New version of Saint-Petersburg Exchange trading interface (Foreign securities market) — 2.1.0
The released version of Saint-Petersburg Exchange trading interface transmits a number of new parameters.
Position tables now display data on planned positions by settlement dates. The tables ‘Liabilities and claims for assets’ and ‘Currency: liabilities and claims for assets’ now transmit planned positions in the ‘Planned T+’ column, and the tables ‘Cash positions’ and ‘Current positions for securities’ – in the ‘Planned’ column.
Besides that, the Quotes table acquired parameters ‘Last auction price of previous day’ and ‘Short selling availability’. The ‘Exchange code’ field in the order table and the field ‘Order number on exchange’ in the trades table are filled with unique order identifiers on Saint-Petersburg exchange.