Hi team, raising on behalf of a client. When capturing options for RIC "0#OGBL+" for today 5 FEB 2025, it seems there are incorrect values in the 'isCall' field.
Since 0#OGBL+ are options on Bund, shouldn’t that field be referring to its call/put value as with other options?
It seems like this was the case with the prices from yesterday, or was that the same thing?
Attached is a screenshot with the Call and the Put both defined as a call.
Please could you check this? Thanks