Jaa


Financial Product in ESG data model

Traits

Traits for this entity are listed here.

is.CDM.entityVersion

ParameterValueData typeExplanation
versionNumber"4.3"stringsemantic version number of the entity

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enBase entity from which all ESG Data Model entities are derived.
enA financial product, service or instrument that is available to a stock market.
entitya reference to the constant entity holding the list of localized text

is.identifiedBy
names a specific identity attribute to use with an entity

ParameterValueData typeExplanation
attributeFinancialProduct/(resolvedAttributes)/FinancialProductIdattribute

minimumObjectModelVersion
Minimum version of the object model required to fully understand the data schema used.

ParameterValueData typeExplanation
versionNumber"1.2.3"string

is.IDM.modelVersion
Semantic version number of the IDM.

ParameterValueData typeExplanation
versionNumber"2.0.0"string

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{0CFE445F-B128-490B-BCA9-75EC4C410BFA}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nativeTo.businessArea
The name of the business area from which the entity originates.

ParameterValueData typeExplanation
name"Financial Product"string

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enFinancial Product
entitya reference to the constant entity holding the list of localized text

has.entitySchemaAbstractionLevel
A level of abstraction assigned to an Entity schema. Logical schema descriptions use complex dataTypes, inheritance, and entities as attributes. Resolved descriptions contain none of those things, only final trait and attribute sets are shown. A composition schema manipulates, guides, or restates parts of logical schemas to produce one resolved schema.

ParameterValueData typeExplanation
level"resolved"stringPossible values: logical, composition, resolved

Attributes

Name Description First Included in Instance
FinancialProductId The unique identifier of a Financial Product. Sustainability/esg-data-model/FinancialProduct
FinancialProductName The name of the Financial Product, which normally corresponds to the 'marketing name' of the Financial Product. Sustainability/esg-data-model/FinancialProduct
FinancialProductDescription The description of the Financial Product. Sustainability/esg-data-model/FinancialProduct
IssuerId The unique identifier of an Issuer. Sustainability/esg-data-model/FinancialProduct
PurchaseRequirementsStatement A statement describing the requirements associated with purchasing the Financial Product. Sustainability/esg-data-model/FinancialProduct
InvestmentObjectiveStatement A statement describing the investment objectives that the Financial Product addresses or intends to address. Sustainability/esg-data-model/FinancialProduct
DeliveryInstructionsStatement The delivery instructions associated with the security. Sustainability/esg-data-model/FinancialProduct
SalesPolicyStatement The statement regarding the sales policy of the commercial paper. Sustainability/esg-data-model/FinancialProduct
SettlementTermsStatement The terms of the physical delivery of the underlying financial product or cash. Sustainability/esg-data-model/FinancialProduct
MinimumInvestmentAmount The minimum investment amount to purchase the financial product. Sustainability/esg-data-model/FinancialProduct
MinimumInitialInvestmentAmount The minimum amount that may be initially invested in the Financial Product. Sustainability/esg-data-model/FinancialProduct
MinimummoreInvestmentAmount The minimum more or subsequent investment amount to purchase the associated financial product. Sustainability/esg-data-model/FinancialProduct
MaximumPurchaseAmount The maximum purchase amount that may be purchased. Sustainability/esg-data-model/FinancialProduct
NormalTradingUnit The standard minimum size of trading a unit of the associated type of security.Stocks have a normal trading unit normally of 100 shares.Some inactive stocks may have a normal trading unit of as low as 10 shares.Any security trading for less than a round lot is called an odd lot trade. Sustainability/esg-data-model/FinancialProduct
IssuingDenomination The face value or 'denominated amount' of the commercial paper offered.Commercial paper is usually issued with denominations of $100,000 or more. Therefore, smaller investors can only invest in commercial paper indirectly through money market funds. Sustainability/esg-data-model/FinancialProduct
TradingUnit The trading unit associated with the Financial Product.Ex:- share- bond- dollar/currency- oz/gold future contract Sustainability/esg-data-model/FinancialProduct
ParValueAmount Equal to the Nominal or face value of a security. Sustainability/esg-data-model/FinancialProduct
CusipNumber The CUSIP Number is issued by the Cusip Service Bureau. It's the number used by the brokerage industry to distinguish between the tens of thousands of public companies whose shares trade in the United States. Sustainability/esg-data-model/FinancialProduct
IsoCurrencyCode The ISO 4217 currency code. Sustainability/esg-data-model/FinancialProduct
FinancialProductTypeId The unique identifier of a Financial Product Type. Sustainability/esg-data-model/FinancialProduct
RegisteredDate The date that the financial product was registered for sale. Sustainability/esg-data-model/FinancialProduct
FirstPublicTradedDate The first date that the Financial Product is publicly traded. Sustainability/esg-data-model/FinancialProduct
LastTradingDate The final day under an exchange's rules during which Trading may take Place in a particular futures or options contract. Sustainability/esg-data-model/FinancialProduct
IssueMethodId The unique identifier of an Issue Method. Sustainability/esg-data-model/FinancialProduct
DematerializedSecurityIndicator A financial product that is represented only in electronic form. Purchases are only effected via book entry. Sustainability/esg-data-model/FinancialProduct
RegisteredSecurityIndicator A security in which the issuer or registrar acting on behalf of the issuer maintains a record of owners of the security.This usually requires that the seller's name of the security is replaced by the buyers name on the register. Sustainability/esg-data-model/FinancialProduct
BookEntrySecurityIndicator A security that is not represented by a certificate.For example, some purchases and sales of municipal bonds are simply recorded to a customer account and no certificate changes hands. It reduces paperwork. Sustainability/esg-data-model/FinancialProduct
RematerializedSecurityIndicator Indicates security holdings that were previously in electronic form but have been replaced by certificate form. Sustainability/esg-data-model/FinancialProduct
ConvertibleFinancialProductIndicator A corporate security, typically preferred shares or bonds, that can be exchanged for a set number of another form of financial product at a pre-defined price.A convertible feature is an added incentive to enhance the marketability of the financial product.For investors, convertibles normally combine higher income potential than from common stock plus greater appreciation than from bonds. Sustainability/esg-data-model/FinancialProduct
ListedSecurityIndicator Indicates that the stock or bond has been accepted for trading by one of the registered securities exchanges in the US.The advantages of being listed are:(1) Orderly market(2) Liquidity(3) Fair price determinations(4) Accurate and continuous reporting on sales and quotations(5) Information on listed companies(6) Strict regulations Sustainability/esg-data-model/FinancialProduct
UnlistedSecurityIndicator A security that is not listed on any exchange. Sustainability/esg-data-model/FinancialProduct
BearerSecurityIndicator A security in which the issuer has no ability to record the owner of the security and where proof of ownership is the physical possession of the security certificate. Sustainability/esg-data-model/FinancialProduct
NotRatedFinancialProductIndicator Indicates that rating services and mercantile agencies have not rated the associated security, company or financial product.The abbreviation NR is used for Not Rated Financial Products. Sustainability/esg-data-model/FinancialProduct
MarginableSecurityIndicator Indicates that the associated financial product is marginable.Not all securities may be purchased on margin. Sustainability/esg-data-model/FinancialProduct
DerivativeFinancialProductIndicator Financial instrument whose price is based on an underlying security--for example, an option's value can be derived either from its underlying stock, stock index, or future (dependent upon the type of option). Sustainability/esg-data-model/FinancialProduct
ExemptSecurityIndicator Securities that aren't subject to the registration requirements of the Securities Act of 1933. Exempt securities also include securities that do not have to follow certain provisions of the Securities Exchange Act of 1934 in terms of margin, registration of dealers who make a market in them, and certain reporting requirements. Examples of exempt securities are municipal bonds, governments and bank securities. Sustainability/esg-data-model/FinancialProduct
InactiveFinancialProductIndicator Security that trades infrequently and has such a low volume that it makes the security illiquid. Sustainability/esg-data-model/FinancialProduct
DualListedFinancialProductIndicator A security that is registered for trading on more than one exchange. Sustainability/esg-data-model/FinancialProduct
WithWarrantsFinancialProductIndicator A security that trades with warrants as apart of the issue. The abbreviation "WW" is used in newspaper stock listings. Sustainability/esg-data-model/FinancialProduct
IntraStateFinancialProductOfferingIndicator A new securities' issue that will only be sold to investors in one state and who are residents of that state. An intra-state offering is exempt from filing provisions of the Securities Exchange Act of 1933 under Rule 147. Sustainability/esg-data-model/FinancialProduct
LetterSecurityIndicator A security that is not registered with the SEC and thus, cannot be sold in the marketplace.The issues are sold under an investment letter in which the purchaser states the purchase is for investment purposes and not for resale. The certificates have a restrictive legend that indicates they aren't registered. Because the investment letter is essential to the security's issuance, this type of security is called either "letter security", "letter stock", or "letter bond". Sustainability/esg-data-model/FinancialProduct
MarginableFinancialProductIndicator A security that may be bought or sold in a margin account. Regulation T of the Federal Reserve Board determines which securities are eligible. Sustainability/esg-data-model/FinancialProduct
AgencySecurityIndicator A security, usually a bond, issued by a U.S. government agency. Agency securities are exempt from state and local taxes. also called U.S. Government Agency Security. Sustainability/esg-data-model/FinancialProduct
IslamicFinanceComplianceIndicator Indicates whether the financial product is compliant with Islamic finance. Sustainability/esg-data-model/FinancialProduct
ConvertibleSecurityIndicator A security that can be converted into common stock at the option of the security holder, including convertible bonds and convertible preferred stock. Sustainability/esg-data-model/FinancialProduct
DualListingIndicator A security that is listed on more than one exchange--either the New York Stock Exchange and a regional exchange or the American Stock Exchange and a regional exchange. However, a security may not be listed on both the New York and American stock exchanges. Being dual listed increases the liquidity of a security. Sustainability/esg-data-model/FinancialProduct
ExemptFromFederalTaxesIndicator Indicates whether the financial product is exempt from federal taxes.Note that tax-free investments result in earnings that are tax-free. However, capital gains from buying and selling individual securities aren't tax-free. morely, capital gains earned and distributed by tax-free funds are subject to federal, state and local taxes.The income from some municipal bonds are subject to the federal alternate minimum tax (AMT), which is a tax that applies to certain high-income individuals. Sustainability/esg-data-model/FinancialProduct
ExemptFromStateTaxesIndicator Indicates whether the financial product is exempt from state taxes. Sustainability/esg-data-model/FinancialProduct
ExemptFromLocalTaxesIndicator Indicates whether the financial product is exempt from local taxes. Sustainability/esg-data-model/FinancialProduct
FinancialProductCategoryId The unique identifier of a Financial Product Category. Sustainability/esg-data-model/FinancialProduct
FungibleSecurityIndicator Indicates whether ownership of securities that are interchangeable with each other and in which no specific certificates are assigned to any one of the owners ('co-mingled securities). The record of ownership is held electronically. Sustainability/esg-data-model/FinancialProduct
IpoIndicator A corporation's first offering of stock to the general public.IPO's are the primary opportunity for existing investors and venture capitalists to make large profits. Their shares will be given a market value reflecting the fair market value of the company, while they have shares obtained at much lower evaluations.A company's first sale of stock to the public. Securities offered in an IPO are often, but not always, those of young, small companies seeking outside equity capital and a public market for their stock. Investors purchasing stock in IPOs generally must be prepared to accept very large risks for the possibility of large gains. IPO's by investment companies (closed end funds) usually contain underwriting fees which represent a load to buyers. Sustainability/esg-data-model/FinancialProduct
NonFungibleCertificateIndicator Indicates ownership that is assigned to specific owners rather than a pool of owners. Sustainability/esg-data-model/FinancialProduct
OfferingDate The date on which the stock will first be available for sale to the public. Sustainability/esg-data-model/FinancialProduct
PrimaryValueDate The earliest date that settlement can occur on a new issue or securities.This is also known as the 'Deferred Delivery Date'. Sustainability/esg-data-model/FinancialProduct
SubjectToAmtIndicator The income from some municipal bonds are subject to the federal alternate minimum tax (AMT), which is a tax that applies to certain high-income individuals. Sustainability/esg-data-model/FinancialProduct

FinancialProductId

The unique identifier of a Financial Product. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameFinancial Product ID
descriptionThe unique identifier of a Financial Product.
isPrimaryKeytrue
dataFormatint64

Traits

List of traits for the FinancialProductId attribute are listed here.

is.dataFormat.integer
is.dataFormat.big
indicates an atomic but multi-unit version of a fundamental type such as a multi byte encoded character, a double precision float, a long integer.

is.identifiedBy
names a specific identity attribute to use with an entity

ParameterValueData typeExplanation
attributeFinancialProduct/(resolvedAttributes)/FinancialProductIdattribute

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{688CDD4C-3B05-4EB9-8E4E-1331915A8DDD}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enFinancial Product ID
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe unique identifier of a Financial Product.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.integer
is.dataFormat.big
indicates an atomic but multi-unit version of a fundamental type such as a multi byte encoded character, a double precision float, a long integer.

FinancialProductName

The name of the Financial Product, which normally corresponds to the 'marketing name' of the Financial Product. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameFinancial Product Name
descriptionThe name of the Financial Product, which normally corresponds to the 'marketing name' of the Financial Product.
dataFormatstring
maximumLength256
isNullabletrue

Traits

List of traits for the FinancialProductName attribute are listed here.

is.dataFormat.character
is.dataFormat.big
indicates an atomic but multi-unit version of a fundamental type such as a multi byte encoded character, a double precision float, a long integer.

is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{19666504-7A64-46DD-ABC4-FED2468B96C0}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enFinancial Product Name
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe name of the Financial Product, which normally corresponds to the 'marketing name' of the Financial Product.
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
maximumLength"256"integer

is.dataFormat.character
is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

FinancialProductDescription

The description of the Financial Product. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameFinancial Product Description
descriptionThe description of the Financial Product.
dataFormatstring
maximumLength2048
isNullabletrue

Traits

List of traits for the FinancialProductDescription attribute are listed here.

is.dataFormat.character
is.dataFormat.big
indicates an atomic but multi-unit version of a fundamental type such as a multi byte encoded character, a double precision float, a long integer.

is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{2A5DE1C5-E93C-47CA-BC1C-CAA779FEC4A5}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enFinancial Product Description
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe description of the Financial Product.
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
maximumLength"2048"integer

is.dataFormat.character
is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

IssuerId

The unique identifier of an Issuer. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameIssuer ID
descriptionThe unique identifier of an Issuer.
dataFormatint32
isNullabletrue

Traits

List of traits for the IssuerId attribute are listed here.

is.dataFormat.integer
is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIssuer ID
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe unique identifier of an Issuer.
entitya reference to the constant entity holding the list of localized text

is.linkedEntity.identifier
Marks the attributes that hold foreign key references to a linked (used as an attribute) entity. This attribute is added to the resolved entity to enumerate the referenced entities.

ParameterValueData typeExplanation
entityReferences
entityReferenceattributeReference
Issuer.cdm.json/IssuerIssuerId
entitya reference to the constant entity holding the list of entity references

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{93176BD6-A7E8-41C3-9D1F-BE4B00331106}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.dataFormat.integer

PurchaseRequirementsStatement

A statement describing the requirements associated with purchasing the Financial Product. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNamePurchase Requirements Statement
descriptionA statement describing the requirements associated with purchasing the Financial Product.
dataFormatstring
maximumLength2048
isNullabletrue

Traits

List of traits for the PurchaseRequirementsStatement attribute are listed here.

is.dataFormat.character
is.dataFormat.big
indicates an atomic but multi-unit version of a fundamental type such as a multi byte encoded character, a double precision float, a long integer.

is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{75DBFAF9-6563-4F96-935C-89E5576E6C24}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enPurchase Requirements Statement
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA statement describing the requirements associated with purchasing the Financial Product.
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
maximumLength"2048"integer

is.dataFormat.character
is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

InvestmentObjectiveStatement

A statement describing the investment objectives that the Financial Product addresses or intends to address. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameInvestment Objective Statement
descriptionA statement describing the investment objectives that the Financial Product addresses or intends to address.
dataFormatstring
maximumLength2048
isNullabletrue

Traits

List of traits for the InvestmentObjectiveStatement attribute are listed here.

is.dataFormat.character
is.dataFormat.big
indicates an atomic but multi-unit version of a fundamental type such as a multi byte encoded character, a double precision float, a long integer.

is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{7B5FAFB3-5E84-4B46-8EE2-7D582BBB624D}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enInvestment Objective Statement
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA statement describing the investment objectives that the Financial Product addresses or intends to address.
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
maximumLength"2048"integer

is.dataFormat.character
is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

DeliveryInstructionsStatement

The delivery instructions associated with the security. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameDelivery Instructions Statement
descriptionThe delivery instructions associated with the security.
dataFormatstring
maximumLength2048
isNullabletrue

Traits

List of traits for the DeliveryInstructionsStatement attribute are listed here.

is.dataFormat.character
is.dataFormat.big
indicates an atomic but multi-unit version of a fundamental type such as a multi byte encoded character, a double precision float, a long integer.

is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{3A38BDD5-ABDF-4663-99C2-0EC502C8073D}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enDelivery Instructions Statement
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe delivery instructions associated with the security.
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
maximumLength"2048"integer

is.dataFormat.character
is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

SalesPolicyStatement

The statement regarding the sales policy of the commercial paper. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameSales Policy Statement
descriptionThe statement regarding the sales policy of the commercial paper.
dataFormatstring
maximumLength2048
isNullabletrue

Traits

List of traits for the SalesPolicyStatement attribute are listed here.

is.dataFormat.character
is.dataFormat.big
indicates an atomic but multi-unit version of a fundamental type such as a multi byte encoded character, a double precision float, a long integer.

is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{0F2063F6-B94B-4506-B189-418D157B21A9}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enSales Policy Statement
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe statement regarding the sales policy of the commercial paper.
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
maximumLength"2048"integer

is.dataFormat.character
is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

SettlementTermsStatement

The terms of the physical delivery of the underlying financial product or cash. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameSettlement Terms Statement
descriptionThe terms of the physical delivery of the underlying financial product or cash.
dataFormatstring
maximumLength2048
isNullabletrue

Traits

List of traits for the SettlementTermsStatement attribute are listed here.

is.dataFormat.character
is.dataFormat.big
indicates an atomic but multi-unit version of a fundamental type such as a multi byte encoded character, a double precision float, a long integer.

is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{4DB7A0A0-464B-46DE-9F79-7966E1F32BAF}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enSettlement Terms Statement
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe terms of the physical delivery of the underlying financial product or cash.
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
maximumLength"2048"integer

is.dataFormat.character
is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

MinimumInvestmentAmount

The minimum investment amount to purchase the financial product. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameMinimum Investment Amount
descriptionThe minimum investment amount to purchase the financial product.
dataFormatdecimal
isNullabletrue

Traits

List of traits for the MinimumInvestmentAmount attribute are listed here.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"18"integerthe total number of significant digits
scale"2"integerthe number of digits to the right of the decimal place

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{3620F912-F416-46F1-8891-30383AF914F5}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enMinimum Investment Amount
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe minimum investment amount to purchase the financial product.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

MinimumInitialInvestmentAmount

The minimum amount that may be initially invested in the Financial Product. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameMinimum Initial Investment Amount
descriptionThe minimum amount that may be initially invested in the Financial Product.
dataFormatdecimal
isNullabletrue

Traits

List of traits for the MinimumInitialInvestmentAmount attribute are listed here.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"18"integerthe total number of significant digits
scale"2"integerthe number of digits to the right of the decimal place

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{2474A185-C5AC-4F04-8485-3868E649A4A7}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enMinimum Initial Investment Amount
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe minimum amount that may be initially invested in the Financial Product.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

MinimummoreInvestmentAmount

The minimum more or subsequent investment amount to purchase the associated financial product. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameMinimum more Investment Amount
descriptionThe minimum more or subsequent investment amount to purchase the associated financial product.
dataFormatdecimal
isNullabletrue

Traits

List of traits for the MinimummoreInvestmentAmount attribute are listed here.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"18"integerthe total number of significant digits
scale"2"integerthe number of digits to the right of the decimal place

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{1B46EDD2-286F-4EFF-8076-138530458E20}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enMinimum more Investment Amount
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe minimum more or subsequent investment amount to purchase the associated financial product.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

MaximumPurchaseAmount

The maximum purchase amount that may be purchased. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameMaximum Purchase Amount
descriptionThe maximum purchase amount that may be purchased.
dataFormatdecimal
isNullabletrue

Traits

List of traits for the MaximumPurchaseAmount attribute are listed here.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"18"integerthe total number of significant digits
scale"2"integerthe number of digits to the right of the decimal place

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{28401219-61EF-4945-BC6A-B6BB30F0E66A}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enMaximum Purchase Amount
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe maximum purchase amount that may be purchased.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

NormalTradingUnit

The standard minimum size of trading a unit of the associated type of security.

Stocks have a normal trading unit normally of 100 shares. Some inactive stocks may have a normal trading unit of as low as 10 shares. Any security trading for less than a round lot is called an odd lot trade. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameNormal Trading Unit
descriptionThe standard minimum size of trading a unit of the associated type of security.

Stocks have a normal trading unit normally of 100 shares. Some inactive stocks may have a normal trading unit of as low as 10 shares. Any security trading for less than a round lot is called an odd lot trade.

dataFormatint32
isNullabletrue

Traits

List of traits for the NormalTradingUnit attribute are listed here.

is.dataFormat.integer
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{30686691-839B-41FD-9D97-AC061AA8D2E4}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enNormal Trading Unit
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe standard minimum size of trading a unit of the associated type of security.

Stocks have a normal trading unit normally of 100 shares. Some inactive stocks may have a normal trading unit of as low as 10 shares. Any security trading for less than a round lot is called an odd lot trade.

entitya reference to the constant entity holding the list of localized text

is.dataFormat.integer

IssuingDenomination

The face value or 'denominated amount' of the commercial paper offered.

Commercial paper is usually issued with denominations of $100,000 or more. Therefore, smaller investors can only invest in commercial paper indirectly through money market funds. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameIssuing Denomination
descriptionThe face value or 'denominated amount' of the commercial paper offered.

Commercial paper is usually issued with denominations of $100,000 or more. Therefore, smaller investors can only invest in commercial paper indirectly through money market funds.

dataFormatdecimal
isNullabletrue

Traits

List of traits for the IssuingDenomination attribute are listed here.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"18"integerthe total number of significant digits
scale"2"integerthe number of digits to the right of the decimal place

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{4147F7AF-038B-4C7C-B48E-0888E0C0B07C}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIssuing Denomination
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe face value or 'denominated amount' of the commercial paper offered.

Commercial paper is usually issued with denominations of $100,000 or more. Therefore, smaller investors can only invest in commercial paper indirectly through money market funds.

entitya reference to the constant entity holding the list of localized text

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

TradingUnit

The trading unit associated with the Financial Product.

Ex:

  • share
  • bond
  • dollar/currency
  • oz/gold future contract
    First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameTrading Unit
descriptionThe trading unit associated with the Financial Product.

Ex:

  • share
  • bond
  • dollar/currency
  • oz/gold future contract
dataFormatint32
isNullabletrue

Traits

List of traits for the TradingUnit attribute are listed here.

is.dataFormat.integer
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{2C41FA7C-5CCA-4761-AF07-91295CB00951}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enTrading Unit
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe trading unit associated with the Financial Product.

Ex:

  • share
  • bond
  • dollar/currency
  • oz/gold future contract
entitya reference to the constant entity holding the list of localized text

is.dataFormat.integer

ParValueAmount

Equal to the Nominal or face value of a security. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNamePar Value Amount
descriptionEqual to the Nominal or face value of a security.
dataFormatdecimal
isNullabletrue

Traits

List of traits for the ParValueAmount attribute are listed here.

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

ParameterValueData typeExplanation
precision"18"integerthe total number of significant digits
scale"2"integerthe number of digits to the right of the decimal place

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{2C7EB597-FD6B-4560-A412-70584DB1A4C5}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enPar Value Amount
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enEqual to the Nominal or face value of a security.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.numeric.shaped
for setting the exact precision and scale of numeric values

CusipNumber

The CUSIP Number is issued by the Cusip Service Bureau. It's the number used by the brokerage industry to distinguish between the tens of thousands of public companies whose shares trade in the United States. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameCUSIP Number
descriptionThe CUSIP Number is issued by the Cusip Service Bureau. It's the number used by the brokerage industry to distinguish between the tens of thousands of public companies whose shares trade in the United States.
dataFormatstring
maximumLength2048
isNullabletrue

Traits

List of traits for the CusipNumber attribute are listed here.

is.dataFormat.character
is.dataFormat.big
indicates an atomic but multi-unit version of a fundamental type such as a multi byte encoded character, a double precision float, a long integer.

is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{1EC726E3-83BE-4DF9-B794-4FDE208785C8}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enCUSIP Number
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe CUSIP Number is issued by the Cusip Service Bureau. It's the number used by the brokerage industry to distinguish between the tens of thousands of public companies whose shares trade in the United States.
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
maximumLength"2048"integer

is.dataFormat.character
is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

IsoCurrencyCode

The ISO 4217 currency code. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameISO Currency Code
descriptionThe ISO 4217 currency code.
dataFormatstring
maximumLength3
isNullabletrue

Traits

List of traits for the IsoCurrencyCode attribute are listed here.

is.dataFormat.character
is.dataFormat.big
indicates an atomic but multi-unit version of a fundamental type such as a multi byte encoded character, a double precision float, a long integer.

is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enISO Currency Code
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe ISO 4217 currency code.
entitya reference to the constant entity holding the list of localized text

is.constrained
maximum length or value constraints

ParameterValueData typeExplanation
maximumLength"3"integer

is.linkedEntity.identifier
Marks the attributes that hold foreign key references to a linked (used as an attribute) entity. This attribute is added to the resolved entity to enumerate the referenced entities.

ParameterValueData typeExplanation
entityReferences
entityReferenceattributeReference
Currency.cdm.json/CurrencyIsoCurrencyCode
entitya reference to the constant entity holding the list of entity references

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{B6608CA1-2F42-4A61-9996-534BD23D1B7B}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.dataFormat.character
is.dataFormat.array
indicates a contiguous sequence of fundamental units that should be taken as a whole and considered one value. Array of Character is a String, and Array of Byte is a Binary Object.

FinancialProductTypeId

The unique identifier of a Financial Product Type. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameFinancial Product Type ID
descriptionThe unique identifier of a Financial Product Type.
dataFormatint32
isNullabletrue

Traits

List of traits for the FinancialProductTypeId attribute are listed here.

is.dataFormat.integer
is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enFinancial Product Type ID
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe unique identifier of a Financial Product Type.
entitya reference to the constant entity holding the list of localized text

is.linkedEntity.identifier
Marks the attributes that hold foreign key references to a linked (used as an attribute) entity. This attribute is added to the resolved entity to enumerate the referenced entities.

ParameterValueData typeExplanation
entityReferences
entityReferenceattributeReference
FinancialProductType.cdm.json/FinancialProductTypeFinancialProductTypeId
entitya reference to the constant entity holding the list of entity references

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{4151F0FF-7083-4DB5-88DC-12EE5A20710F}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.dataFormat.integer

RegisteredDate

The date that the financial product was registered for sale. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameRegistered Date
descriptionThe date that the financial product was registered for sale.
dataFormatdate
isNullabletrue

Traits

List of traits for the RegisteredDate attribute are listed here.

is.dataFormat.date
means.measurement.date
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{4BF50179-2008-4F7C-99DB-C3EC9223FCF8}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enRegistered Date
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe date that the financial product was registered for sale.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.date

FirstPublicTradedDate

The first date that the Financial Product is publicly traded. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameFirst Public Traded Date
descriptionThe first date that the Financial Product is publicly traded.
dataFormatdate
isNullabletrue

Traits

List of traits for the FirstPublicTradedDate attribute are listed here.

is.dataFormat.date
means.measurement.date
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{56896291-45BC-4B51-B76E-141F21AE3323}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enFirst Public Traded Date
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe first date that the Financial Product is publicly traded.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.date

LastTradingDate

The final day under an exchange's rules during which Trading may take Place in a particular futures or options contract. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameLast Trading Date
descriptionThe final day under an exchange's rules during which Trading may take Place in a particular futures or options contract.
dataFormatdate
isNullabletrue

Traits

List of traits for the LastTradingDate attribute are listed here.

is.dataFormat.date
means.measurement.date
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{BB41504E-09A5-4972-B1F1-8B34E2D673EC}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enLast Trading Date
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe final day under an exchange's rules during which Trading may take Place in a particular futures or options contract.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.date

IssueMethodId

The unique identifier of an Issue Method. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameIssue Method ID
descriptionThe unique identifier of an Issue Method.
dataFormatint32
isNullabletrue

Traits

List of traits for the IssueMethodId attribute are listed here.

is.dataFormat.integer
is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIssue Method ID
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe unique identifier of an Issue Method.
entitya reference to the constant entity holding the list of localized text

is.linkedEntity.identifier
Marks the attributes that hold foreign key references to a linked (used as an attribute) entity. This attribute is added to the resolved entity to enumerate the referenced entities.

ParameterValueData typeExplanation
entityReferences
entityReferenceattributeReference
IssueMethod.cdm.json/IssueMethodIssueMethodId
entitya reference to the constant entity holding the list of entity references

has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{5D37DC53-0210-4217-B241-F396B8044430}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.dataFormat.integer

DematerializedSecurityIndicator

A financial product that is represented only in electronic form.

Purchases are only effected via book entry. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameDematerialized Security Indicator
descriptionA financial product that is represented only in electronic form.

Purchases are only effected via book entry.

dataFormatboolean
isNullabletrue

Traits

List of traits for the DematerializedSecurityIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{89A30E32-EDEC-49E8-9762-FE91F15AA6DC}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enDematerialized Security Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA financial product that is represented only in electronic form.

Purchases are only effected via book entry.

entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

RegisteredSecurityIndicator

A security in which the issuer or registrar acting on behalf of the issuer maintains a record of owners of the security.

This usually requires that the seller's name of the security is replaced by the buyers name on the register. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameRegistered Security Indicator
descriptionA security in which the issuer or registrar acting on behalf of the issuer maintains a record of owners of the security.

This usually requires that the seller's name of the security is replaced by the buyers name on the register.

dataFormatboolean
isNullabletrue

Traits

List of traits for the RegisteredSecurityIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{9C007101-7F9A-4E50-A6AF-CDB791C3F4A4}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enRegistered Security Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA security in which the issuer or registrar acting on behalf of the issuer maintains a record of owners of the security.

This usually requires that the seller's name of the security is replaced by the buyers name on the register.

entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

BookEntrySecurityIndicator

A security that is not represented by a certificate.

For example, some purchases and sales of municipal bonds are simply recorded to a customer account and no certificate changes hands. It reduces paperwork. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameBook-Entry Security Indicator
descriptionA security that is not represented by a certificate.

For example, some purchases and sales of municipal bonds are simply recorded to a customer account and no certificate changes hands. It reduces paperwork.

dataFormatboolean
isNullabletrue

Traits

List of traits for the BookEntrySecurityIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{E7C4233A-8844-4C6C-A9C5-492AFC15AF9C}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enBook-Entry Security Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA security that is not represented by a certificate.

For example, some purchases and sales of municipal bonds are simply recorded to a customer account and no certificate changes hands. It reduces paperwork.

entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

RematerializedSecurityIndicator

Indicates security holdings that were previously in electronic form but have been replaced by certificate form. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameRematerialized Security indicator
descriptionIndicates security holdings that were previously in electronic form but have been replaced by certificate form.
dataFormatboolean
isNullabletrue

Traits

List of traits for the RematerializedSecurityIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{3A831665-0679-4066-9908-78F09C8057B7}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enRematerialized Security indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIndicates security holdings that were previously in electronic form but have been replaced by certificate form.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

ConvertibleFinancialProductIndicator

A corporate security, typically preferred shares or bonds, that can be exchanged for a set number of another form of financial product at a pre-defined price.

A convertible feature is an added incentive to enhance the marketability of the financial product.

For investors, convertibles normally combine higher income potential than from common stock plus greater appreciation than from bonds. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameConvertible Financial Product Indicator
descriptionA corporate security, typically preferred shares or bonds, that can be exchanged for a set number of another form of financial product at a pre-defined price.

A convertible feature is an added incentive to enhance the marketability of the financial product.

For investors, convertibles normally combine higher income potential than from common stock plus greater appreciation than from bonds.

dataFormatboolean
isNullabletrue

Traits

List of traits for the ConvertibleFinancialProductIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{1F2D241D-1E39-4DF5-A19A-B0A81E7E0C1E}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enConvertible Financial Product Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA corporate security, typically preferred shares or bonds, that can be exchanged for a set number of another form of financial product at a pre-defined price.

A convertible feature is an added incentive to enhance the marketability of the financial product.

For investors, convertibles normally combine higher income potential than from common stock plus greater appreciation than from bonds.

entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

ListedSecurityIndicator

Indicates that the stock or bond has been accepted for trading by one of the registered securities exchanges in the US.

The advantages of being listed are:

(1) Orderly market

(2) Liquidity

(3) Fair price determinations

(4) Accurate and continuous reporting on sales and quotations

(5) Information on listed companies

(6) Strict regulations
First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameListed Security Indicator
descriptionIndicates that the stock or bond has been accepted for trading by one of the registered securities exchanges in the US.

The advantages of being listed are:

(1) Orderly market

(2) Liquidity

(3) Fair price determinations

(4) Accurate and continuous reporting on sales and quotations

(5) Information on listed companies

(6) Strict regulations

dataFormatboolean

Traits

List of traits for the ListedSecurityIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{28C0F93B-FF9A-4A34-A476-5E55C1235C11}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enListed Security Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIndicates that the stock or bond has been accepted for trading by one of the registered securities exchanges in the US.

The advantages of being listed are:

(1) Orderly market

(2) Liquidity

(3) Fair price determinations

(4) Accurate and continuous reporting on sales and quotations

(5) Information on listed companies

(6) Strict regulations

entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

UnlistedSecurityIndicator

A security that is not listed on any exchange. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameUnlisted Security Indicator
descriptionA security that is not listed on any exchange.
dataFormatboolean
isNullabletrue

Traits

List of traits for the UnlistedSecurityIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{1094546B-D0E8-4C59-B46A-EC26530FC34C}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enUnlisted Security Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA security that is not listed on any exchange.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

BearerSecurityIndicator

A security in which the issuer has no ability to record the owner of the security and where proof of ownership is the physical possession of the security certificate. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameBearer Security Indicator
descriptionA security in which the issuer has no ability to record the owner of the security and where proof of ownership is the physical possession of the security certificate.
dataFormatboolean
isNullabletrue

Traits

List of traits for the BearerSecurityIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{48CBFAAD-D481-44D6-BF97-BD8DC02B127B}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enBearer Security Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA security in which the issuer has no ability to record the owner of the security and where proof of ownership is the physical possession of the security certificate.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

NotRatedFinancialProductIndicator

Indicates that rating services and mercantile agencies have not rated the associated security, company or financial product.

The abbreviation NR is used for Not Rated Financial Products. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameNot Rated Financial Product Indicator
descriptionIndicates that rating services and mercantile agencies have not rated the associated security, company or financial product.

The abbreviation NR is used for Not Rated Financial Products.

dataFormatboolean
isNullabletrue

Traits

List of traits for the NotRatedFinancialProductIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{009AB33B-5202-40F1-9107-C89E790D7DBD}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enNot Rated Financial Product Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIndicates that rating services and mercantile agencies have not rated the associated security, company or financial product.

The abbreviation NR is used for Not Rated Financial Products.

entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

MarginableSecurityIndicator

Indicates that the associated financial product is marginable.

Not all securities may be purchased on margin. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameMarginable Security Indicator
descriptionIndicates that the associated financial product is marginable.

Not all securities may be purchased on margin.

dataFormatboolean
isNullabletrue

Traits

List of traits for the MarginableSecurityIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{57607BBA-CD6F-45ED-A827-A95BC9F446E8}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enMarginable Security Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIndicates that the associated financial product is marginable.

Not all securities may be purchased on margin.

entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

DerivativeFinancialProductIndicator

Financial instrument whose price is based on an underlying security--for example, an option's value can be derived either from its underlying stock, stock index, or future (dependent upon the type of option). First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameDerivative Financial Product Indicator
descriptionFinancial instrument whose price is based on an underlying security--for example, an option's value can be derived either from its underlying stock, stock index, or future (dependent upon the type of option).
dataFormatboolean
isNullabletrue

Traits

List of traits for the DerivativeFinancialProductIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{03819FD4-D23D-4F56-B35E-3F0327CAF6F0}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enDerivative Financial Product Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enFinancial instrument whose price is based on an underlying security--for example, an option's value can be derived either from its underlying stock, stock index, or future (dependent upon the type of option).
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

ExemptSecurityIndicator

Securities that aren't subject to the registration requirements of the Securities Act of 1933. Exempt securities also include securities that do not have to follow certain provisions of the Securities Exchange Act of 1934 in terms of margin, registration of dealers who make a market in them, and certain reporting requirements. Examples of exempt securities are municipal bonds, governments and bank securities. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameExempt Security Indicator
descriptionSecurities that aren't subject to the registration requirements of the Securities Act of 1933. Exempt securities also include securities that do not have to follow certain provisions of the Securities Exchange Act of 1934 in terms of margin, registration of dealers who make a market in them, and certain reporting requirements. Examples of exempt securities are municipal bonds, governments and bank securities.
dataFormatboolean
isNullabletrue

Traits

List of traits for the ExemptSecurityIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{A3B4D80A-7472-42F3-AF0C-B0F2DD58BF5F}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enExempt Security Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enSecurities that aren't subject to the registration requirements of the Securities Act of 1933. Exempt securities also include securities that do not have to follow certain provisions of the Securities Exchange Act of 1934 in terms of margin, registration of dealers who make a market in them, and certain reporting requirements. Examples of exempt securities are municipal bonds, governments and bank securities.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

InactiveFinancialProductIndicator

Security that trades infrequently and has such a low volume that it makes the security illiquid. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameInactive Financial Product Indicator
descriptionSecurity that trades infrequently and has such a low volume that it makes the security illiquid.
dataFormatboolean
isNullabletrue

Traits

List of traits for the InactiveFinancialProductIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{615060E7-4DCE-44F4-9562-A0DDB3865DB8}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enInactive Financial Product Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enSecurity that trades infrequently and has such a low volume that it makes the security illiquid.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

DualListedFinancialProductIndicator

A security that is registered for trading on more than one exchange. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameDual Listed Financial Product Indicator
descriptionA security that is registered for trading on more than one exchange.
dataFormatboolean
isNullabletrue

Traits

List of traits for the DualListedFinancialProductIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{6D1FCD52-FA8A-4885-8727-BFB0107B477F}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enDual Listed Financial Product Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA security that is registered for trading on more than one exchange.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

WithWarrantsFinancialProductIndicator

A security that trades with warrants as apart of the issue. The abbreviation "WW" is used in newspaper stock listings. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameWith Warrants Financial Product Indicator
descriptionA security that trades with warrants as apart of the issue. The abbreviation "WW" is used in newspaper stock listings.
dataFormatboolean
isNullabletrue

Traits

List of traits for the WithWarrantsFinancialProductIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{19642869-E2F4-49F8-B27B-2589D6D6EDB2}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enWith Warrants Financial Product Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA security that trades with warrants as apart of the issue. The abbreviation "WW" is used in newspaper stock listings.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

IntraStateFinancialProductOfferingIndicator

A new securities' issue that will only be sold to investors in one state and who are residents of that state. An intra-state offering is exempt from filing provisions of the Securities Exchange Act of 1933 under Rule 147. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameIntra-State Financial Product Offering Indicator
descriptionA new securities' issue that will only be sold to investors in one state and who are residents of that state. An intra-state offering is exempt from filing provisions of the Securities Exchange Act of 1933 under Rule 147.
dataFormatboolean
isNullabletrue

Traits

List of traits for the IntraStateFinancialProductOfferingIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{7DE2422D-FEF8-48F5-8416-CCF8266DF0A9}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIntra-State Financial Product Offering Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA new securities' issue that will only be sold to investors in one state and who are residents of that state. An intra-state offering is exempt from filing provisions of the Securities Exchange Act of 1933 under Rule 147.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

LetterSecurityIndicator

A security that is not registered with the SEC and thus, cannot be sold in the marketplace.

The issues are sold under an investment letter in which the purchaser states the purchase is for investment purposes and not for resale. The certificates have a restrictive legend that indicates they aren't registered. Because the investment letter is essential to the security's issuance, this type of security is called either "letter security", "letter stock", or "letter bond". First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameLetter Security Indicator
descriptionA security that is not registered with the SEC and thus, cannot be sold in the marketplace.

The issues are sold under an investment letter in which the purchaser states the purchase is for investment purposes and not for resale. The certificates have a restrictive legend that indicates they aren't registered. Because the investment letter is essential to the security's issuance, this type of security is called either "letter security", "letter stock", or "letter bond".

dataFormatboolean
isNullabletrue

Traits

List of traits for the LetterSecurityIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{4B62C6D4-A293-46E4-9333-22F42FD33668}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enLetter Security Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA security that is not registered with the SEC and thus, cannot be sold in the marketplace.

The issues are sold under an investment letter in which the purchaser states the purchase is for investment purposes and not for resale. The certificates have a restrictive legend that indicates they aren't registered. Because the investment letter is essential to the security's issuance, this type of security is called either "letter security", "letter stock", or "letter bond".

entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

MarginableFinancialProductIndicator

A security that may be bought or sold in a margin account. Regulation T of the Federal Reserve Board determines which securities are eligible. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameMarginable Financial Product Indicator
descriptionA security that may be bought or sold in a margin account. Regulation T of the Federal Reserve Board determines which securities are eligible.
dataFormatboolean
isNullabletrue

Traits

List of traits for the MarginableFinancialProductIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{998C607C-66D9-4857-9EE2-6C5213A527F1}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enMarginable Financial Product Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA security that may be bought or sold in a margin account. Regulation T of the Federal Reserve Board determines which securities are eligible.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

AgencySecurityIndicator

A security, usually a bond, issued by a U.S. government agency. Agency securities are exempt from state and local taxes. also called U.S. Government Agency Security. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameAgency Security Indicator
descriptionA security, usually a bond, issued by a U.S. government agency. Agency securities are exempt from state and local taxes. also called U.S. Government Agency Security.
dataFormatboolean
isNullabletrue

Traits

List of traits for the AgencySecurityIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{479ED322-3AA4-4773-838A-5DF3FC349D0B}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enAgency Security Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA security, usually a bond, issued by a U.S. government agency. Agency securities are exempt from state and local taxes. also called U.S. Government Agency Security.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

IslamicFinanceComplianceIndicator

Indicates whether the financial product is compliant with Islamic finance. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameIslamic Finance Compliance Indicator
descriptionIndicates whether the financial product is compliant with Islamic finance.
dataFormatboolean
isNullabletrue

Traits

List of traits for the IslamicFinanceComplianceIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{C9B3CE34-D3C9-42F2-BB71-04DEAD781743}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIslamic Finance Compliance Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIndicates whether the financial product is compliant with Islamic finance.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

ConvertibleSecurityIndicator

A security that can be converted into common stock at the option of the security holder, including convertible bonds and convertible preferred stock. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameConvertible Security Indicator
descriptionA security that can be converted into common stock at the option of the security holder, including convertible bonds and convertible preferred stock.
dataFormatboolean
isNullabletrue

Traits

List of traits for the ConvertibleSecurityIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{A54F6D3F-A2A1-4855-B06A-E67485853AAD}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enConvertible Security Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA security that can be converted into common stock at the option of the security holder, including convertible bonds and convertible preferred stock.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

DualListingIndicator

A security that is listed on more than one exchange--either the New York Stock Exchange and a regional exchange or the American Stock Exchange and a regional exchange. However, a security may not be listed on both the New York and American stock exchanges. Being dual listed increases the liquidity of a security. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameDual Listing Indicator
descriptionA security that is listed on more than one exchange--either the New York Stock Exchange and a regional exchange or the American Stock Exchange and a regional exchange. However, a security may not be listed on both the New York and American stock exchanges. Being dual listed increases the liquidity of a security.
dataFormatboolean
isNullabletrue

Traits

List of traits for the DualListingIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{6640DE62-8573-42DF-8342-B46AFA064443}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enDual Listing Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA security that is listed on more than one exchange--either the New York Stock Exchange and a regional exchange or the American Stock Exchange and a regional exchange. However, a security may not be listed on both the New York and American stock exchanges. Being dual listed increases the liquidity of a security.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

ExemptFromFederalTaxesIndicator

Indicates whether the financial product is exempt from federal taxes.

Note that tax-free investments result in earnings that are tax-free. However, capital gains from buying and selling individual securities aren't tax-free. morely, capital gains earned and distributed by tax-free funds are subject to federal, state and local taxes.

The income from some municipal bonds are subject to the federal alternate minimum tax (AMT), which is a tax that applies to certain high-income individuals. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameExempt From Federal Taxes Indicator
descriptionIndicates whether the financial product is exempt from federal taxes.

Note that tax-free investments result in earnings that are tax-free. However, capital gains from buying and selling individual securities aren't tax-free. morely, capital gains earned and distributed by tax-free funds are subject to federal, state and local taxes.

The income from some municipal bonds are subject to the federal alternate minimum tax (AMT), which is a tax that applies to certain high-income individuals.

dataFormatboolean
isNullabletrue

Traits

List of traits for the ExemptFromFederalTaxesIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{7CB19E55-CA23-43FF-A193-B8DFC3688EA8}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enExempt From Federal Taxes Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIndicates whether the financial product is exempt from federal taxes.

Note that tax-free investments result in earnings that are tax-free. However, capital gains from buying and selling individual securities aren't tax-free. morely, capital gains earned and distributed by tax-free funds are subject to federal, state and local taxes.

The income from some municipal bonds are subject to the federal alternate minimum tax (AMT), which is a tax that applies to certain high-income individuals.

entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

ExemptFromStateTaxesIndicator

Indicates whether the financial product is exempt from state taxes. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameExempt From State Taxes Indicator
descriptionIndicates whether the financial product is exempt from state taxes.
dataFormatboolean
isNullabletrue

Traits

List of traits for the ExemptFromStateTaxesIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{BC93BABE-7379-4E7C-B09C-67EEA58286B6}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enExempt From State Taxes Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIndicates whether the financial product is exempt from state taxes.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

ExemptFromLocalTaxesIndicator

Indicates whether the financial product is exempt from local taxes. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameExempt From Local Taxes Indicator
descriptionIndicates whether the financial product is exempt from local taxes.
dataFormatboolean
isNullabletrue

Traits

List of traits for the ExemptFromLocalTaxesIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{9205B489-D119-4AA5-B5E1-646679B77B31}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enExempt From Local Taxes Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIndicates whether the financial product is exempt from local taxes.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

FinancialProductCategoryId

The unique identifier of a Financial Product Category. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameFinancial Product Category ID
descriptionThe unique identifier of a Financial Product Category.
dataFormatint32
isNullabletrue

Traits

List of traits for the FinancialProductCategoryId attribute are listed here.

is.dataFormat.integer
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{A5BBE24F-74DD-4B86-810D-1FD126AC55B5}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enFinancial Product Category ID
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe unique identifier of a Financial Product Category.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.integer

FungibleSecurityIndicator

Indicates whether ownership of securities that are interchangeable with each other and in which no specific certificates are assigned to any one of the owners ('co-mingled securities).

The record of ownership is held electronically. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameFungible Security Indicator
descriptionIndicates whether ownership of securities that are interchangeable with each other and in which no specific certificates are assigned to any one of the owners ('co-mingled securities).

The record of ownership is held electronically.

dataFormatboolean
isNullabletrue

Traits

List of traits for the FungibleSecurityIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{71EE699B-B88F-4CF0-AFB5-CF443CA3AF6A}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enFungible Security Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIndicates whether ownership of securities that are interchangeable with each other and in which no specific certificates are assigned to any one of the owners ('co-mingled securities).

The record of ownership is held electronically.

entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

IpoIndicator

A corporation's first offering of stock to the general public.

IPO's are the primary opportunity for existing investors and venture capitalists to make large profits. Their shares will be given a market value reflecting the fair market value of the company, while they have shares obtained at much lower evaluations.

A company's first sale of stock to the public. Securities offered in an IPO are often, but not always, those of young, small companies seeking outside equity capital and a public market for their stock. Investors purchasing stock in IPOs generally must be prepared to accept very large risks for the possibility of large gains. IPO's by investment companies (closed end funds) usually contain underwriting fees which represent a load to buyers. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameIPO Indicator
descriptionA corporation's first offering of stock to the general public.

IPO's are the primary opportunity for existing investors and venture capitalists to make large profits. Their shares will be given a market value reflecting the fair market value of the company, while they have shares obtained at much lower evaluations.

A company's first sale of stock to the public. Securities offered in an IPO are often, but not always, those of young, small companies seeking outside equity capital and a public market for their stock. Investors purchasing stock in IPOs generally must be prepared to accept very large risks for the possibility of large gains. IPO's by investment companies (closed end funds) usually contain underwriting fees which represent a load to buyers.

dataFormatboolean
isNullabletrue

Traits

List of traits for the IpoIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{868987FC-666A-4730-9861-577DDC3FFFFF}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIPO Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enA corporation's first offering of stock to the general public.

IPO's are the primary opportunity for existing investors and venture capitalists to make large profits. Their shares will be given a market value reflecting the fair market value of the company, while they have shares obtained at much lower evaluations.

A company's first sale of stock to the public. Securities offered in an IPO are often, but not always, those of young, small companies seeking outside equity capital and a public market for their stock. Investors purchasing stock in IPOs generally must be prepared to accept very large risks for the possibility of large gains. IPO's by investment companies (closed end funds) usually contain underwriting fees which represent a load to buyers.

entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

NonFungibleCertificateIndicator

Indicates ownership that is assigned to specific owners rather than a pool of owners. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameNon-Fungible Certificate Indicator
descriptionIndicates ownership that is assigned to specific owners rather than a pool of owners.
dataFormatboolean
isNullabletrue

Traits

List of traits for the NonFungibleCertificateIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{319A1954-43B9-4800-B21A-E21C9DAB75B3}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enNon-Fungible Certificate Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enIndicates ownership that is assigned to specific owners rather than a pool of owners.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean

OfferingDate

The date on which the stock will first be available for sale to the public. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameOffering Date
descriptionThe date on which the stock will first be available for sale to the public.
dataFormatdate
isNullabletrue

Traits

List of traits for the OfferingDate attribute are listed here.

is.dataFormat.date
means.measurement.date
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{68283F38-25AA-4E1F-83F0-95045875E3BD}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enOffering Date
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe date on which the stock will first be available for sale to the public.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.date

PrimaryValueDate

The earliest date that settlement can occur on a new issue or securities.

This is also known as the 'Deferred Delivery Date'. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNamePrimary Value Date
descriptionThe earliest date that settlement can occur on a new issue or securities.

This is also known as the 'Deferred Delivery Date'.

dataFormatdate
isNullabletrue

Traits

List of traits for the PrimaryValueDate attribute are listed here.

is.dataFormat.date
means.measurement.date
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{3B269363-742D-4038-A3ED-CACC20983BD0}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enPrimary Value Date
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe earliest date that settlement can occur on a new issue or securities.

This is also known as the 'Deferred Delivery Date'.

entitya reference to the constant entity holding the list of localized text

is.dataFormat.date

SubjectToAmtIndicator

The income from some municipal bonds are subject to the federal alternate minimum tax (AMT), which is a tax that applies to certain high-income individuals. First included in: Sustainability/esg-data-model/FinancialProduct (this entity)

Properties

NameValue
displayNameSubject To AMT Indicator
descriptionThe income from some municipal bonds are subject to the federal alternate minimum tax (AMT), which is a tax that applies to certain high-income individuals.
dataFormatboolean
isNullabletrue

Traits

List of traits for the SubjectToAmtIndicator attribute are listed here.

is.dataFormat.boolean
has.schemaObjectIdentifier
The schema object has an identifier, which is a string, specified as the parameter of the trait. It allows writers to define more identification values.

ParameterValueData typeExplanation
identifier"{9B0EF52E-39C2-410B-8D8A-AD6B7A12B739}"stringThe identifier for the schema object. There's no uniqueness guarantee enforced by CDM. It's a contract between reader and writer of the schema.

is.nullable
The attribute value can be set to NULL.

is.localized.displayedAs
Holds the list of language specific display text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enSubject To AMT Indicator
entitya reference to the constant entity holding the list of localized text

is.localized.describedAs
Holds the list of language specific descriptive text for an object.

ParameterValueData typeExplanation
localizedDisplayText
languageTagdisplayText
enThe income from some municipal bonds are subject to the federal alternate minimum tax (AMT), which is a tax that applies to certain high-income individuals.
entitya reference to the constant entity holding the list of localized text

is.dataFormat.boolean