---
title: "FIX 5.0 SP2 EP292: DerivativeInstrAttribType <1313> field – FIX Dictionary – Onix Solutions"
description: "<meta name=\"description\" content=\"DerivativeInstrAttribType&lt;1313&gt; field &ndash; FIX 5.0 SP2 EP292, FIX protocol version FIX 5.0 SP2 EP292\" /> <meta name=\"keywords\" content=\"field, DerivativeInstrAttribType, TagNum=1313, FIX 5.0 SP2 EP292, FIX Protocol, FIX dictionary\" />"
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# DerivativeInstrAttribType <1313> field

## FIX 5.0 SP2 EP292

### Description

 Type: [int](https://www.onixs.biz/fix-dictionary/5.0.sp2.ep292/index.html#int)

 Refer to definition of [InstrAttribType <871>](https://www.onixs.biz/fix-dictionary/5.0.sp2.ep292/tagNum_871.html)

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>](https://www.onixs.biz/fix-dictionary/5.0.sp2.ep292/tagNum_872.html) 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>](https://www.onixs.biz/fix-dictionary/5.0.sp2.ep292/tagNum_872.html) field.
- 14 = Pre-refunded
- 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>](https://www.onixs.biz/fix-dictionary/5.0.sp2.ep292/tagNum_872.html) field.
- 21 = Callable below maturity value
- 22 = Callable without notice by mail to holder unless registered
- 23 = Price tick rules for security
- 24 = Trade type eligibility details for security
- 25 = Instrument denominator
- 26 = Instrument numerator
- 27 = Instrument price precision
- 28 = Instrument strike price
- 29 = Tradeable indicator
- 30 = Instrument is eligible to accept anonymous orders
- 31 = Minimum guaranteed fill volume
- 32 = Minimum guaranteed fill status
- 33 = Trade at settlement (TAS) eligibility
- 34 = Test instrument
  
   Instrument that is tradable but has no effect on the positions, exchange turnover etc.
- 35 = Dummy instrument
  
   Instrument that is normally halted and is only activated for trading under very special conditions (e.g. temporarily assigned for newly listed instrument). Use of a dummy instrument generally applies to systems that are unable to add reference data for new instruments intraday.
- 36 = Negative settlement price eligibility
- 37 = Negative strike price eligibility
- 38 = US standard contract indicator
  
   Indicates through [InstrAttribValue <872>](https://www.onixs.biz/fix-dictionary/5.0.sp2.ep292/tagNum_872.html) - values Y or N - whether the underlying asset in the trade references or is economically related to a contract listed in Appendix B of CFTC Part 43 regulation. See http://www.ecfr.gov/cgi-bin/text-idx?SID=4b2d1078ad68f6564a89d7ff6c52ec43&node=17:2.0.1.1.3.0.1.8.2&rgn=div or refer to Appendix B to Part 43 in the final rule at http://www.cftc.gov/ucm/groups/public/@lrfederalregister/documents/file/2013-12133a.pdf
- 39 = Admitted to trading on a trading venue
- 40 = Average daily notional amount
- 41 = Average daily number of trades
- 99 = Text
  
   Supply the text value in [InstrAttribValue <872>](https://www.onixs.biz/fix-dictionary/5.0.sp2.ep292/tagNum_872.html).

### Used In

- [<DerivativeInstrumentAttribute>](https://www.onixs.biz/fix-dictionary/5.0.sp2.ep292/compBlock_DerivativeInstrumentAttribute.html)

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