Code to represent the type of instrument attribute
Valid values:
| '1' | Flat (securities pay interest on a current basis but are traded without interest) |
| '2' | Zero coupon |
| '3' | Interest bearing (for Euro commercial paper when not issued at discount) |
| '4' | No periodic payments |
| '5' | Variable rate |
| '6' | Less fee for put |
| '7' | Stepped coupon |
| '8' | Coupon period (if not semi-annual). Supply redemption date in the InstrAttribValue (872) field |
| '9' | When [and if] issued |
| '10' | Original issue discount |
| '11' | Callable, puttable |
| '12' | Escrowed to Maturity |
| '13' | Escrowed to redemption date - callable. Supply redemption date in the InstrAttribValue (872) field |
| '14' | Prerefunded |
| '15' | In default |
| '16' | Unrated |
| '17' | Taxable |
| '18' | Indexed |
| '19' | Subject to Alternative Minimum Tax |
| '20' | Original issue discount price. Supply price in the InstrAttribValue (872) field |
| '21' | Callable below maturity value |
| '22' | Callable without notice by mail to holder unless registered |
| '99' | Text. Supply the text of the attribute or disclaimer in the InstrAttribValue (872) field |
Used in: