This image shows the Credit Derivative Instrument Definition Screen. This screen has security id, market of issue, registered/bearer, form type, issue date and start of trading date as mandatory field. The other category field is security description, product, product description, ISIN identifier, and security type and security reference. The other category field is main, premium, others, issuer code, redemption type, redemption quotation with optional field confirm corp action, issuer size, outstanding issue size, min trading size and lot size, market description, issuer description, quantity quotation, price quotation, premium quotation with optional field call option, start of premium date, maturity date, tenor (in months). The other category field is security status, trading status, and premium type. The other category field is decimals with optional field fractional quantity and equated redemption, payment currency, initial face value, issue price, current face value and redemption price with optional field notional.