# SecdefInfo
## Properties
**conid** | **f32** | | [optional] [default to null]
**coupon** | **String** | Annual interest rate paid on a bond | [optional] [default to null]
**currency** | **String** | Currency the contract trades in | [optional] [default to null]
**cusip** | **String** | Committee on Uniform Securities Identification Procedures number | [optional] [default to null]
**desc1** | **String** | Formatted symbol | [optional] [default to null]
**desc2** | **String** | Formatted expiration, strike and right | [optional] [default to null]
**exchange** | **String** | | [optional] [default to null]
**listing_exchange** | **String** | | [optional] [default to null]
**maturity_date** | **String** | Format YYYYMMDD, the date on which the underlying transaction settles if the option is exercised | [optional] [default to null]
**multiplier** | **String** | total premium paid or received for an option contract | [optional] [default to null]
**right** | **String** | C = Call Option, P = Put Option | [optional] [default to null]
**sec_type** | **String** | | [optional] [default to null]
**strike** | **String** | The strike price also known as exercise price | [optional] [default to null]
**symbol** | **String** | Underlying symbol | [optional] [default to null]
**trading_class** | **String** | | [optional] [default to null]
**valid_exchanges** | **String** | | [optional] [default to null]
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