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Variable Name

Description

$date

The trade date in YYYY-MM-DD format (e.g. 2011-08-15).

$type

B = Buy, S = Sell, T = Short, C = Cover. See side and intention codes for more information.

$quantity

Number of shares or contracts traded.

$symbolTicker symbol of the instrument being traded.
$multiplierThe multiplier (can be called "contract size" for options and "value multiplier" for futures) used when computing profit and loss.
$spotRateThe conversion rate from the trade currency to the account currency.
$pricePrice of the trade.
$routes

A mapping of route to quantity for this order. To check whether a part of the order was routed to a particular destination you can use isset(). For example, use isset($routes['ARCA']) to checkif some or all of the order was sent to ARCA. Use $routes['ARCA'] to get the actual quantity routed.

$originalCommissionCommission as received from the data source.
$originalExchangeFeeExchange/ECN fee as received from the data source.
$originalSecFeeSEC transaction fee as received from the data source.
$originalTafTrade activity fee as received from the data source.
$originalNsccFee

National Securities Clearing Corporation fee as received from the data source.

$originalMiscellaneousFeeMiscellaneous fee as received from the data source. 
$originalClearingFeeOther clearing fee as received from the data source.
$originalOrfOptions Regulatory Fee as received from the data source. (v1.5.98.19.16 or greater)
$originalAccessFeeExchange access fee as received from the data source. (v1.5.98.19.16 or greater)
$originalNfaFeeNational Futures Association fee as received from the data source. (v1.5.98.19.16 or greater)
$fillCountNumber of regular executions comprising this order (not counting any canceled or non-regular fills).
$monthlyVolumeTotal cumulative quantity traded during the trade date month up to and including the order being processed. Note that currently this lumps together volume across all instrument types.