in HKFE pdf
"FID 975 will update with the following qualifiers to indicate different trading periods, associated with the trade prices updated in TRDPRC_1 (FID#6):
A - Matched by system, automatically
B-Matched by system, manually
C- Matched outside exchange, different brokers
..
etc.
"
in fact
name="HCEIM9" serviceId="257" serviceName="ELEKTRON_DD" Payload dataType="FieldList" FieldList FieldEntry fid="3871" name="OPN_AUCVOL" dataType="Real" value="105" FieldEntry fid="3868" name="OPN_AUC" dataType="Real" value="10664" FieldEntry fid="14" name="PRCTCK_1" dataType="Enum" value="0" FieldEntry fid="18" name="TRDTIM_1" dataType="Time" value="01:14:00:000:000:000" FieldEntry fid="3900" name="TRADE_ID" dataType="Rmtes" value="7150887739137720321" FieldEntry fid="379" name="SALTIM" dataType="Time" value="01:14:00:000:000:000" FieldEntry fid="11" name="NETCHNG_1" dataType="Real" value="210" FieldEntry fid="4114" name="NETCHNG_2" dataType="Real" value="210" FieldEntry fid="1068" name="CONDCODE_1" dataType="Rmtes" value="0" FieldEntry fid="4756" name="LSTSALCOND" dataType="Rmtes" value="0" FieldEntry fid="56" name="PCTCHNG" dataType="Real" value="2.01" FieldEntry fid="7052" name="ELG_NUMMOV" dataType="Int" value="24937" FieldEntry fid="3428" name="ORDER_SIDE" dataType="Enum" value="2" FieldEntry fid="1069" name="CONDCODE_2" dataType="Rmtes" value="3" FieldEntry fid="975" name="ACT_FLAG1" dataType="Rmtes" value="3"
why???