General Instrument Information
Requests full contract details for the given conid.
Path parameters
conid
Response
Returns detailed information for the passed contract.
cfi_code
Classification of Financial Instrument codes
symbol
Underlying symbol
cusip
Returns the CUSIP for the given instrument. Only used in BOND trading.
expiry_full
Returns the expiration month of the contract.
con_id
Indicates the contract identifier of the given contract.
maturity_date
Indicates the final maturity date of the given contract.
industry
Specific group of companies or businesses.
instrument_type
Asset class of the instrument.
trading_class
Designated trading class of the contract.
valid_exchanges
Comma separated list of support exchanges or trading venues.
allow_sell_long
Allowed to sell shares you own.
is_zero_commission_security
Indicates if the contract supports zero commission trading.
local_symbol
Contract's symbol from primary exchange. For options it is the OCC symbol.
contract_clarification_type
classifier
currency
Base currency contract is traded in.
text
Indicates the display name of the contract, as shown with Client Portal.
underlying_con_id
Underlying contract identifier for the requested contract.
r_t_h
Indicates if the contract can be traded outside regular trading hours or not.
multiplier
Indicates the multiplier of the contract.
underlying_issuer
Indicates the issuer of the underlying.
contract_month
Indicates the year and month the contract expires.
company_name
Indicates the name of the company or index.
smart_available
Indicates if the contract can be smart routed or not.
exchange
Indicates the primary exchange for which the contract can be traded.
category
Indicates the industry category of the instrument.
Errors
401
Unauthorized Error
500
Internal Server Error
503
Service Unavailable Error

