| MDDL 3.0-beta Glossary Click here to download as ".CSV". Click on items to sort or limit. | |||
| Tag | Type | Classification | Definition |
|---|---|---|---|
| acceptance | container | Container | The range of acceptance (% of outstanding or % of overall) of the offer to deem the event successful. |
| accretion | boolean | Simple | Indicates that instruments increases in value over time - perhaps to maturity. |
| accretionBehavior | decimal | Rate | Indication of behavior of the accretion rate of the life of a debt instrument. |
| accretionType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying type of basic accretion schedule or formula. |
| accrual | container | Container | Container for the parameters of the accrual (start of interest calculation) "Period" indicates start of accrual. |
| accrualBasis | container | Container | The conventions on which accrual calculations are based. |
| accrualBasisType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying method for determining "days in year" and "days in month" of accrual calculation. |
| accrualConventionType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying type of accrual convention (e.g. ISDA, ISMA, AFB) that is relevant to the basis. |
| address | string | Simple | Street/Mailing address of referenced item - multiple address lines (if needed) are sequenced by "rank". THIS ELEMENT UNDER REVIEW FOR EXTENSION. |
| agencyRankings | container | Container | Rankings (generally applied to equity instruments) of quality or financial strength as determined by a rankings agency. |
| agencyRatings | container | Container | Ratings (generally applied to debt instruments) of quality or financial strength as determined by a ratings agency. |
| agent | container | Container | An individual or organization empowered to act for or represent another individual or organization. |
| agentType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the activity or function of the agent. |
| agreedRestrictions | string | Simple | Restrictions agreed in a covenant. Open text providing descriptive details of the restrictions. |
| allowedIndebtedness | string | Simple | Maximum debt load to remain within covenant restrictions. |
| amortization | boolean | Simple | Indicates that repayment is made via regular principal and interest payments over time. Schedule would be in ADDITION to schedules provided with interest and principal repayment items. |
| amortizationBehavior | decimal | Rate | Indication of behavior of the amortization rate of the life of a debt instrument. |
| amortizationType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying type of basic amortization schedule or formula. |
| amountOutstanding | decimal | Amount | Amount of debt or number of shares outstanding. |
| amountOutstandingType | string | Enumeration(view) or (all) | Controlled Vocabulary defining the type of shares/value counted in "amountOutstanding". |
| analytics | container | Container | Container for various analytic values to aid in analysis of instrument. |
| announcementDate | dateTime | DateTime | Date (and maybe time) instrument (was or will be) announced to the public. |
| ask | container | Container | Container to denote data associated with an Ask Quote (aka "Offer"). |
| askBid | <<group>> | <<group>> | |
| auctionDate | dateTime | DateTime | Date (and/or time) of issue auction. |
| background | string | Simple | Descriptive background of security. |
| baseValue | decimal | Quantity | Value added to the component instrument's multiplier modified value in the basic formula (see component). |
| basicIdentifiers | <<group>> | <<group>> | |
| basicPrice | <<group>> | <<group>> | |
| basicQuotes | <<group>> | <<group>> | |
| benchmark | container | Container | Identifies the instrument for use as the benchmark or reference. The identifier used here is the same that would be used in an instrumentIdentifier. |
| benchmarkStrategy | string | Simple | A textual description of the strategy applied to the management of the fund. |
| bid | container | Container | This element is a container to denote data associated with a Bid Quote. |
| blocking | dateTime | Simple | Denotes date/time when blocking is terminated. If a period is used, blocking is the same as period/end. |
| business | <<class>> | <<class>> | Business Class - Entity Domain. Any business for general description - including those that might otherwise be referenced as issuers and/or counterparties. Note that an Issuer as well as a Counterparty are special instance of a Business. The Business Class is used for all general descriptions while the Issuer and Counterparty classes are used for specific cases and describe data related to those cases. The Business Class generally should be used for all entities that would be identified with an International Business Entity Identifier (IBEI). |
| cae | <<domain>> | <<domain>> | Corporate Actions and Events Domain. |
| caeDate | dateTime | Simple | The date/time of the transmission of the cae. |
| caeDates | <<group>> | <<group>> | |
| caeIdentification | <<group>> | <<group>> | |
| caeIdentifier | string | Simple | Publishing entity (source) provided unique identifier for the CAE. |
| caeIssue | <<group>> | <<group>> | |
| caeLifecycleType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the logical flow model for handling the corporate action or event. |
| caeMeeting | <<group>> | <<group>> | |
| caeStatusType | string | Enumeration(view) or (all) | Controlled Vocabulary with valid status codes for the corporate action. |
| caeType | string | Enumeration(view) or (all) | Controlled Vocabulary denoting the type of corporate action or event of reference. Also used within "instrumentData" and "placeOfListing" to identify the LAST RELEVANT CAE that took place on this instrument/market. |
| calculationType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the method used for calculation (e.g. average, cumulative...) of a value. |
| callConditionType | string | Enumeration(view) or (all) | Controlled Vocabulary listing the specific conditions on a call. |
| callable | boolean | Simple | Indicates that the instrument is subject to being redeemed at the demand of the issuer (children identify the parameters of the callable status). |
| callableType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the type of call or call conventions applicable. |
| capitalizationType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying types of instruments used in capitalization determination. |
| capped | decimal | Price | The limit or upper bound on the referenced price or amount. |
| cash | <<domain>> | <<domain>> | Cash Domain. Placeholder for basic tender and monetary instruments. |
| ceaseDate | dateTime | Simple | The date/time when trading, or other activity, ceases. |
| change | decimal | Price | Denotes difference between this valuation and a previous valuation (per changeType). |
| changeDirection | string | Enumeration(view) or (all) | Controlled Vocabulary showing relative direction of last change. |
| changeType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating base value to which "change" is referenced. |
| classificationAmount | <<group>> | <<group>> | |
| classificationDateTime | <<group>> | <<group>> | |
| classificationFee | <<group>> | <<group>> | |
| classificationMeasure | <<group>> | <<group>> | |
| classificationPrice | <<group>> | <<group>> | |
| classificationPriceNovalue | <<group>> | <<group>> | |
| classificationQuantity | <<group>> | <<group>> | |
| classificationRate | <<group>> | <<group>> | |
| classificationRateNovalue | <<group>> | <<group>> | |
| cleanup | decimal | Quantity | Exercisable when less than this quantity or percentage of a debt or debt pool remains. |
| clearingHouse | string | Simple | Central collection facility where participants maintain accounts against which the credits or debits are posted. |
| clearingProcess | string | Simple | Agreed process used for clearing functionality. |
| clearingSettlement | container | Container | Container to hold details of the settlement and clearing components. |
| clearingSystem | string | Simple | Automated system used for clearing functionality. |
| close | decimal | Price | The final price as of market close (augmented by the "closeType"). |
| closeType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating the method by which "close" is calculated (or not). |
| closingDate | dateTime | DateTime | The date on which an item closes or is no longer available. May be augmented by "closingDateType". |
| closingDateType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating the type of "closingDate" (e.g. maturity, expiry). |
| code | string | Enumeration | The shorthand notation for a known item (e.g. country, exchange, instrument) from the appropriate Controlled Vocabulary or "scheme". |
| codeName | <<group>> | <<group>> | |
| codeType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating relative time ordering of this code (i.e. "previous" or "next"). |
| collateral | container | Container | Container for the properties that describe the collateral behind a security. This contains some of the same elements a security would - but generally the values have "weighted average" or similar indication. |
| collateralType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating type of collateral backing this instrument. Subordinate code identifies pool type, etc. of collateral. |
| comment | string | Simple | Free text comment used by provider for clarification, if necessary. |
| commodity | <<domain>> | <<domain>> | Commodity Domain. Description of physical commodities - often used with a derivative like future or option. |
| compensationDate | dateTime | Simple | Date (and/or time) up to which CSD/ICSD will adjust entitlements for cum trades. |
| component | container | Container | A component is a container that identifies (and the relevant valuation of) an instrument used to compute an index and the associated parameters used in that computation. The component value equals the component instruments' value (componentValue) multiplied by the multiplier then added to the baseValue all multiplied by the weighting. "component" value=("componentValue" * "multiplier" + "baseValue") * "weighting". |
| componentIdentifier | container | Container | Identifies (one of) the underlying instrument(s) for this component. See "instrumentIdentifier". |
| componentValue | decimal | Price | The value of the underlying instrument to be used as the component value (as a result of the calculation). See component. |
| compounding | boolean | Simple | Identifies whether item is compounding and (optionally) the "period" over which compounding takes place. |
| compulsory | boolean | Simple | Indicates if the event or item is compulsory (for example when an outstanding offer to purchase shares becomes compulsory when the offeror has compelling ownership). |
| confirmationDate | dateTime | Simple | Date (and/or time) on which confirmation will/must be delivered. |
| contactType | string | Enumeration(view) or (all) | Controlled Vocabularly indicating the type of contact for the individual. i.e. "PR", "marketing", etc. |
| contractValueMultiplier | decimal | Simple | Multiplier for price of individual item to determine value of contract. |
| convertible | boolean | Simple | Signifies that instrument is convertible (children identify under which conditions). |
| convertibleType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating type of conversion applicable to the instrument. |
| corporate | <<subclass>> | <<subclass>> | Corporate Subclass - CorporateEvents Class - CAE Domain. Corporate Type Corporate Event. Any events related to an issuer or other corporation - and not directly to the issue. Note that a Corporate Type Corporate Event may be directly related to one or more Corporate Actions - either because the actions are a result of the event or because an action necessitates a follow-on event. |
| corporateActions | <<class>> | <<class>> | Any corporate action event - initiated by the issuing company, duly authorized agent, market, shareholders, or governmental agency - bringing material change to a stock, issue, or other instrument. |
| corporateChange | <<subclass>> | <<subclass>> | Corporate Change Subclass - Corporate Actions Class - CAE Domain. Corporate Change Type Corporate Action. An action as a result of some change in the issuing corporation(s) such as merger, de-merger, spinoff, takeover (acquisition, tender). |
| corporateEvents | <<class>> | <<class>> | All non "corporate action" events NOT materially effecting change (e.g. announcements of meetings and other events) including events related to the issuer (as compared to corporate actions that affect the issue). There may be a relationship between a Corporate Event and several resultant Corporate Actions. |
| counterparty | <<class>> | <<class>> | Counterparty Class - Entity Domain. Any counterparty to a transaction or other exchange of goods and/or services. This form of Entity should only be used to identify explicit counterparties in an appropriate transaction. Amplifying, or additional, information about the entity may be presented in the Business Class for this entity. |
| country | string | Enumeration(view) or (all) | Controlled Vocabulary specifying the country code. Uses ISO 3166 Alpha 2 by default. |
| covenant | container | Container | Container element outlining the details of the arrangement or deal. |
| creationDate | dateTime | DateTime | Date (and/or time) the item (entity, identifier) was created. |
| creditEnhancement | container | Container | Container holding issue support or other credit enhancement information. |
| creditEnhancementType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the type of credit enhancement provided. |
| crossrate | string | Enumeration(view) or (all) | Identifies currency and current exchange rate (multiplier) to the prevailing currency. |
| currency | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the currency code of the price or amount. By default, the ISO 4217 3-character code. |
| dataChange | <<subclass>> | <<subclass>> | Data Change Subclass - Corporate Actions Class - CAE Domain. Data Change Type Corporate Action. Change of issue-related data NOT directly affecting value or capital (for example, a change in the registrar). |
| dataValueChange | container | Container | The parameters of the data value change. The "dataValueNew" is/was substituted for the "dataValueOld" on "dateTime". |
| dataValueNew | string | Simple | The value of the new data (to be used in place of the Old). |
| dataValueOld | string | Simple | The value of the old data (to be replaced by the New). |
| dateTime | dateTime | Simple | Date (and/or time) of the event or relevant piece of data. |
| dayOfWeek | string | Enumeration(view) or (all) | Controlled Vocabulary specifying one of the seven days of the week. |
| dayRuleType | string | Enumeration(view) or (all) | Controlled Vocabulary governing guidelines on interpretation of date if it falls on a non-business day or other "closed" condition. |
| days | container | Container | Specifies which days are relevant to the parent value. |
| daysInMonth | decimal | Quantity | Count of the number of days in a standard month used in the relevant calculation. |
| daysInYear | decimal | Quantity | Count of the number of days in a standard year used in the relevant calculation. |
| deadlineDate | dateTime | Simple | Date (and/or time) on which something is due - typically an election choice, voting response, or reporting requirement. |
| deadlineType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the type of deadline or the reason for a due date. |
| debtIndicatorsType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying specific debt-related indicators. |
| debtIssueData | container | Container | Container holding information relative to the debt issue. |
| debtPricing | container | Container | Container for pricing information of a debt instrument. |
| declining | container | Container | Declining schedule. |
| defaultClause | string | Simple | The default clause for a covenant when no other clause applies. |
| deferred | boolean | Simple | Signifies that rights to a stock are deferred after those of common and preferred owners. |
| delayFactor | duration | Simple | The period of time used to delay data from this source or market. |
| deliver | container | Container | Container for a exchange/distribution Corporate Action holding the items which must be delivered - either physically or virtually. A single selection implies only one deliverable. |
| delivery | container | Container | Container for the parameters of the delivery. "Period" indicates start/end of delivery times. |
| deliveryType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating the mode of transport or transfer of the security or product. |
| delta | decimal | Simple | Defines the minimum change in the related property. |
| demographic | <<class>> | <<class>> | Demographic Class - Indicator Domain. Demographic (including social) indicator. |
| denomination | decimal | Price | The denomination of the instrument - the possible values of the scrip which are most likely multiples of the face value. |
| depositoryName | string | Simple | The depository to be used over the specified period. |
| depositorySystem | string | Simple | The depository processing system to be used over the specified period. |
| description | string | Simple | A free-text description of the code if necessary. Not intended for automated processing. |
| determination | container | Container | Statement of when a value is determined (as compared to its reset date). For example, although an interest rate may "reset" on the 1st of the month, it's actual value may be determined beforehand (as prescribed by "determination"). |
| determinationSource | string | Simple | The agent or method by which the determination is made. |
| deviation | string | Simple | A description of the deviation permissible on an issue. Not currently used pending validity/applicability. |
| deviationType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating the type of deviation used. |
| diary | container | Container | A journal of the schedules relevant to an issue. |
| distribution | <<subclass>> | <<subclass>> | Distribution Subclass - Corporate Actions Class - CAE Domain. Distribution Type Corporate Action. A distribution - as cash, other benefits, additional issues, or a combination thereof - by the issuer to the holder. Includes all divdend payments (cash, stock, scrip, optional, re-investment). Includes bonus (capitalization) issues and a share split WITHOUT change of par value (as in US). Includes rights and entitlements issues as well as liquidations. |
| distributionType | string | Enumeration(view) or (all) | Controlled Vocabularly indicating the method of distribution of assets. |
| dividend | decimal | Price | The share of profits distributed to a holder usually on a "per share" basis. |
| dividendYield | decimal | Price | Rate of return for an equity instrument. Generally expressed as a percentage or a coefficient of percentage. |
| dividendYieldType | string | Enumeration(view) or (all) | Controlled Vocabulary specifying the type of dividends used to calculate the yield provided. |
| documentURL | uri | Simple | The URL of any relevant documentation. May also include any of a number of other URIs e.g. ftp. |
| domains | <<group>> | <<group>> | |
| duration | duration | Simple | A basic range of time specified in years, months, days, hours, minutes, seconds, or partial seconds. |
| earnings | decimal | Price | Earnings reported with an instrument (typically about the issuer) as reported by the issuer or responsible agent. |
| earningsRef | uri | Simple | Reference to which earnings value was used. |
| earningsType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating method by which "earnings" are calculated. |
| economic | <<class>> | <<class>> | Economic Class - Indicator Domain. Economic (including macroeconomic) indicators. |
| effectiveDate | dateTime | Simple | Date (and/or time) on which benefit/change becomes effective. |
| electionPeriod | container | Container | Denotes a range of time possibly with a fixed "start" and/or "end" time under which an election may be made. Works the same as "period". |
| eligibility | container | Container | The details of eligiblity for related event. |
| end | dateTime | Simple | Denotes the absolute dateTime of the end of a "period". |
| endTime | dateTime | Simple | Denotes the absolute end time. |
| enhancement | string | Simple | The parameters of the enhancement or support provided. |
| entitlementDate | dateTime | Simple | Date (and/or time) on which ownership provides access to the entitlement (benefit). Also known as the "Ex Date". |
| entity | <<domain>> | <<domain>> | Entity Domain. Clarifying information about institutions or organizations (e.g. issuers, counterparties, and general businesses). The "party" element is used to identify entities. |
| entityGroup | <<group>> | <<group>> | |
| entityIdentifier | container | Container | Identifies the entity. |
| entityStatusType | string | Enumeration(view) or (all) | Controlled Vocabulary denoting the current state of the entity (ala ISO 16372 IBEI). |
| entityType | string | Enumeration(view) or (all) | Controlled Vocabulary denoting type of entity (e.g. individual, corporation) described. |
| event | <<element>> | <<element>> | Container to hold a single-time collection of data in a timeseries. Content model contains a "snap" with additional "dateTime" and "eventType" properties including optional "eventDescription". |
| eventDescription | string | Simple | A free-text description of the event (if necessary). Not intended for automated processing. |
| eventElementType | string | Enumeration(view) or (all) | Nomenclature identifying which value is changed by the scheduled event. Should be consistent with the scheduleType. |
| eventType | string | Enumeration(view) or (all) | Controlled Vocabulary elaborating the type of "event" in a timeseries - the action or description for this event. |
| eventValue | string | Price | The new value of the eventElement within a schedule. |
| exercisePrice | decimal | Price | The exercise (strike) price of options, futures, warrants, etc. |
| exerciseRights | container | Container | The rights and timeframe of the holder to exercise issue options. |
| exerciseRightsType | string | Enumeration(view) or (all) | Controlled Vocabulary denoting the specific type of right that could be exercised. |
| extendible | boolean | Simple | Signifies that instrument is extendible (e.g. repayment may be extended or maturity changed) and at what times the extension must be claimed. |
| extendibleDate | dateTime | DateTime | Date (and/or time) when a date may be extended. Multiple periods require a schedule. |
| faceValue | decimal | Price | The face or par value of the instrument to be paid by the issuer at the maturity date. |
| factor | decimal | Price | The percentage of principal outstanding as the debt instrument (mortgage) pays down. |
| fieldName | string | Simple | The name of the field expressed as an XPath. |
| firstAmount | decimal | Price | First amount for this item (e.g. first payment amount for a bond). |
| firstDate | dateTime | DateTime | Date (and/or time) of first occurrence (e.g. when first interest payment is due). |
| firstDealingDate | dateTime | DateTime | Date (and/or time) when instrument was first negotiated. |
| firstEvent | uri | Simple | The first event that takes place within a schedule. |
| firstSettlementDate | dateTime | DateTime | Date (and/or time) when instrument was first settled. |
| foreignExchange | <<domain>> | <<domain>> | Foreign Exchange Domain. Instruments for foreign exchange including actionable conversion rates. May be referenced by a derivative or other related instruments. |
| formula | string | Simple | Textual representation or description of the formula used in calculation. The descriptive fields imply the basic formula "multiplier*benchmark + rateSpread". NOTE: The formula will be revised to permit more complicated calculations (similar to a "when" clause). |
| fraction | none | Quantity | Indicates that the number is actually a fraction. "actualDenominator" gives a clue to the denominator of the value (assume 1). If the value is intended to be displayed with a different denominator, "displayDenominator" provides this clue. "displayNumerator" specifies absolutely the fraction to be displayed. |
| fractionHandlingType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying how fractions should be handled - the level of precision is identified in denominator of the fraction property. |
| fullOffer | boolean | Simple | Indicates if the offer is full (i.e. 100%) or partial (controlling interest). |
| fundStrategyType | string | Enumeration(view) or (all) | Controlled Vocabulary enumerating the guiding strategy of the fund. |
| governingLaw | string | Simple | A reference to the law, laws, or jurisdiction relating to the issue. |
| header | <<element>> | <<element>> | Preamble to MDDL document containing identifying marks of provider and general reference material for this document. |
| high | decimal | Price | The highest valuation over the period specified. |
| holderAction | <<subclass>> | <<subclass>> | Holder Action Subclass - CorporateActions Class - CAE Domain. Holder Action Type Corporate Action. An action that must be performed by a holder - such as an exercise (warrant or otherwise) - unrelated to selecting a choice in a distribution. |
| holdingStatus | container | Container | The range of holdings to participate in the relevant event. |
| hours | container | Container | General operating hours (time) including start/end and/or possibly duration. Similar to period but intended to hold time only for the current day. |
| inclusionType | string | Enumeration(view) or (all) | Controlled Vocabulary specifying inclusion or exclusion. |
| incomeType | string | Enumeration(view) or (all) | Controlled Vocabulary denoting the type of income, if any, generated by this issue. |
| increment | decimal | Price | The value at which a number (e.g. denomination) is incremented. |
| incremental | container | Container | Container for limits of an incremental change to the parent value. |
| index | <<domain>> | <<domain>> | Index Domain. Statistical or calculated composite indicating relative change in a market(s) or collection of instruments. |
| indexBaseDate | dateTime | DateTime | The date at which the "indexBaseValue" was determined. |
| indexBaseValue | decimal | Quantity | Value added to the indexMultiplier modified sum of the components before applying the indexWeighting. See indexValue. |
| indexMethodology | string | Simple | A detailed textual description of the index and the methodology used in determining the components and weighting factors of the index. |
| indexMultiplier | decimal | Simple | Used in calculation of an index per the basic index formula. Multiplied by the sum of the components before the indexBaseValue is added. See indexValue. |
| indexObjective | string | Simple | A short description of the purpose of the index indicating the target audience or interest. |
| indexValue | container | Container | The value of the index at the current time (after index calculation performed). The basic formula is indexValue = [(sum of componentValues) * multiplier + indexBaseValue] * indexWeighting. |
| indexWeighting | decimal | Simple | Used in calculation of an index per the basic index formula. Multiplied by the indexMultiplier modified sum of the components after adding the indexBaseValue. See indexValue. |
| indicator | <<domain>> | <<domain>> | Indicator Domain. For all non-index indicators that are NOT instruments of their own. Items in this domain may be referenced by an exchanged traded indicator. |
| indicatorsType | string | Enumeration(view) or (all) | Controlled Vocabulary containing various indicators about the current value (e.g. estimated, official). |
| industryIdentifier | container | Container | Identifies the industry that this entity (e.g. issuer, issuer) is associated with. |
| industrySpecific | <<class>> | <<class>> | Industry Specific Class - Indicator Domain. Industry Specific indicator and statistics - a generic container for other indicator. |
| instrument | <<domain>> | <<domain>> | Instrument Domain. Generic domain for all instruments and securities. |
| instrumentData | container | Container | Container for basic amplifying information about the instrument. |
| instrumentFormType | string | Enumeration(view) or (all) | Controlled Vocabulary denoting the basic form of the instrument (if purchased). |
| instrumentIdentifier | container | Container | Identifies the instrument for the corresponding market data, calculations, or valuations. It may contain many codes from many schemes with multiple names (including multiple languages). The intent is that enough information be given to uniquely identify the instrument. Note that an instrument may have several identifiers which specify different scope (e.g. market vs. international). Note that in the commodityDomain this identifies the actual physical commodity and NOT an option or future on it. |
| instrumentStatusType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the current status of the instrument with relation to the identifying information (e.g. listed or superseded). |
| instrumentType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating the classification or type of instrument (e.g. ISO 10962 CFI code for Classification of Financial Instruments). |
| interestPayment | container | Container | The interest payment amount - augmented by the type of payments and when they must be made against the interest. Multiple repayments require a schedule. |
| interestPaymentContainer | <<group>> | <<group>> | Sub-container for identifying interest payment components that change due to some conditional clause (usually time). |
| interestPaymentContainer | container | Container | Sub-container for identifying interest payment components that change due to some conditional clause (usually time). |
| interestRate | <<class>> | <<class>> | Interest Rate Class - Indicator Domain. Interest Rate (as an indicator) Information. |
| interestRate | container | Container | Interest Rate Class - Indicator Domain. Interest Rate (as an indicator) Information. |
| interestRateContainer | <<group>> | <<group>> | Sub-container for identifying interest rate components that change due to some conditional clause (usually time). |
| interestRateContainer | container | Container | Sub-container for identifying interest rate components that change due to some conditional clause (usually time). |
| investingRestrictions | string | Simple | Lists those restrictions limiting which instruments can be components. |
| investingStyle | string | Simple | A brief description of the style of investment strategy. |
| investingTechniques | string | Simple | Itemizes and describes techniques used in investment decisions. |
| investorRestrictions | string | Simple | Lists those restrictions on the investor which may participate. |
| issuance | <<subclass>> | <<subclass>> | Issuance Subclass - CorporateActions Class - CAE Domain. Issuance Type Corporate Action. Of or pertaining to the issuance of a new issue and/or listing/delisting. Includes a priority issue but not a rights or entitlement issue (see distribution). |
| issueAmount | decimal | Price | Total original amount for which the issue is published. |
| issueData | container | Container | Container holding information relative to the issue itself (domain agnostic). |
| issueDate | dateTime | DateTime | Date (and/or time) issue was made available to the public. |
| issueFees | decimal | Price | Any fees associated with the issue - may be clarified by issueFeesType. |
| issueFeesType | string | Enumeration(view) or (all) | Controlled Vocabulary specifying the type of fees associated with the issue. |
| issueMarketType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the type of market issue is placed into. |
| issuePrice | decimal | Price | The price at which this instrument was issued. |
| issuer | <<class>> | <<class>> | Issuer Class - Entity Domain. Issuer. The issuer of a security or financial instrument when referenced in context. This form of Entity should only be used when referencing the entity that is an Issuer of the referenced instrument. Amplifying, or additional, information about the entity may be presented in the Business Class for this entity. |
| issuerChoice | boolean | Simple | An indication that the instrument is changeable (e.g. convertible, extendible) at the issuer's discretion. |
| issuerRef | uri | Simple | A reference (into the issuerClass) of the issuer of this instrument. |
| jurisdiction | container | Container | Information about which governing jurisdiction is applicable. |
| jurisdictionType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating the specific type of jurisdiction (e.g. municipality or sovereign). |
| last | decimal | Price | The last (or most recent) valuation. |
| lastAmount | decimal | Price | Last amount for this item (e.g. last payment amount for a bond). |
| lastCAE | container | Container | The most recent relevant (at the discretion of the provider) corporate action or event that took place. This simply identifies the type of CAE and when it took place and does not give the specifics of the event. |
| lastDate | dateTime | DateTime | Date (and/or time) of last occurrence (e.g. last interest payment). |
| lastEvent | uri | Simple | The lasst event that takes place within a schedule. |
| lifetime | container | Container | Container for limits of the lifetime change to the parent value. |
| limited | container | Container | Container for the limited schedule. |
| limits | <<group>> | <<group>> | |
| linked | booleanContainer | BooleanContainer | Indicates if instrument is (performance, valuation, or otherwise) linked to another instrument or not. If so, the instrument to which the item is linked may be provided. If not, there should be no children to this element. If linked but no instrumentIdentifier is provided, look for a peer formula. |
| liquidationStatusType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the current liquidation status. |
| location | container | Container | Information about a physical region (city, state, country). Note that such information about an issue's locale of incorporation actually applies to the issuer. |
| locationData | <<group>> | <<group>> | |
| locationType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the type of location (registration, domicile, physical, etc.). |
| low | decimal | Price | The lowest valuation over the period specified. |
| makeWholeCall | boolean | Simple | An indication that the issuer will make whole the value if a call is exercised. |
| mandatory | boolean | Simple | Required. Not an option. |
| margin | decimal | Price | The offset applied to the base value to give the value actually used. |
| marginable | boolean | Simple | Indicates if the instrument can be traded/exchanged "on margin" (i.e. through temporarily loaned assets). Marginable may be defined by the issuer, the market, or the broker involved (the context defines its use and is specified in "agentType"). |
| marginableLimit | container | Container | The minimum or maximum amount of credit that can be used when trading "on margin". |
| market | <<class>> | <<class>> | Market Class - Entity Domain. Description of a market (exchange) - typically identified by the ISO 10383 Market Identification Code (MIC). Technically, a market is operated by a business or other entity and is not a business itself. Note that one business may run multiple markets and multiple business may cooperate to run a single market (although one is typically recorded as the principal operator or legally responsible entity). |
| marketCapitalization | decimal | Amount | Value of outstanding shares (price * number of shares outstanding). |
| marketCenter | container | Container | The market center or specialist providing the current quote. |
| marketConditions | string | Simple | Conditions of the market relating to time of operations. |
| marketDerivedInfo | container | Container | Container for information derived from the market - dictated based on market of trading. |
| marketIdentifier | container | Container | Identifiers denoting the specific market or markets. |
| marketStats | <<class>> | <<class>> | MarketStats Class - Indicator Domain. Market (i.e. stock exchange) indicators and statistics like movers/losers/gainers. |
| marketStatusType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating the state of the market. |
| marketType | string | Enumeration(view) or (all) | Controlled Vocabulary denoting the basic form of the market (e.g. equity, commodity). |
| markets | <<group>> | <<group>> | |
| maturity | container | Container | Defines the parameters of when an instrument matures and is no longer negotiable or functional. |
| maturityDate | dateTime | DateTime | Date (and/or time) at which an instrument matures or expires. |
| maturityPrice | decimal | Price | The price of the instrument at maturity (or expiry or closing). Note that "closing" is an unfortunate use of terms here. |
| maturityType | string | Enumeration(view) or (all) | Controlled Vocabulary denoting the special conditions on the type of maturity (e.g. extendible, fixed, perpetual) |
| maxVal | decimal | Price | The maximum value a number may take. |
| mddl | <<element>> | <<element>> | The Market Data Definition Language main element. The "version" attribute is required and must match the version of this release. |
| mddlChoice | <<group>> | <<group>> | |
| mddlQuerySource | <<element>> | <<element>> | The verbatim mddlQuery (if any) for which this MDDL document was produced. |
| meeting | <<subclass>> | <<subclass>> | Meeting Subclass - CorporateEvents Class - CAE Domain. Meeting Type Corporate Event. Announcement and information regarding meetings of the corporation and/or shareholders. Includes Annual General Meetings and extraordinary events. |
| meetingDate | dateTime | Simple | Date/time of relevant meeting. |
| meetingType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the type of meeting identified. |
| mid | container | Container | Container for information about the average of the "bid" and "ask" (offer) quotes. |
| midSpread | <<group>> | <<group>> | |
| minVal | decimal | Price | The minimum value a number may take. |
| modification | container | Container | Container detailing when or why a modification to the issue was made. May be related to the last corporate action, a correct, or other event. |
| modificationType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating the type of modification referenced. |
| multiplier | decimal | Rate | General purpose coefficient applied to the parent property's value. |
| municipality | string | Simple | The municipality of the location as identified by the "code" and/or "name". |
| name | string | Simple | The textual proper name of an item (e.g. currency, instrument) and the role (e.g. legal, short) for which that name plays. This may be included in multiple languages. |
| nameFirst | string | Simple | The first or given name for an individual - i.e. "John" in "Mr.John Que Public, Sr.". |
| nameLast | string | Simple | The last or family name for an individual - i.e. "Public" in "Mr.John Que Public, Sr.". |
| nameMiddle | string | Simple | The middle or 2nd given name for an individual - i.e. "Que" in "Mr.John Que Public, Sr.". |
| nameOfPerson | string | Simple | The full name of an individual as in "Mr. John Que Public, Sr.". Name can be broken into components. |
| nameRef | uri | Simple | Used to reference a "name" from within a "code" to clarify which name is identified by the code. |
| nameSalutation | string | Simple | The salutation or greeting for an individual - i.e. "Mr." in "Mr.John Que Public, Sr.". Other values included "Ms.", "Mstr.", "Mrs.", "Dr.", etc. |
| nameSuffix | string | Simple | The suffix for an individual - i.e. "Sr." in "Mr.John Que Public, Sr.". |
| nav | container | Container | Container for all data related to Net Asset Value for a fund. |
| negativePledge | string | Simple | Any negative pledge or constraints on a covenant. |
| nextAmount | decimal | Price | Next amount for this item (e.g. next payment amount for a bond or next call amount). |
| nextDate | dateTime | DateTime | Date (and/or time) of next occurrence (e.g. next interest payment or next call date). |
| nextEvent | uri | Simple | The next event that takes place within a schedule. |
| nextPeriod | container | Container | Denotes a range of time possibly with a fixed "start" and/or "end" time. Specifically, the next such period perhaps from a schedule. |
| nonFixedRate | boolean | Simple | Contains parameters relating to non-fixed rate (e.g. floating rate or stepped) interest bearing instruments. |
| nonFixedRateType | string | Enumeration(view) or (all) | Controlled Vocabulary specifying the type of non fixed-rate (e.g. floating rate) note. |
| notification | container | Container | Identifies parameters about notification to exercise certain rights (e.g. calls or puts). |
| numberHolders | decimal | Quantity | An indication of the number of holders of an asset. |
| objective | string | Simple | A description of the objective of the instrument. |
| objectiveType | string | Enumeration(view) or (all) | Controlled Vocabulary denoting the objective of the fund or benchmark. |
| obligor | string | Simple | A description of the obligor (debtor). |
| offer | container | Container | The details of an offer made by an offeree. This container acts like a "selection" container. |
| offerType | string | Enumeration(view) or (all) | Controlled Vocabulary detailing the type of issue offer. |
| open | decimal | Price | The value at the beginning of trading or opening of the market. |
| openType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating the method used to determine the "open". |
| orderbook | container | Container | Container holding orderbook (full or best bid/ask), market depth, or market maker (exchange) views of current positions of a particular instrument. |
| orderbookType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating the form of the orderbook information provided - orderbook, marketdepth, marketmaker. |
| orders | decimal | Quantity | A count of the number of orders from a particular "marketCenter". |
| ordinalDay | integer | Simple | Permits specification of ordinal day references like "3rd Wednesday of the month". |
| overAllotment | decimal | Amount | The amount (or percentage) for which an instrument can be over allotted (as in Greenshoe option). |
| partial | boolean | Simple | Allocation or distribution is not the full amount possible. |
| partiesInvolved | container | Container | The agents, organizations, or individuals involved in a deal or activity. |
| party | <<group>> | <<group>> | |
| partyStatusType | string | Enumeration(view) or (all) | Controlled Vocabulary denoting the financial or legal status of a particular party. |
| payableInKind | boolean | Simple | The debt or loan must be repaid using the same negotiable entity provided. |
| payment | decimal | Amount | The actual value for a complex payment (such as interestPayment) when a schedule is not warranted. |
| paymentAction | <<subclass>> | <<subclass>> | Payment Subclass - CorporateActions Class - CAE Domain. Payment Type Corporate Action. An interest (coupon) payment or other (non-dividend) payment including amortizing coupons (but not partial or full redemptions - see Redemption Type). |
| paymentDate | dateTime | DateTime | Dates (and times) on which payment is expected (has happened). Multiple dates require a schedule. |
| paymentDelay | container | Container | The date (generally period) of delay expected for (re)payment of funds after due date. |
| paymentDelayType | string | Enumeration(view) or (all) | Type of or reason for paymentDelay - especially for typical expected delays. |
| paymentFrequency | container | Container | The frequency of expected (actual) payment on the indicated instrument. Refer to the payment schedule if appropriate. A single payment at maturity is noted as the end date on the period. |
| payments | <<group>> | <<group>> | |
| peRatio | decimal | Rate | Price/Earnings Ratio calculated by dividing the price of a stock by its earnings per share. |
| peRatioType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating method used to calculate "peRatio". |
| penultimateAmount | decimal | Price | Next to last amount for this item (e.g. next to last payment amount for a bond). |
| penultimateDate | dateTime | DateTime | Date (and/or time) when next-to-last occurrence (e.g. usually the last nominal coupon - the final coupon may be different). |
| period | container | Container | Denotes a range of time possibly with a fixed "start" and/or "end" time. |
| periodType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating how "period" relates to parent. |
| placeOfListing | container | Container | The place of listing of an instrument. Usually augmented by an indicatorsType of "official". |
| placeOfTrade | container | Container | (One of) The place(s) of trading of an instrument as identified by the marketIdentifer(s) (of which their may be multiple). |
| pointOfContact | container | Container | An individual at the organization that can be contacted for information on this topic (entity, market, etc.) |
| portfolio | <<domain>> | <<domain>> | Portfolio Domain. Client portfolios and holdings. Do not use for Collective Investment Vehicles (these are instruments) or any type of fund. |
| postalCode | string | Enumeration | The postal code of the location. |
| precision | decimal | Simple | Defines the granularity (e.g. thousandths would be 0.001) of the related property. |
| previousCode | string | Enumeration | The equivalent code that was used previously. |
| previousDateTime | dateTime | Simple | Date (and maybe time) of the previous value. |
| priceRef | uri | Simple | A reference (internal XPath) to the price used in the calculation. |
| principalProtection | decimal | Price | Amount of principal protection provided at redemption. |
| principalRepayment | container | Container | The principal repayment (redemption) amount - augmented by the type of repayments and when they must be made against the principal. Multiple repayments require a schedule. |
| principalRepaymentContainer | container | Container | Sub-container for identifying principal repayment components that change due to some conditional clause (usually time). |
| principalRepaymentContainer | <<group>> | <<group>> | Sub-container for identifying principal repayment components that change due to some conditional clause (usually time). |
| programSpecific | boolean | Simple | Indication that the information is specific to a particular program. |
| programType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the type of program. |
| proofType | string | Enumeration(view) or (all) | Indication whether proof is sufficient or item must be delivered/exhibited. |
| purchasingMinimums | string | Simple | Minimums necessary to invest in the asset. |
| putConditionType | string | Enumeration(view) or (all) | Controlled Vocabulary listing the specific conditions on a put. |
| putable | boolean | Simple | Indicates that the instrument is subject to being redeemed at the demand of the holder (children identify the parameters of the put status). |
| putableType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the type of put applicable. |
| qualifiedPlans | string | Simple | Textual description of the qualified plans of the fund. |
| quantityDescriptionType | string | Enumeration | Controlled Vocabulary clarifying the values identified by quantityType. Should reference a controlled vocabulary specific to the dominating parent field. |
| quantityType | string | Enumeration(view) or (all) | Controlled Vocabulary specifying the type of quantity specified - cash, worth, items. |
| query | <<element>> | <<element>> | Information about the query (if any) for which this MDDL document was produced. |
| queryReference | string | Simple | The user provided reference identifier (if any) for the query. |
| queryStatusType | string | Enumeration(view) or (all) | The status of the query as determined by the sender (whether the query was processed successful or not, etc.). |
| quotation | container | Container | Container for constraints on quotation size, minimum delta in quote, and precision of quote. |
| rangeType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the type of range (outstanding, overall, held) specified. |
| rank | decimal | Simple | Relative order of precedence. The value of "1" indicates the most significant or first rank. |
| ranking | container | Container | A quality or subjective indication of the value or stability of the ranked entity. |
| rate | decimal | Rate | The actual value for a complex rate (such as interestRate) when a schedule is not warranted. |
| rateChangeType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the type of change in the rate expected at the indicated date. |
| rateMethodChange | container | Container | Indicates when (and how) a rate changes from fixed to non-fixed (or vice-versa). |
| rateSpread | decimal | Rate | The (typically) number of basis points above or below the benchmark value. |
| rating | container | Container | A quality or subjective indication of the value or stability of the rated entity. |
| ratingType | string | Enumeration(view) or (all) | Controlled Vocabulary denoting the basic type (e.g. short or long) of the rating. |
| receive | container | Container | Container for a exchange/distribution Corporate Action holding the items which may be received - either physically or electronically. A single selection implies only one receivable. |
| recordDate | dateTime | Simple | Date (and/or time) on which ownership is determined. |
| recordingDate | dateTime | Simple | Date (and/or time) when something is recorded. |
| recurring | boolean | Simple | The item is recurring based on the frequency defined. |
| redeemable | boolean | Simple | Signifies that instrument is redeemable (children identify under which conditions). |
| redemption | <<subclass>> | <<subclass>> | Redemption Subclass - CorporateActions Class - CAE Domain. Redemption Type Corporate Action. Redemption of a debt or debt-related issue - initiated by issuer or holder. Includes bond redemption, partial redemption, lottery, call, put, etc. A repurchase falls under a Restructure Type Corporate Action. |
| redemption | container | Container | Redemption Subclass - CorporateActions Class - CAE Domain. Redemption Type Corporate Action. Redemption of a debt or debt-related issue - initiated by issuer or holder. Includes bond redemption, partial redemption, lottery, call, put, etc. A repurchase falls under a Restructure Type Corporate Action. |
| redemptionType | string | Enumeration(view) or (all) | Controlled Vocabulary detailing the specific category of redemption. |
| refrainFromActs | string | Simple | Specific prohibited acts regulating a covenant. |
| region | container | Container | The region of the location as identified by "code" and/or "name". |
| registrationDate | dateTime | DateTime | Date (and/or time) the item (entity) was registered in the referenced jurisdiction. |
| registrationStatusType | string | Enumeration(view) or (all) | Controlled Vocabulary detailing the current registration status of the issue. |
| regulationAct | string | Simple | The act(s) or law(s) regulating the instrument. |
| regulatory | container | Container | Container for elements related to regulation of the instrument. |
| regulatoryDate | dateTime | Simple | The date/time of regulatory approval or other action. |
| relatedTo | container | Container | The instrument with some relation or relevance to the current instrument (e.g. convertible to). NOT an underlying instrument. |
| relationshipType | string | Enumeration(view) or (all) | Controlled Vocabulary listing the type of relationship between two instruments (other than underlying). |
| relationshipValid | container | Container | The period for which a relationship is valid. |
| replacementEntity | container | Container | Identifies the replacement entity. |
| replacementType | string | Enumeration(view) or (all) | Controlled Vocabulary listing the reasons an identifier (i.e. entityIdentifier) replaces the referenced identifier. |
| replaces | string | Simple | This valuation supersedes a previous valuation, with this sequence number, in another MDDL document. |
| resetFrequency | container | Container | Specification of when a value is recalculated or "reset" (as with debt interest rates). |
| resetFrequencyType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the governing reset frequency type and the applicability of the period and schedule to this determination. |
| restrictionsExist | boolean | Simple | An indication that restrictions on investment or sale do exist although they may not be listed here. |
| restructure | <<subclass>> | <<subclass>> | Restructure Subclass - CorporateActions Class - CAE Domain. Restructure Type Corporate Action. A restructuring of the capital and/or debt structure involving the exchange of issues/benefits and/or cash for other issues/benefits and/or cash. Includes assimilation (pari-passu, enfranchisement), splits/division (including reverse/consolidation), and schemes of arrangement. Includes capital repayment, buyback (repurchase), and conversion. Includes odd-lot offer. |
| revenues | decimal | Amount | The gross proceeds from delivery or sale. |
| reviewDate | dateTime | DateTime | Date (and/or time) the item (entity) is scheduled to be reviewed. |
| role | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the formal role for which the referenced name is to be used. |
| rulesType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating the type of rules that are applicable. |
| salesRestrictionsType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the restrictions on sales of this instrument. |
| schedule | container | Container | A calendar when specific events will (or did) take place. Note that this is a record of such events and is not to be used for the announcement of such an event (which should be done via a corporate action or event). |
| scheduleEvent | container | Container | An event that takes place within a schedule. |
| scheduleType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the significance of the schedule (should be redundant information given context of schedule element). |
| schemeInfo | <<element>> | <<element>> | Amplifying information for a scheme used as a Controlled Vocabulary. |
| scopeType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating scope of coverage of referenced item. |
| segmentIdentifier | container | Container | Identifiers denoting the subsection of a market (e.g. stratification, group, or subset). May include a reference to the index (or fund) to which this instrument belongs. |
| segmentType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the type of segment (subsegment) within a market to which an instrument belongs. |
| selection | string | Simple | Container for holding a list of selections from which a selection must be made (or identifies the selection if there are no options), the value of which is the identifier or name for the selection. Multiple selections imply an OR between them (i.e. selection "A" [default] OR selection "B" OR selection "C"). One selection is typically marked with an indicatorsType of "default". Multiple selectionItems implies an AND conjunction between items. The selectionAmount is only applicable for cash items. |
| selectionAmount | decimal | Price | Amount (of money or value of items) for the overall selection given as an estimate per unit of the selection. |
| selectionItem | container | Container | A selectionItem is a container that identifies (and the relevant valuation of) an instrument or item that is part of a selection (see "selection") and the associated parameters used in the computation (as with a "component"). "selectionItem" value=("componentValue" * "multiplier" + "baseValue") * "weighting". Typically, "baseValue" will be 0.0 and "multiplier" will be 1.0 thus "weighting" identifies how many of the items identified by "componentIdentifier" are delivered/received for this selection. |
| sequence | string | Simple | An indication from the provider of the relative sequence of this valuation to a previous valuation in another MDDL document. |
| session | decimal | Simple | The trading session of a particular market. |
| sessionStatusType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating the current session status. |
| settlement | decimal | Price | Final price as dictated by the governing rules of the regulating agency (or exchange). |
| settlementDate | dateTime | DateTime | Date (and/or time) of (anticipated) settlement. |
| settlementType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating the form of "settlement". |
| sharesControlled | container | Container | Defines the number of basic items that make up a contract. Complex contracts may require multiple underlying instruments or textual description (comment). |
| sinkComputationAmount | decimal | Price | The value used in the sink computation. |
| sinkable | boolean | Simple | Indicates that the fund is a sinking fund and all parameters surrounding a sinking fund. |
| sinkableComputationType | string | Enumeration(view) or (all) | Controlled Vocabulary detailing the type of sink computation used. |
| sinkableType | string | Enumeration(view) or (all) | Controlled Vocabulary detailing the type of sinking fund. |
| size | nonNegativeDecimal | Quantity | A count of the number of units in a bundle (for example, the number of shares in a trade). |
| snap | <<element>> | <<element>> | Construct to hold the basic products for single-time (at an instant) or end-of-day quotes. |
| snapChoice | <<group>> | <<group>> | |
| snapType | string | Enumeration(view) or (all) | Controlled Vocabulary specifying any action or processing associated with this snap. |
| softCall | decimal | Price | Parameters surrounding a soft call of the option. |
| source | string | Simple | The source of the data provided. Note that the source of the MDDL instance document (in the header) may likely be a different organization that the source of a particular data element (like a broker). |
| specialRedemption | string | Simple | A calendar of special redemption dates (and/or times) and events. |
| sponsor | container | Container | Identifies the sponsoring entity. |
| spread | container | Container | Container for information about spread between the "bid" and "ask" quotes. |
| start | dateTime | Simple | Used to denote the absolute dateTime of the start of a "period". |
| startTime | dateTime | Simple | Denotes the absolute start time. |
| stateOrProvince | container | Container | State or province of a location as identified by "code" and/or "name". |
| statusChange | <<subclass>> | <<subclass>> | Status Change Subclass - CorporateActions Class - CAE Domain. Status Change Type Corporate Action. Change of issue-related data affecting value or capital such as an installment call. See dataChange for items not affecting the issue materially. |
| stripType | string | Enumeration(view) or (all) | Controlled Vocabulary listing the type of strip that is applicable. |
| strippable | boolean | Simple | Indicates that the interest is separable from the principal. |
| subscriptions | container | Container | The minimum number of subscriptions over the indicated period to fulfill the issue. |
| summarizedAmount | <<group>> | <<group>> | |
| summarizedFee | <<group>> | <<group>> | |
| summarizedMeasure | <<group>> | <<group>> | |
| summarizedPrice | <<group>> | <<group>> | |
| summarizedQuantity | <<group>> | <<group>> | |
| summarizedRate | <<group>> | <<group>> | |
| support | decimal | Amount | Magnitude of support provided by the indicated agent. |
| targetMarketType | string | Enumeration(view) or (all) | Controlled Vocabulary illustrating the type of consumer for which this issue is targeted. |
| taxExempt | boolean | Simple | Instrument is tax exempt in the governing jurisdiction(s). |
| taxReasons | boolean | Simple | There are tax reasons that affect the longevity of this instrument. |
| taxType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the type of tax applicable. |
| taxation | container | Container | Container for parameters surrounding taxation of the instrument. |
| telephone | string | Simple | Fully specified telephone number. e.g. +1 202.555.1212 |
| telephoneType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the type of telephone, mobile, or fax number. |
| terms | string | Simple | Textual description of the terms surrounding an instrument parameter. |
| tickDirection | string | Enumeration(view) or (all) | Controlled Vocabulary showing relative direction of last tick. |
| timeseries | <<element>> | <<element>> | Construct to hold multiple similar "event"s differentiated by "dateTime". Typically, the "timeseries" would hold a collection of "snap" constructs that all about the same instrument or related instruments over a fixed time period. |
| timeseriesChoice | <<group>> | <<group>> | |
| timeseriesType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the relationship of the events within a timeseries. |
| timezone | string | Enumeration(view) or (all) | Controlled Vocabulary specifying the primary time zone of relevant activity. |
| trade | container | Container | Container for all data related to a "trade". |
| tradeNav | <<group>> | <<group>> | |
| tradingHaltedType | string | Enumeration(view) or (all) | Controlled Vocabulary detailed why trading on an instrument is halted (when tradingStatusType=halted). |
| tradingRestrictionsType | string | Enumeration(view) or (all) | Controlled Vocabulary detailing prevailing trading restrictions in effect. |
| tradingStatusType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating the current trading status. |
| tranche | string | Enumeration(view) or (all) | Controlled Vocabulary specifying type of portion applicable. Literally "slice". |
| transferAgent | string | Simple | Transfer Agent for this transaction. |
| transferSize | decimal | Quantity | Number of items to be transferred - there may be multiple choices identified by "rank". |
| turnover | decimal | Amount | The total amount of capital exchanging hands. |
| underlying | container | Container | Container for underlying components of an instrument. |
| underlyingCount | decimal | Quantity | Number of underlying items applicable. DOES NOT necessarily count the number of underlying elements included. |
| underwriting | container | Container | Container for the information applicable to underwriting of the issue. |
| underwritingFees | decimal | Amount | Fees associated with underwriting the issue - may be clarified by underwritingFeesType. |
| underwritingFeesType | string | Enumeration(view) or (all) | Controlled Vocabulary specifying the type of fees incurred for underwriting. |
| unitSize | decimal | Quantity | The nominal quantity of financial instruments that must be purchased or exercised. Units defined by "unitType". |
| unitType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating the unit of count (of the size). |
| useOfProceeds | string | Simple | A textual description of the use of the proceeds from the issue. |
| valuationBase | decimal | Price | The actual value used as the basis (rather than a pointer to it). |
| valuationRef | uri | Simple | The reference (internally) to the value used in the calculation of the current value. |
| valuationType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating the type of valuation (e.g. relative, absolute). |
| variousSize | <<group>> | <<group>> | |
| volatility | decimal | Rate | Characteristic of an instrument to rise or fall sharply in price within a short-term period. Also known as 'beta'. |
| volatilityCalculationType | string | Enumeration(view) or (all) | Controlled Vocabulary identifying the type of volatility calculation. |
| volatilityType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating method used to calculate "volatility". |
| volume | container | Container | Number of items traded in the period defined. |
| volumeType | string | Enumeration(view) or (all) | Controlled Vocabulary indicating how "volume" is calculated. |
| votingRightsType | string | Enumeration(view) or (all) | Controlled Vocabulary specifying the voting rights of the holder of the issue. |
| vwap | decimal | Price | Volume Weighted Average Price determined by multiplying each trade by its volume then dividing by the volume for the day. |
| vwop | decimal | Price | Volume Weighted Open Price determined by multiplying each trade by its volume then dividing by the volume over a certain period during the open. |
| website | uri | Simple | The URL of a relevant website. May also include any of a number of other URIs e.g. ftp. |
| weighting | decimal | Rate | Used in calculation of a component of an index per the basic index formula. See "multiplier". |
| yield | decimal | Price | Rate of return. Generally used for debtDomain pricing. |
| yieldType | string | Enumeration(view) or (all) | Controlled Vocabulary specifying the type of yield provided. |









