- as rdfs:domain (has entitlement, has final agent, materialized till, ISIN identifier, common identifier, RIC identifier, income tax exempt, gross amount, product group, has restricted version, Bloomberg identifieer, SicovamIdentifier, dematerialize from, holdings redemption rate, total issue amount, has cash correspondent, has registrar, related series, CUSIP identifier, has first agent, fund accountant, has principal paying agent, Dutch identifier, US-CFI Position, percentage subscription amount, fees market side, SEDOL identifier, procentual issue price, has intermediary, available units, has data provider, fund broker, handling authorized, Wertpapier identifier, CTA identifier, has issuer in 2nd rang, fund management company, new issue is, nominal issue price, has fiscal agent, quoted on market, fungible, has investment manager, US-CFI Code, has broker, has financial advisor, has warrant, Belgian identifier, has underlying value, has investor, has taken over, has price informer, issue date, has global custodian, has posting unit, commodities underlying assets, has paying agent, renamed to, nominal value, has issuer, standardized derivatives contract, has transfer agent, has custodian, Ticker symbol identifier, net amount, has distributor, has scrip, guarantee, materialized form, has old ISIN, VALOREN identifier, fees street side, has concentrator, unit, has lead manager, QUICK identifier)
- as rdfs:range (has underlying value, is structured by, renamed to, has restricted version, is payment instruction for security, is standing instruction for security, related series, new issue is, has as part, has taken over, has old ISIN)
- as rdfs:subClassOf (Equity instrument, Fund, Derivative instrument, Packaged unit, Entitlement instrument, Other instrument, Structured product, Standing instruction for corporate actions, Debt instrument)
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