This statistical information includes general, odd-lot, after-hours pricing, Block Trade, excluding auction, bidding
(3) The information is based on the original transaction situation of the day, and is not adjusted by the securities firm to report the wrong account, correct the account number, etc.
(4) The sixth code of the ETF securities code is K, M, S, C, indicating that the ETF is trading in foreign currency.
2.Data content:Trading Date 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 Securities Investment Trust Companies Total Buy Securities Investment Trust Companies Total Sell Dealers (Proprietary) Total Buy Dealers (Proprietary) Total Sell Dealers (Hedge) Total Buy Dealers (Hedge) Total Sell Foreign and Other Investors Total Difference
3.Product file:Monthly Trading Details of Foreign and Other Investors
4.Formats:TEXT、CSV
(1)The three major legal person transactions and super-monthly statements are sorted by stock code
(2)This statistical information includes general, odd-lot, after-hours pricing, Block Trade, excluding auction, bidding
(3) The information is based on the original transaction situation of the day, and is not adjusted by the securities firm to report the wrong account, correct the account number, etc.
(4) The sixth code of the ETF securities code is K, M, S, C, indicating that the ETF is trading in foreign currency.
Start Date
2013-01-04
Period
Monthly
Unit of subscription
Month
Sample Data
Subtotal
NT$ 0