(3) | a (129) | A (11) | b (64) | B (3) | c (132) | C (41) | d (52) | D (5) | e (81) | E (1) | f (92) | F (11) | g (59) | G (2) | h (10) | i (100) | I (11) | j (8) | J (2) | k (4) | K (1) | l (46) | L (5) | m (37) | M (8) | n (49) | N (1) | o (47) | O (1) | p (132) | P (12) | q (12) | r (99) | R (2) | s (140) | S (11) | t (120) | T (3) | u (34) | U (8) | v (8) | V (3) | w (9) | x (5) | X (1) | y (8) | Y (1)
Titlesort descending Data Type (L)
issueCurrencyIsoCode

Currency code of the country of issue of the security. In the case of fund of fund investments this will be base currency of the fund being bought.

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paymentFrequencyTypeName

The frequency in which the fixed income security would pay out the accrued income. Monthly, quarterly.

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penUltimateCouponDate

Next to last coupon payment date

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