- build
Builds a new specification from the data in this builder.
- contractCode
Sets the code of the contract specification as given by the exchange in clearing
and margining.
- description
Sets the description of the contract specification.
- exchangeId
Sets the ID of the exchange where the instruments derived from the contract
specification are traded
- id
Sets the ID of the contract specification.
- priceInfo
Sets the information about the security price - currency, tick size, tick value,
contract size.
- type
Sets the type of the contract specification.
- <init>
Creates an empty builder.