SPOT API Glossary
Disclaimer: This glossary applies only to the EXMON SPOT API. Definitions may differ for Futures, Options, or other systems.
A
ACK
newOrderRespTypeenum. Response type where only basic fields are returned:symbol,order_id,client_id,created_at.
aggTrade / Aggregate trade
- Aggregation of one or more trades executed at the same price within a short time window.
askPrice
- Lowest price on the
SELLside of the order book.
askQty
- Quantity available at the lowest
SELLprice.
asks
- All sell orders in the order book.
avgPrice
- Volume-weighted average price over a defined interval.
B
baseAsset
- First asset in the pair (e.g. BTC in BTC_USDT). Represents the asset being traded (quantity).
baseAssetPrecision
- Number of decimals allowed for the base asset.
bidPrice
- Highest price on the
BUYside.
bidQty
- Quantity available at the highest
BUYprice.
bids
- All buy orders in the order book.
BUY
- Order side indicating purchase of the base asset.
C
CANCELED
- Order status indicating the order was canceled by the user.
client_id
- User-defined identifier for an order.
commission
- Fee paid for a trade.
commission_asset
- Asset used to pay commission.
cumulative_quote_qty
- Total value of executed trades (
price * qtysummed across fills).
D
Data Source
- Indicates where the data is retrieved from (engine, memory, database).
E
executed_qty
- Total filled quantity of the order.
EXPIRED
- Order status indicating the remaining unfilled quantity was canceled by the system.
F
filters
- Trading rules and limits applied to symbols.
FOK / Fill or Kill
- Order must be fully filled immediately or canceled.
free
- Available balance not locked in orders.
FULL
- Response type including full order details and fills.
G
GTC / Good Till Canceled
- Order remains active until filled or manually canceled.
I
IOC / Immediate or Cancel
- Order fills partially or fully immediately; remaining quantity is canceled.
K
kline
- Candlestick data including open, high, low, close, and volume.
L
lastPrice
- Price of the most recent trade.
lastQty
- Quantity of the most recent trade.
LIMIT
- Order type executed at a specified price or better.
locked
- Balance reserved in open orders.
M
MARKET
- Order type that executes immediately against available liquidity.
Matching Engine
- Core system that processes orders and matches trades.
Memory
- Cached data source for faster API responses.
N
NEW
- Order status indicating it was accepted by the system.
newClientOrderId
- Identifier provided when placing an order.
Notional value
- Total value of the order (
price * qty).
O
Order Book
- List of current bids and asks.
order_id
- Unique identifier of an order.
orig_qty
- Original order quantity.
orig_client_id
- Original client-provided order ID.
P
PARTIALLY_FILLED
- Order status indicating partial execution.
Q
quantity
- Amount of base asset to buy or sell.
quoteAsset
- Second asset in the pair (e.g. USDT in BTC_USDT).
quoteOrderQty
- Amount of quote asset used in reverse MARKET orders.
quote_qty
- Total value of trade (
price * qty).
R
recvWindow
- Time window (ms) during which request is valid.
RESULT
- Response type without fills.
Reverse MARKET order
- MARKET order defined using
quoteOrderQty.
S
SELL
- Order side indicating selling the base asset.
SPOT
- Trading type with immediate settlement.
symbol
- Trading pair (e.g. BTC_USDT).
T
ticker
- Market summary data including price changes.
time
- Timestamp of trade or order.
timeInForce
- Order execution rule (
GTC,IOC,FOK).
TRADING
- Symbol status allowing trading.
transactTime
- Timestamp of order execution/update.
U
updateTime
- Last update timestamp of the order.
W
weightedAveragePrice
- Volume-weighted average price over a time interval.