Transcription of An Approach to Financial Instrument Reference Data
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VIEWPOINT17-03 | March 27, 2017 This OFR viewpoint represents the views of the Office of Financial Research. It is not an OFR policy statement and is not binding. OFR viewpoints do not necessarily represent official positions or policy of the Treasury Department. OFR publications may be quoted without additional permission. An Approach to Financial Instrument Reference DataData describing Financial instruments are often complex, incomplete, and incompatible. These weaknesses impede companies and investors in managing their risks and regulators in overseeing Financial firms, markets, and the Financial system as a whole. Regulators and industry do not have either a comprehensive Financial Instrument data dictionary (documenting terms and definitions) or widely adopted data standards (documenting formats).
to Financial Instrument Reference Data. D. ata describing financial instruments are often complex, ... problems by preparing and publishing a financial instrument reference . database — a set of standards for creating and describing financial instru - ... have prompted the development of proprietary or firm-specific data descriptions. These ...
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