I am planning to use TRADE_DATE field that is FID16 in Real-Time service for stock exchange data.
It is not clear from the documentation what timezone it is.
This is all the info:
The date of the value in the field TRDPRC_1.
Category | Real-Time Trades |
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Closing Run Logic | Does not clear |
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Data Source | Feed |
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DDE Acronym | TRADE DATE |
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Inclusion Source | All |
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Inclusion Type | Core |
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Perm ID | 1001102009 |
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Ripples To | TRADE_DT2 |
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Sub Category | Trade Eligible |
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I am assuming it is a field sent by the stock exchanges so it may be the local trade date of them.
I have only access to exchanges in the GMT+1 timezone that is not very much different from UTC timezone so I am not able to check if that is true for exchanges where the date would be different from the UTC date when the exchange opens (Asia, Australia, etc. )
Does anyone have experience and can confirm this dat is local trade date or UTC date?