Data Model Discovery can provide venue field lists and field values for standardised enumerated fields. The value of "free" text entry fields, i.e. of the specification RMTES_STRING is exchange specific, i.e, is different from one to another exchange. Information about what possible values may exist can be obtained by contacting our help desk.
I have done that for your and got the following answer:
For the LSTSALCOND (#4756), we are showing the native Trade Type value from Exchange feed directly. This information does not show on HKEx website but matches Exchange Feed Specification as follow.TrdType Description Public Trade Type
TrdType on left column is the in-feed native value supported in LSTSALCOND (#4756);
Public Trade Type is the information adopt for long, we would update it in ACT_FLAG1 (#975) and TRD_IND_1 (#4465).
Clients can also refer to HKEx website (link) for further Trade Type description and elaboration.
Hi Yang Bai, in general the customer zone http://customers.thomsonreuters.com/login/default.aspx?refer=https://customers.ime.reuters.com%2fcompany%2freuters%2f
and then the Helpdesk is the best way to obtain this information.
In order to find the meanings of LSTSALCOND for a particular exchange, other than contacting he Helpdesk, are there any documentations anywhere? For example, what're the codes (0, 1, 2) mean for Equities market data feeds for for London Stock Exchange? If I want to know about Euronext, how should I go about it? Thanks,