Hi, still a rank amatuer when it comes to buying and selling shares and trying to understand share trade codes.
Can anyone please explain the codes at the end of share trades ? e.g.
2021-11-04T16:51:31.000 GBX 16.76 1186796 198907.0096 Off-Book SINT P ECHO2021-11-04T16:51:31.000 GBX 16.76 1186796 198907.0096 Off-Book SINT P ECEU2021-11-04T16:51:22.000 GBX 16.76 313204 52492.9904 Off-Book SINT P ECHO2021-11-04T16:51:22.000 GBX 16.76 313204 52492.9904 Off-Book SINT P ECEU2021-11-04T16:51:10.000 GBX 16.76 313204 52492.9904 Off-Book SINT P ECHO2021-11-04T16:51:10.000 GBX 16.76 313204 52492.9904 Off-Book SINT P ECEU2021-11-04T16:51:11.000 GBX 16.76 1186796 198907.0096 Off-Book SINT P ECHO2021-11-04T16:51:11.000 GBX 16.76 1186796 198907.0096 Off-Book SINT P ECEU2021-11-04T16:46:38.073 GBX 16.806 1370000 230242.2 Off-Book XOFF TNCP ECHO2021-11-04T16:42:06.087 GBX 16.807 1370000 230255.9 Off-Book AIMX PRIC P AIMX
The first eight trades look to be simultaneous in pairs and the last 2 do have a different time stamp but identical share amounts, so I assume they are connected. Are these some type of direct buy and sell transfer ?
Thanks for any replies.