The XML specification to enable the interchange of information necessary
to account, to analyze, and to trade financial instruments of the world's markets.
Issuer Class - Entity Domain. Issuer. The issuer of a security or financial instrument when referenced in context. This form of Entity should only be used when referencing the entity that is an Issuer of the referenced instrument. Amplifying, or additional, information about the entity may be presented in the Business Class for this entity.