lusid-sdk 2.1.911__py3-none-any.whl → 2.1.913__py3-none-any.whl
This diff represents the content of publicly available package versions that have been released to one of the supported registries. The information contained in this diff is provided for informational purposes only and reflects changes between package versions as they appear in their respective public registries.
- lusid/api/abor_api.py +66 -66
- lusid/api/abor_configuration_api.py +32 -32
- lusid/api/address_key_definition_api.py +10 -10
- lusid/api/aggregated_returns_api.py +12 -12
- lusid/api/aggregation_api.py +10 -10
- lusid/api/allocations_api.py +24 -24
- lusid/api/amortisation_rule_sets_api.py +24 -24
- lusid/api/application_metadata_api.py +6 -6
- lusid/api/blocks_api.py +18 -18
- lusid/api/calendars_api.py +34 -34
- lusid/api/chart_of_accounts_api.py +122 -122
- lusid/api/check_definitions_api.py +38 -38
- lusid/api/complex_market_data_api.py +36 -36
- lusid/api/compliance_api.py +34 -34
- lusid/api/configuration_recipe_api.py +20 -20
- lusid/api/conventions_api.py +18 -18
- lusid/api/corporate_action_sources_api.py +32 -32
- lusid/api/counterparties_api.py +12 -12
- lusid/api/custom_data_models_api.py +16 -16
- lusid/api/custom_entities_api.py +40 -40
- lusid/api/custom_entity_definitions_api.py +10 -10
- lusid/api/custom_entity_types_api.py +10 -10
- lusid/api/cut_label_definitions_api.py +8 -8
- lusid/api/data_types_api.py +34 -34
- lusid/api/derived_transaction_portfolios_api.py +6 -6
- lusid/api/entities_api.py +20 -20
- lusid/api/executions_api.py +18 -18
- lusid/api/fee_types_api.py +8 -8
- lusid/api/fund_configuration_api.py +38 -38
- lusid/api/funds_api.py +126 -126
- lusid/api/group_reconciliations_api.py +84 -84
- lusid/api/identifier_definitions_api.py +30 -30
- lusid/api/instrument_event_types_api.py +40 -40
- lusid/api/instrument_events_api.py +34 -34
- lusid/api/instruments_api.py +138 -138
- lusid/api/investment_accounts_api.py +24 -24
- lusid/api/investor_records_api.py +26 -26
- lusid/api/legacy_compliance_api.py +46 -46
- lusid/api/legal_entities_api.py +114 -114
- lusid/api/order_graph_api.py +6 -6
- lusid/api/order_instructions_api.py +18 -18
- lusid/api/order_management_api.py +28 -28
- lusid/api/orders_api.py +18 -18
- lusid/api/packages_api.py +18 -18
- lusid/api/participations_api.py +18 -18
- lusid/api/persons_api.py +114 -114
- lusid/api/placements_api.py +18 -18
- lusid/api/portfolio_groups_api.py +156 -156
- lusid/api/portfolios_api.py +128 -128
- lusid/api/property_definitions_api.py +74 -74
- lusid/api/queryable_keys_api.py +6 -6
- lusid/api/quotes_api.py +36 -36
- lusid/api/reconciliations_api.py +42 -42
- lusid/api/reference_lists_api.py +8 -8
- lusid/api/reference_portfolio_api.py +30 -30
- lusid/api/relation_definitions_api.py +14 -14
- lusid/api/relationship_definitions_api.py +32 -32
- lusid/api/scopes_api.py +12 -12
- lusid/api/scripted_translation_api.py +22 -22
- lusid/api/search_api.py +28 -28
- lusid/api/sequences_api.py +20 -20
- lusid/api/staged_modifications_api.py +20 -20
- lusid/api/staging_rule_set_api.py +18 -18
- lusid/api/structured_result_data_api.py +38 -38
- lusid/api/system_configuration_api.py +20 -20
- lusid/api/tax_rule_sets_api.py +34 -34
- lusid/api/timelines_api.py +68 -68
- lusid/api/transaction_configuration_api.py +18 -18
- lusid/api/transaction_fees_api.py +42 -42
- lusid/api/transaction_portfolios_api.py +450 -450
- lusid/api/transfer_agency_api.py +2 -2
- lusid/api/translation_api.py +4 -4
- lusid/api/workspace_api.py +24 -24
- lusid/configuration.py +1 -1
- lusid/models/access_metadata_value.py +1 -1
- lusid/models/accumulation_event.py +1 -1
- lusid/models/additional_payment.py +1 -1
- lusid/models/address_definition.py +2 -2
- lusid/models/adjust_global_commitment_event.py +2 -2
- lusid/models/adjust_holding_for_date_request.py +1 -1
- lusid/models/adjust_holding_request.py +1 -1
- lusid/models/aggregate_spec.py +1 -1
- lusid/models/aggregation_context.py +1 -1
- lusid/models/aggregation_options.py +3 -3
- lusid/models/allocation.py +1 -1
- lusid/models/amortisation_event.py +2 -2
- lusid/models/append_fx_forward_curve_by_quote_reference.py +1 -1
- lusid/models/asset_leg.py +2 -2
- lusid/models/basket.py +1 -1
- lusid/models/block.py +1 -1
- lusid/models/bond.py +5 -5
- lusid/models/bond_conversion_entry.py +3 -3
- lusid/models/bond_conversion_schedule.py +5 -5
- lusid/models/bond_coupon_event.py +1 -1
- lusid/models/bond_principal_event.py +1 -1
- lusid/models/bucketed_cash_flow_response.py +3 -3
- lusid/models/cancel_single_holding_adjustment_request.py +1 -1
- lusid/models/cap_floor.py +2 -2
- lusid/models/cash_and_security_offer_election.py +1 -1
- lusid/models/cash_dependency.py +2 -2
- lusid/models/cash_flow_event.py +1 -1
- lusid/models/cash_flow_lineage.py +2 -2
- lusid/models/cash_offer_election.py +1 -1
- lusid/models/cds_flow_conventions.py +5 -5
- lusid/models/cds_index.py +4 -4
- lusid/models/cds_protection_detail_specification.py +3 -3
- lusid/models/change_item.py +1 -1
- lusid/models/close_event.py +1 -1
- lusid/models/collateral.py +2 -2
- lusid/models/complex_bond.py +4 -4
- lusid/models/complex_market_data.py +1 -1
- lusid/models/complex_market_data_id.py +1 -1
- lusid/models/compounding.py +6 -6
- lusid/models/configuration_recipe.py +1 -1
- lusid/models/constant_volatility_surface.py +2 -2
- lusid/models/constituents_adjustment_header.py +1 -1
- lusid/models/contract_for_difference.py +6 -6
- lusid/models/conversion_event.py +9 -9
- lusid/models/corporate_action_transition_component_request.py +1 -1
- lusid/models/counterparty_agreement.py +1 -1
- lusid/models/counterparty_risk_information.py +1 -1
- lusid/models/counterparty_signatory.py +1 -1
- lusid/models/credit_default_swap.py +4 -4
- lusid/models/credit_premium_cash_flow_event.py +1 -1
- lusid/models/credit_rating.py +1 -1
- lusid/models/credit_spread_curve_data.py +3 -3
- lusid/models/credit_support_annex.py +6 -6
- lusid/models/curve_options.py +2 -2
- lusid/models/data_definition.py +3 -3
- lusid/models/data_map_key.py +1 -1
- lusid/models/data_mapping.py +1 -1
- lusid/models/dependency_source_filter.py +6 -6
- lusid/models/dialect.py +1 -1
- lusid/models/dialect_schema.py +1 -1
- lusid/models/discounting_dependency.py +2 -2
- lusid/models/dividend_option_event.py +1 -1
- lusid/models/dividend_reinvestment_event.py +1 -1
- lusid/models/early_redemption_election.py +1 -1
- lusid/models/early_redemption_event.py +2 -2
- lusid/models/economic_dependency.py +1 -1
- lusid/models/equity.py +1 -1
- lusid/models/equity_curve_by_prices_data.py +1 -1
- lusid/models/equity_curve_dependency.py +2 -2
- lusid/models/equity_model_options.py +1 -1
- lusid/models/equity_option.py +7 -7
- lusid/models/equity_swap.py +6 -6
- lusid/models/equity_vol_dependency.py +2 -2
- lusid/models/event_date_range.py +1 -1
- lusid/models/ex_dividend_configuration.py +3 -3
- lusid/models/exchange_traded_option.py +1 -1
- lusid/models/exchange_traded_option_contract_details.py +5 -5
- lusid/models/execution.py +1 -1
- lusid/models/exercise_event.py +1 -1
- lusid/models/exotic_instrument.py +1 -1
- lusid/models/expiry_event.py +1 -1
- lusid/models/fixed_leg.py +1 -1
- lusid/models/fixed_leg_all_of_overrides.py +1 -1
- lusid/models/fixed_schedule.py +3 -3
- lusid/models/flexible_deposit.py +2 -2
- lusid/models/flexible_loan.py +2 -2
- lusid/models/flexible_repo.py +10 -10
- lusid/models/flexible_repo_cash_flow_event.py +2 -2
- lusid/models/flexible_repo_collateral_event.py +2 -2
- lusid/models/flexible_repo_interest_payment_event.py +2 -2
- lusid/models/flexible_repo_partial_closure_event.py +5 -5
- lusid/models/float_schedule.py +5 -5
- lusid/models/floating_leg.py +1 -1
- lusid/models/flow_convention_name.py +1 -1
- lusid/models/flow_conventions.py +9 -9
- lusid/models/forward_rate_agreement.py +1 -1
- lusid/models/fund_share_class.py +4 -4
- lusid/models/fund_valuation_request.py +4 -4
- lusid/models/fund_valuation_schedule.py +4 -4
- lusid/models/funding_leg.py +3 -3
- lusid/models/future.py +4 -4
- lusid/models/future_expiry_event.py +1 -1
- lusid/models/future_mark_to_market_event.py +1 -1
- lusid/models/futures_contract_details.py +5 -5
- lusid/models/fx_conventions.py +1 -1
- lusid/models/fx_dependency.py +1 -1
- lusid/models/fx_forward.py +6 -6
- lusid/models/fx_forward_curve_by_quote_reference.py +3 -3
- lusid/models/fx_forward_model_options.py +1 -1
- lusid/models/fx_forward_settlement_event.py +6 -6
- lusid/models/fx_forward_tenor_curve_data.py +2 -2
- lusid/models/fx_forward_tenor_pips_curve_data.py +2 -2
- lusid/models/fx_forwards_dependency.py +3 -3
- lusid/models/fx_linked_notional_schedule.py +1 -1
- lusid/models/fx_option.py +8 -8
- lusid/models/fx_rate_schedule.py +1 -1
- lusid/models/fx_swap.py +2 -2
- lusid/models/fx_tenor_convention.py +1 -1
- lusid/models/fx_vol_dependency.py +2 -2
- lusid/models/get_reference_portfolio_constituents_response.py +1 -1
- lusid/models/group_of_market_data_key_rules.py +2 -2
- lusid/models/holding_context.py +1 -1
- lusid/models/holding_pricing_info.py +2 -2
- lusid/models/index_convention.py +4 -4
- lusid/models/index_projection_dependency.py +2 -2
- lusid/models/industry_classifier.py +1 -1
- lusid/models/inflation_index_conventions.py +4 -4
- lusid/models/inflation_leg.py +5 -5
- lusid/models/inflation_linked_bond.py +6 -6
- lusid/models/inflation_swap.py +3 -3
- lusid/models/informational_event.py +3 -3
- lusid/models/inline_valuation_request.py +6 -6
- lusid/models/inline_valuations_reconciliation_request.py +1 -1
- lusid/models/instrument_capabilities.py +1 -1
- lusid/models/instrument_definition_format.py +2 -2
- lusid/models/instrument_event.py +1 -1
- lusid/models/instrument_leg.py +1 -1
- lusid/models/interest_rate_swap.py +4 -4
- lusid/models/interest_rate_swaption.py +2 -2
- lusid/models/ir_vol_dependency.py +2 -2
- lusid/models/lapse_election.py +1 -1
- lusid/models/leg_definition.py +8 -8
- lusid/models/list_complex_market_data_with_meta_data_response.py +1 -1
- lusid/models/loan_facility.py +3 -3
- lusid/models/loan_facility_contract_rollover_event.py +2 -2
- lusid/models/loan_interest_repayment_event.py +2 -2
- lusid/models/loan_principal_repayment_event.py +3 -3
- lusid/models/lusid_instrument.py +1 -1
- lusid/models/lusid_trade_ticket.py +1 -1
- lusid/models/mark_to_market_conventions.py +1 -1
- lusid/models/market_context.py +4 -4
- lusid/models/market_context_suppliers.py +1 -1
- lusid/models/market_data_key_rule.py +7 -7
- lusid/models/market_data_options.py +1 -1
- lusid/models/market_data_specific_rule.py +6 -6
- lusid/models/market_data_type.py +1 -1
- lusid/models/market_options.py +1 -1
- lusid/models/market_quote.py +1 -1
- lusid/models/mastered_instrument.py +1 -1
- lusid/models/match_criterion.py +1 -1
- lusid/models/maturity_event.py +1 -1
- lusid/models/mbs_coupon_event.py +1 -1
- lusid/models/mbs_interest_deferral_event.py +1 -1
- lusid/models/mbs_interest_shortfall_event.py +1 -1
- lusid/models/mbs_principal_event.py +1 -1
- lusid/models/mbs_principal_write_off_event.py +1 -1
- lusid/models/model_options.py +1 -1
- lusid/models/model_selection.py +1 -1
- lusid/models/opaque_dependency.py +1 -1
- lusid/models/opaque_market_data.py +3 -3
- lusid/models/option_entry.py +1 -1
- lusid/models/option_exercise_cash_event.py +3 -3
- lusid/models/option_exercise_election.py +1 -1
- lusid/models/option_exercise_physical_event.py +3 -3
- lusid/models/optionality_schedule.py +2 -2
- lusid/models/order_flow_configuration.py +1 -1
- lusid/models/partial_closure_constituent.py +3 -3
- lusid/models/portfolio_holding.py +6 -2
- lusid/models/portfolio_result_data_key_rule.py +1 -1
- lusid/models/pre_trade_configuration.py +1 -1
- lusid/models/pricing_context.py +3 -3
- lusid/models/pricing_options.py +9 -9
- lusid/models/property_domain.py +1 -1
- lusid/models/property_reference_data_value.py +1 -1
- lusid/models/quote_dependency.py +1 -1
- lusid/models/quote_series_id.py +1 -1
- lusid/models/raw_vendor_event.py +1 -1
- lusid/models/recipe_value.py +1 -1
- lusid/models/reconcile_date_time_rule.py +1 -1
- lusid/models/reconcile_numeric_rule.py +1 -1
- lusid/models/reconcile_string_rule.py +1 -1
- lusid/models/reconciled_transaction.py +2 -2
- lusid/models/reconciliation_line.py +1 -1
- lusid/models/reconciliation_request.py +3 -3
- lusid/models/reconciliation_rule.py +1 -1
- lusid/models/relative_date_offset.py +2 -2
- lusid/models/repo.py +8 -8
- lusid/models/repo_cash_flow_event.py +4 -4
- lusid/models/repo_partial_closure_event.py +5 -5
- lusid/models/repurchase_offer_event.py +4 -4
- lusid/models/reset_event.py +1 -1
- lusid/models/result_data_key_rule.py +6 -4
- lusid/models/result_data_schema.py +1 -1
- lusid/models/result_key_rule.py +1 -1
- lusid/models/result_value.py +1 -1
- lusid/models/result_value0_d.py +1 -1
- lusid/models/result_value_date_time_offset.py +1 -1
- lusid/models/result_value_decimal.py +1 -1
- lusid/models/result_value_int.py +1 -1
- lusid/models/return_zero_pv_options.py +1 -1
- lusid/models/rounding_convention.py +4 -4
- lusid/models/schedule.py +1 -1
- lusid/models/scrip_dividend_event.py +1 -1
- lusid/models/security_election.py +2 -2
- lusid/models/security_offer_election.py +1 -1
- lusid/models/settlement_schedule.py +20 -2
- lusid/models/side_configuration_data.py +1 -1
- lusid/models/side_configuration_data_request.py +1 -1
- lusid/models/simple_cash_flow_loan.py +2 -2
- lusid/models/simple_instrument.py +2 -2
- lusid/models/simple_rounding_convention.py +2 -2
- lusid/models/step_schedule.py +3 -3
- lusid/models/stock_dividend_event.py +1 -1
- lusid/models/structured_result_data.py +1 -1
- lusid/models/swap_cash_flow_event.py +1 -1
- lusid/models/swap_principal_event.py +1 -1
- lusid/models/tender_offer_election.py +1 -1
- lusid/models/term_deposit.py +1 -1
- lusid/models/term_deposit_interest_event.py +1 -1
- lusid/models/term_deposit_principal_event.py +1 -1
- lusid/models/time_zone_conventions.py +1 -1
- lusid/models/total_return_swap.py +3 -3
- lusid/models/trading_conventions.py +3 -3
- lusid/models/transaction_reconciliation_request_v2.py +3 -3
- lusid/models/transaction_settlement_instruction.py +5 -3
- lusid/models/translate_entities_inlined_request.py +1 -1
- lusid/models/translate_entities_request.py +1 -1
- lusid/models/translate_instrument_definitions_request.py +1 -1
- lusid/models/translate_trade_ticket_request.py +1 -1
- lusid/models/translation_input.py +1 -1
- lusid/models/trigger_event.py +1 -1
- lusid/models/typed_resource_id.py +2 -2
- lusid/models/unmatched_holding_method.py +1 -1
- lusid/models/upsert_cds_flow_conventions_request.py +1 -1
- lusid/models/upsert_counterparty_agreement_request.py +1 -1
- lusid/models/upsert_flow_conventions_request.py +1 -1
- lusid/models/upsert_index_convention_request.py +1 -1
- lusid/models/upsert_quote_request.py +1 -1
- lusid/models/upsert_recipe_request.py +1 -1
- lusid/models/valuation_request.py +5 -5
- lusid/models/valuation_schedule.py +5 -5
- lusid/models/valuations_reconciliation_request.py +2 -2
- lusid/models/vendor_model_rule.py +3 -3
- lusid/models/virtual_document.py +1 -1
- lusid/models/weighted_instrument.py +2 -2
- lusid/models/weighted_instrument_in_line_lookup_identifiers.py +1 -1
- {lusid_sdk-2.1.911.dist-info → lusid_sdk-2.1.913.dist-info}/METADATA +3 -3
- {lusid_sdk-2.1.911.dist-info → lusid_sdk-2.1.913.dist-info}/RECORD +333 -333
- {lusid_sdk-2.1.911.dist-info → lusid_sdk-2.1.913.dist-info}/WHEEL +0 -0
lusid/api/funds_api.py
CHANGED
@@ -96,7 +96,7 @@ class FundsApi:
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def accept_estimate_valuation_point(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], valuation_point_data_request : Annotated[ValuationPointDataRequest, Field(..., description="The valuationPointDataRequest which contains the Diary Entry code for the Estimate Valuation Point to move to Candidate or Final state.")], nav_type_code : Annotated[Optional[StrictStr], Field( description="When provided Accepts the Valuation Point of the specified NAV Type. When not provided the Primary NAV Type will be Accepted.")] = None, async_req: Optional[bool]=None, **kwargs) -> Union[AcceptEstimateValuationPointResponse, Awaitable[AcceptEstimateValuationPointResponse]]: # noqa: E501
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"""[EXPERIMENTAL] AcceptEstimateValuationPoint: Accepts an Estimate Valuation Point. # noqa: E501
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Accepts the specified estimate Valuation Point.
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Accepts the specified estimate Valuation Point. Should the Valuation Point differ since the Valuation Point was last run, both Valuation Points will be returned and status will be marked as 'Candidate', otherwise it will be marked as 'Final'. # noqa: E501
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This method makes a synchronous HTTP request by default. To make an
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def accept_estimate_valuation_point_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], valuation_point_data_request : Annotated[ValuationPointDataRequest, Field(..., description="The valuationPointDataRequest which contains the Diary Entry code for the Estimate Valuation Point to move to Candidate or Final state.")], nav_type_code : Annotated[Optional[StrictStr], Field( description="When provided Accepts the Valuation Point of the specified NAV Type. When not provided the Primary NAV Type will be Accepted.")] = None, **kwargs) -> ApiResponse: # noqa: E501
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"""[EXPERIMENTAL] AcceptEstimateValuationPoint: Accepts an Estimate Valuation Point. # noqa: E501
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Accepts the specified estimate Valuation Point.
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Accepts the specified estimate Valuation Point. Should the Valuation Point differ since the Valuation Point was last run, both Valuation Points will be returned and status will be marked as 'Candidate', otherwise it will be marked as 'Final'. # noqa: E501
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This method makes a synchronous HTTP request by default. To make an
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@@ -1648,15 +1648,15 @@ class FundsApi:
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async def get_fee(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], fee_code : Annotated[StrictStr, Field(..., description="The code of the Fee.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to retrieve the Fee properties. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fee. Defaults to returning the latest version of the Fee if not specified.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fee' domain to decorate onto the Fee.
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async def get_fee(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], fee_code : Annotated[StrictStr, Field(..., description="The code of the Fee.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to retrieve the Fee properties. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fee. Defaults to returning the latest version of the Fee if not specified.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fee' domain to decorate onto the Fee. These must take the format {domain}/{scope}/{code}, for example 'Fee/Account/Id'. If no properties are specified, then no properties will be returned.")] = None, **kwargs) -> Fee: # noqa: E501
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...
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@overload
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-
def get_fee(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], fee_code : Annotated[StrictStr, Field(..., description="The code of the Fee.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to retrieve the Fee properties. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fee. Defaults to returning the latest version of the Fee if not specified.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fee' domain to decorate onto the Fee.
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+
def get_fee(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], fee_code : Annotated[StrictStr, Field(..., description="The code of the Fee.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to retrieve the Fee properties. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fee. Defaults to returning the latest version of the Fee if not specified.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fee' domain to decorate onto the Fee. These must take the format {domain}/{scope}/{code}, for example 'Fee/Account/Id'. If no properties are specified, then no properties will be returned.")] = None, async_req: Optional[bool]=True, **kwargs) -> Fee: # noqa: E501
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...
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@validate_arguments
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-
def get_fee(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], fee_code : Annotated[StrictStr, Field(..., description="The code of the Fee.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to retrieve the Fee properties. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fee. Defaults to returning the latest version of the Fee if not specified.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fee' domain to decorate onto the Fee.
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+
def get_fee(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], fee_code : Annotated[StrictStr, Field(..., description="The code of the Fee.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to retrieve the Fee properties. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fee. Defaults to returning the latest version of the Fee if not specified.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fee' domain to decorate onto the Fee. These must take the format {domain}/{scope}/{code}, for example 'Fee/Account/Id'. If no properties are specified, then no properties will be returned.")] = None, async_req: Optional[bool]=None, **kwargs) -> Union[Fee, Awaitable[Fee]]: # noqa: E501
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"""[EXPERIMENTAL] GetFee: Get a Fee for a specified Fund. # noqa: E501
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Retrieve a fee for a specified Fund # noqa: E501
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@@ -1676,7 +1676,7 @@ class FundsApi:
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:type effective_at: str
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:param as_at: The asAt datetime at which to retrieve the Fee. Defaults to returning the latest version of the Fee if not specified.
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:type as_at: datetime
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-
:param property_keys: A list of property keys from the 'Fee' domain to decorate onto the Fee.
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+
:param property_keys: A list of property keys from the 'Fee' domain to decorate onto the Fee. These must take the format {domain}/{scope}/{code}, for example 'Fee/Account/Id'. If no properties are specified, then no properties will be returned.
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:type property_keys: List[str]
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:param async_req: Whether to execute the request asynchronously.
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:type async_req: bool, optional
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@@ -1697,7 +1697,7 @@ class FundsApi:
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return self.get_fee_with_http_info(scope, code, fee_code, effective_at, as_at, property_keys, **kwargs) # noqa: E501
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@validate_arguments
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-
def get_fee_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], fee_code : Annotated[StrictStr, Field(..., description="The code of the Fee.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to retrieve the Fee properties. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fee. Defaults to returning the latest version of the Fee if not specified.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fee' domain to decorate onto the Fee.
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+
def get_fee_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], fee_code : Annotated[StrictStr, Field(..., description="The code of the Fee.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to retrieve the Fee properties. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fee. Defaults to returning the latest version of the Fee if not specified.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fee' domain to decorate onto the Fee. These must take the format {domain}/{scope}/{code}, for example 'Fee/Account/Id'. If no properties are specified, then no properties will be returned.")] = None, **kwargs) -> ApiResponse: # noqa: E501
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"""[EXPERIMENTAL] GetFee: Get a Fee for a specified Fund. # noqa: E501
|
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Retrieve a fee for a specified Fund # noqa: E501
|
@@ -1717,7 +1717,7 @@ class FundsApi:
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:type effective_at: str
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:param as_at: The asAt datetime at which to retrieve the Fee. Defaults to returning the latest version of the Fee if not specified.
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:type as_at: datetime
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-
:param property_keys: A list of property keys from the 'Fee' domain to decorate onto the Fee.
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+
:param property_keys: A list of property keys from the 'Fee' domain to decorate onto the Fee. These must take the format {domain}/{scope}/{code}, for example 'Fee/Account/Id'. If no properties are specified, then no properties will be returned.
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:type property_keys: List[str]
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:param async_req: Whether to execute the request asynchronously.
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:type async_req: bool, optional
|
@@ -2031,15 +2031,15 @@ class FundsApi:
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@overload
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2034
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-
async def get_fund(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to retrieve the Fund properties. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fund definition. Defaults to returning the latest version of the Fund definition if not specified.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fund' domain to decorate onto the Fund.
|
2034
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+
async def get_fund(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to retrieve the Fund properties. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fund definition. Defaults to returning the latest version of the Fund definition if not specified.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fund' domain to decorate onto the Fund. These must take the format {domain}/{scope}/{code}, for example 'Fund/Manager/Id'. If no properties are specified, then no properties will be returned.")] = None, **kwargs) -> Fund: # noqa: E501
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...
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@overload
|
2038
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-
def get_fund(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to retrieve the Fund properties. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fund definition. Defaults to returning the latest version of the Fund definition if not specified.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fund' domain to decorate onto the Fund.
|
2038
|
+
def get_fund(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to retrieve the Fund properties. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fund definition. Defaults to returning the latest version of the Fund definition if not specified.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fund' domain to decorate onto the Fund. These must take the format {domain}/{scope}/{code}, for example 'Fund/Manager/Id'. If no properties are specified, then no properties will be returned.")] = None, async_req: Optional[bool]=True, **kwargs) -> Fund: # noqa: E501
|
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...
|
2040
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|
2041
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@validate_arguments
|
2042
|
-
def get_fund(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to retrieve the Fund properties. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fund definition. Defaults to returning the latest version of the Fund definition if not specified.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fund' domain to decorate onto the Fund.
|
2042
|
+
def get_fund(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to retrieve the Fund properties. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fund definition. Defaults to returning the latest version of the Fund definition if not specified.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fund' domain to decorate onto the Fund. These must take the format {domain}/{scope}/{code}, for example 'Fund/Manager/Id'. If no properties are specified, then no properties will be returned.")] = None, async_req: Optional[bool]=None, **kwargs) -> Union[Fund, Awaitable[Fund]]: # noqa: E501
|
2043
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|
"""[EXPERIMENTAL] GetFund: Get a Fund. # noqa: E501
|
2044
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|
|
2045
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|
Retrieve the definition of a particular Fund. # noqa: E501
|
@@ -2057,7 +2057,7 @@ class FundsApi:
|
|
2057
2057
|
:type effective_at: str
|
2058
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:param as_at: The asAt datetime at which to retrieve the Fund definition. Defaults to returning the latest version of the Fund definition if not specified.
|
2059
2059
|
:type as_at: datetime
|
2060
|
-
:param property_keys: A list of property keys from the 'Fund' domain to decorate onto the Fund.
|
2060
|
+
:param property_keys: A list of property keys from the 'Fund' domain to decorate onto the Fund. These must take the format {domain}/{scope}/{code}, for example 'Fund/Manager/Id'. If no properties are specified, then no properties will be returned.
|
2061
2061
|
:type property_keys: List[str]
|
2062
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|
:param async_req: Whether to execute the request asynchronously.
|
2063
2063
|
:type async_req: bool, optional
|
@@ -2078,7 +2078,7 @@ class FundsApi:
|
|
2078
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|
return self.get_fund_with_http_info(scope, code, effective_at, as_at, property_keys, **kwargs) # noqa: E501
|
2079
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|
|
2080
2080
|
@validate_arguments
|
2081
|
-
def get_fund_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to retrieve the Fund properties. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fund definition. Defaults to returning the latest version of the Fund definition if not specified.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fund' domain to decorate onto the Fund.
|
2081
|
+
def get_fund_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to retrieve the Fund properties. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fund definition. Defaults to returning the latest version of the Fund definition if not specified.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fund' domain to decorate onto the Fund. These must take the format {domain}/{scope}/{code}, for example 'Fund/Manager/Id'. If no properties are specified, then no properties will be returned.")] = None, **kwargs) -> ApiResponse: # noqa: E501
|
2082
2082
|
"""[EXPERIMENTAL] GetFund: Get a Fund. # noqa: E501
|
2083
2083
|
|
2084
2084
|
Retrieve the definition of a particular Fund. # noqa: E501
|
@@ -2096,7 +2096,7 @@ class FundsApi:
|
|
2096
2096
|
:type effective_at: str
|
2097
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|
:param as_at: The asAt datetime at which to retrieve the Fund definition. Defaults to returning the latest version of the Fund definition if not specified.
|
2098
2098
|
:type as_at: datetime
|
2099
|
-
:param property_keys: A list of property keys from the 'Fund' domain to decorate onto the Fund.
|
2099
|
+
:param property_keys: A list of property keys from the 'Fund' domain to decorate onto the Fund. These must take the format {domain}/{scope}/{code}, for example 'Fund/Manager/Id'. If no properties are specified, then no properties will be returned.
|
2100
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|
:type property_keys: List[str]
|
2101
2101
|
:param async_req: Whether to execute the request asynchronously.
|
2102
2102
|
:type async_req: bool, optional
|
@@ -2398,15 +2398,15 @@ class FundsApi:
|
|
2398
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|
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2399
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|
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2400
|
@overload
|
2401
|
-
async def get_holdings_for_fund(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], single_valuation_point_query_parameters : Annotated[SingleValuationPointQueryParameters, Field(..., description="The query parameters used for diary entry or effective date of Holdings")], nav_type_code : Annotated[Optional[StrictStr], Field( description="When provided runs against the specified NAV Type, otherwise the Primary NAV Type will be used.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the holdings of transaction portfolios in the Fund. Defaults
|
2401
|
+
async def get_holdings_for_fund(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], single_valuation_point_query_parameters : Annotated[SingleValuationPointQueryParameters, Field(..., description="The query parameters used for diary entry or effective date of Holdings")], nav_type_code : Annotated[Optional[StrictStr], Field( description="When provided runs against the specified NAV Type, otherwise the Primary NAV Type will be used.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the holdings of transaction portfolios in the Fund. Defaults to return the latest version of the holdings if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the result set. Read more about filtering results from LUSID here https://support.lusid.com/filtering-results-from-lusid.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the \"Instrument\", \"Holding\" or \"Portfolio\" domain to decorate onto the holdings. These take the format {domain}/{scope}/{code} e.g. \"Instrument/system/Name\" or \"Holding/system/Cost\".")] = None, by_taxlots : Annotated[Optional[StrictBool], Field(description="Whether to expand the holdings to return the underlying tax-lots. Defaults to False.")] = None, include_settlement_events_after_days : Annotated[Optional[StrictInt], Field(description="Number of days ahead to bring back settlements from, in relation to the specified effectiveAt")] = None, **kwargs) -> VersionedResourceListOfPortfolioHolding: # noqa: E501
|
2402
2402
|
...
|
2403
2403
|
|
2404
2404
|
@overload
|
2405
|
-
def get_holdings_for_fund(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], single_valuation_point_query_parameters : Annotated[SingleValuationPointQueryParameters, Field(..., description="The query parameters used for diary entry or effective date of Holdings")], nav_type_code : Annotated[Optional[StrictStr], Field( description="When provided runs against the specified NAV Type, otherwise the Primary NAV Type will be used.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the holdings of transaction portfolios in the Fund. Defaults
|
2405
|
+
def get_holdings_for_fund(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], single_valuation_point_query_parameters : Annotated[SingleValuationPointQueryParameters, Field(..., description="The query parameters used for diary entry or effective date of Holdings")], nav_type_code : Annotated[Optional[StrictStr], Field( description="When provided runs against the specified NAV Type, otherwise the Primary NAV Type will be used.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the holdings of transaction portfolios in the Fund. Defaults to return the latest version of the holdings if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the result set. Read more about filtering results from LUSID here https://support.lusid.com/filtering-results-from-lusid.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the \"Instrument\", \"Holding\" or \"Portfolio\" domain to decorate onto the holdings. These take the format {domain}/{scope}/{code} e.g. \"Instrument/system/Name\" or \"Holding/system/Cost\".")] = None, by_taxlots : Annotated[Optional[StrictBool], Field(description="Whether to expand the holdings to return the underlying tax-lots. Defaults to False.")] = None, include_settlement_events_after_days : Annotated[Optional[StrictInt], Field(description="Number of days ahead to bring back settlements from, in relation to the specified effectiveAt")] = None, async_req: Optional[bool]=True, **kwargs) -> VersionedResourceListOfPortfolioHolding: # noqa: E501
|
2406
2406
|
...
|
2407
2407
|
|
2408
2408
|
@validate_arguments
|
2409
|
-
def get_holdings_for_fund(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], single_valuation_point_query_parameters : Annotated[SingleValuationPointQueryParameters, Field(..., description="The query parameters used for diary entry or effective date of Holdings")], nav_type_code : Annotated[Optional[StrictStr], Field( description="When provided runs against the specified NAV Type, otherwise the Primary NAV Type will be used.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the holdings of transaction portfolios in the Fund. Defaults
|
2409
|
+
def get_holdings_for_fund(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], single_valuation_point_query_parameters : Annotated[SingleValuationPointQueryParameters, Field(..., description="The query parameters used for diary entry or effective date of Holdings")], nav_type_code : Annotated[Optional[StrictStr], Field( description="When provided runs against the specified NAV Type, otherwise the Primary NAV Type will be used.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the holdings of transaction portfolios in the Fund. Defaults to return the latest version of the holdings if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the result set. Read more about filtering results from LUSID here https://support.lusid.com/filtering-results-from-lusid.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the \"Instrument\", \"Holding\" or \"Portfolio\" domain to decorate onto the holdings. These take the format {domain}/{scope}/{code} e.g. \"Instrument/system/Name\" or \"Holding/system/Cost\".")] = None, by_taxlots : Annotated[Optional[StrictBool], Field(description="Whether to expand the holdings to return the underlying tax-lots. Defaults to False.")] = None, include_settlement_events_after_days : Annotated[Optional[StrictInt], Field(description="Number of days ahead to bring back settlements from, in relation to the specified effectiveAt")] = None, async_req: Optional[bool]=None, **kwargs) -> Union[VersionedResourceListOfPortfolioHolding, Awaitable[VersionedResourceListOfPortfolioHolding]]: # noqa: E501
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"""[EXPERIMENTAL] GetHoldingsForFund: Get holdings for transaction portfolios in a Fund. # noqa: E501
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Get the holdings of transaction portfolios in a specified Fund. # noqa: E501
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@@ -2424,11 +2424,11 @@ class FundsApi:
|
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:type single_valuation_point_query_parameters: SingleValuationPointQueryParameters
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:param nav_type_code: When provided runs against the specified NAV Type, otherwise the Primary NAV Type will be used.
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:type nav_type_code: str
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-
:param as_at: The asAt datetime at which to retrieve the holdings of transaction portfolios in the Fund. Defaults
|
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+
:param as_at: The asAt datetime at which to retrieve the holdings of transaction portfolios in the Fund. Defaults to return the latest version of the holdings if not specified.
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:type as_at: datetime
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:param filter: Expression to filter the result set. Read more about filtering results from LUSID here https://support.lusid.com/filtering-results-from-lusid.
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:type filter: str
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-
:param property_keys: A list of property keys from the \"Instrument\", \"Holding\" or \"Portfolio\" domain to decorate onto
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+
:param property_keys: A list of property keys from the \"Instrument\", \"Holding\" or \"Portfolio\" domain to decorate onto the holdings. These take the format {domain}/{scope}/{code} e.g. \"Instrument/system/Name\" or \"Holding/system/Cost\".
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:type property_keys: List[str]
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:param by_taxlots: Whether to expand the holdings to return the underlying tax-lots. Defaults to False.
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:type by_taxlots: bool
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@@ -2453,7 +2453,7 @@ class FundsApi:
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return self.get_holdings_for_fund_with_http_info(scope, code, single_valuation_point_query_parameters, nav_type_code, as_at, filter, property_keys, by_taxlots, include_settlement_events_after_days, **kwargs) # noqa: E501
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@validate_arguments
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-
def get_holdings_for_fund_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], single_valuation_point_query_parameters : Annotated[SingleValuationPointQueryParameters, Field(..., description="The query parameters used for diary entry or effective date of Holdings")], nav_type_code : Annotated[Optional[StrictStr], Field( description="When provided runs against the specified NAV Type, otherwise the Primary NAV Type will be used.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the holdings of transaction portfolios in the Fund. Defaults
|
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+
def get_holdings_for_fund_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], single_valuation_point_query_parameters : Annotated[SingleValuationPointQueryParameters, Field(..., description="The query parameters used for diary entry or effective date of Holdings")], nav_type_code : Annotated[Optional[StrictStr], Field( description="When provided runs against the specified NAV Type, otherwise the Primary NAV Type will be used.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the holdings of transaction portfolios in the Fund. Defaults to return the latest version of the holdings if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the result set. Read more about filtering results from LUSID here https://support.lusid.com/filtering-results-from-lusid.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the \"Instrument\", \"Holding\" or \"Portfolio\" domain to decorate onto the holdings. These take the format {domain}/{scope}/{code} e.g. \"Instrument/system/Name\" or \"Holding/system/Cost\".")] = None, by_taxlots : Annotated[Optional[StrictBool], Field(description="Whether to expand the holdings to return the underlying tax-lots. Defaults to False.")] = None, include_settlement_events_after_days : Annotated[Optional[StrictInt], Field(description="Number of days ahead to bring back settlements from, in relation to the specified effectiveAt")] = None, **kwargs) -> ApiResponse: # noqa: E501
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"""[EXPERIMENTAL] GetHoldingsForFund: Get holdings for transaction portfolios in a Fund. # noqa: E501
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Get the holdings of transaction portfolios in a specified Fund. # noqa: E501
|
@@ -2471,11 +2471,11 @@ class FundsApi:
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:type single_valuation_point_query_parameters: SingleValuationPointQueryParameters
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:param nav_type_code: When provided runs against the specified NAV Type, otherwise the Primary NAV Type will be used.
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:type nav_type_code: str
|
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-
:param as_at: The asAt datetime at which to retrieve the holdings of transaction portfolios in the Fund. Defaults
|
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|
+
:param as_at: The asAt datetime at which to retrieve the holdings of transaction portfolios in the Fund. Defaults to return the latest version of the holdings if not specified.
|
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:type as_at: datetime
|
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:param filter: Expression to filter the result set. Read more about filtering results from LUSID here https://support.lusid.com/filtering-results-from-lusid.
|
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:type filter: str
|
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-
:param property_keys: A list of property keys from the \"Instrument\", \"Holding\" or \"Portfolio\" domain to decorate onto
|
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|
+
:param property_keys: A list of property keys from the \"Instrument\", \"Holding\" or \"Portfolio\" domain to decorate onto the holdings. These take the format {domain}/{scope}/{code} e.g. \"Instrument/system/Name\" or \"Holding/system/Cost\".
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:type property_keys: List[str]
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:param by_taxlots: Whether to expand the holdings to return the underlying tax-lots. Defaults to False.
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|
:type by_taxlots: bool
|
@@ -2819,7 +2819,7 @@ class FundsApi:
|
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def get_valuation_point_data(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the Valuation Point data")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fund definition. Defaults to returning the latest version of the Fund definition if not specified.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="When provided runs against the specified NAV Type, otherwise the Primary NAV Type will be used.")] = None, async_req: Optional[bool]=None, **kwargs) -> Union[ValuationPointDataResponse, Awaitable[ValuationPointDataResponse]]: # noqa: E501
|
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|
"""[EXPERIMENTAL] GetValuationPointData: Get Valuation Point Data for a Fund. # noqa: E501
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2821
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|
|
2822
|
-
Retrieves the Valuation Point data for a date or specified Diary Entry Id.
|
2822
|
+
Retrieves the Valuation Point data for a date or specified Diary Entry Id. The endpoint will internally extract all 'Assets' and 'Liabilities' from the related ABOR's Trial balance to produce a GAV. Start date will be assumed from the last 'official' DiaryEntry and EndDate will be as provided. # noqa: E501
|
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This method makes a synchronous HTTP request by default. To make an
|
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|
asynchronous HTTP request, please pass async_req=True
|
2825
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|
@@ -2858,7 +2858,7 @@ class FundsApi:
|
|
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|
def get_valuation_point_data_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the Valuation Point data")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Fund definition. Defaults to returning the latest version of the Fund definition if not specified.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="When provided runs against the specified NAV Type, otherwise the Primary NAV Type will be used.")] = None, **kwargs) -> ApiResponse: # noqa: E501
|
2859
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|
"""[EXPERIMENTAL] GetValuationPointData: Get Valuation Point Data for a Fund. # noqa: E501
|
2860
2860
|
|
2861
|
-
Retrieves the Valuation Point data for a date or specified Diary Entry Id.
|
2861
|
+
Retrieves the Valuation Point data for a date or specified Diary Entry Id. The endpoint will internally extract all 'Assets' and 'Liabilities' from the related ABOR's Trial balance to produce a GAV. Start date will be assumed from the last 'official' DiaryEntry and EndDate will be as provided. # noqa: E501
|
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This method makes a synchronous HTTP request by default. To make an
|
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|
asynchronous HTTP request, please pass async_req=True
|
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|
@@ -3002,18 +3002,18 @@ class FundsApi:
|
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3002
3002
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|
3003
3003
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|
3004
3004
|
@overload
|
3005
|
-
async def get_valuation_point_journal_entry_lines(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is creating the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the Journal Entry lines.")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve Journal Entry lines. Defaults to returning the latest version
|
3005
|
+
async def get_valuation_point_journal_entry_lines(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is creating the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the Journal Entry lines.")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve Journal Entry lines. Defaults to returning the latest version of each transaction if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the result set.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the number of returned results to this many. Defaults to 100 if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Journal Entry lines from a previous call to GetValuationPointJournalEntryLines.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, **kwargs) -> ValuationPointResourceListOfFundJournalEntryLine: # noqa: E501
|
3006
3006
|
...
|
3007
3007
|
|
3008
3008
|
@overload
|
3009
|
-
def get_valuation_point_journal_entry_lines(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is creating the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the Journal Entry lines.")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve Journal Entry lines. Defaults to returning the latest version
|
3009
|
+
def get_valuation_point_journal_entry_lines(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is creating the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the Journal Entry lines.")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve Journal Entry lines. Defaults to returning the latest version of each transaction if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the result set.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the number of returned results to this many. Defaults to 100 if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Journal Entry lines from a previous call to GetValuationPointJournalEntryLines.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, async_req: Optional[bool]=True, **kwargs) -> ValuationPointResourceListOfFundJournalEntryLine: # noqa: E501
|
3010
3010
|
...
|
3011
3011
|
|
3012
3012
|
@validate_arguments
|
3013
|
-
def get_valuation_point_journal_entry_lines(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is creating the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the Journal Entry lines.")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve Journal Entry lines. Defaults to returning the latest version
|
3013
|
+
def get_valuation_point_journal_entry_lines(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is creating the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the Journal Entry lines.")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve Journal Entry lines. Defaults to returning the latest version of each transaction if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the result set.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the number of returned results to this many. Defaults to 100 if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Journal Entry lines from a previous call to GetValuationPointJournalEntryLines.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, async_req: Optional[bool]=None, **kwargs) -> Union[ValuationPointResourceListOfFundJournalEntryLine, Awaitable[ValuationPointResourceListOfFundJournalEntryLine]]: # noqa: E501
|
3014
3014
|
"""[EXPERIMENTAL] GetValuationPointJournalEntryLines: Get the Journal Entry lines for the given Fund. # noqa: E501
|
3015
3015
|
|
3016
|
-
Gets the Journal Entry lines for the given Valuation Point for a Fund
|
3016
|
+
Gets the Journal Entry lines for the given Valuation Point for a Fund The Journal Entry lines have been generated from transactions, translated via posting rules and used in the valuation point # noqa: E501
|
3017
3017
|
This method makes a synchronous HTTP request by default. To make an
|
3018
3018
|
asynchronous HTTP request, please pass async_req=True
|
3019
3019
|
|
@@ -3028,7 +3028,7 @@ class FundsApi:
|
|
3028
3028
|
:type valuation_point_data_query_parameters: ValuationPointDataQueryParameters
|
3029
3029
|
:param general_ledger_profile_code: The optional code of a general ledger profile used to decorate journal entry lines with levels.
|
3030
3030
|
:type general_ledger_profile_code: str
|
3031
|
-
:param as_at: The asAt datetime at which to retrieve Journal Entry lines. Defaults to returning the latest version
|
3031
|
+
:param as_at: The asAt datetime at which to retrieve Journal Entry lines. Defaults to returning the latest version of each transaction if not specified.
|
3032
3032
|
:type as_at: datetime
|
3033
3033
|
:param filter: Expression to filter the result set.
|
3034
3034
|
:type filter: str
|
@@ -3036,7 +3036,7 @@ class FundsApi:
|
|
3036
3036
|
:type limit: int
|
3037
3037
|
:param page: The pagination token to use to continue listing Journal Entry lines from a previous call to GetValuationPointJournalEntryLines.
|
3038
3038
|
:type page: str
|
3039
|
-
:param property_keys: A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount'
|
3039
|
+
:param property_keys: A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.
|
3040
3040
|
:type property_keys: List[str]
|
3041
3041
|
:param nav_type_code: May be provided to view a specific NAV type. When not provided, Primary NAV will be used.
|
3042
3042
|
:type nav_type_code: str
|
@@ -3059,10 +3059,10 @@ class FundsApi:
|
|
3059
3059
|
return self.get_valuation_point_journal_entry_lines_with_http_info(scope, code, valuation_point_data_query_parameters, general_ledger_profile_code, as_at, filter, limit, page, property_keys, nav_type_code, **kwargs) # noqa: E501
|
3060
3060
|
|
3061
3061
|
@validate_arguments
|
3062
|
-
def get_valuation_point_journal_entry_lines_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is creating the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the Journal Entry lines.")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve Journal Entry lines. Defaults to returning the latest version
|
3062
|
+
def get_valuation_point_journal_entry_lines_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is creating the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the Journal Entry lines.")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve Journal Entry lines. Defaults to returning the latest version of each transaction if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the result set.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the number of returned results to this many. Defaults to 100 if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Journal Entry lines from a previous call to GetValuationPointJournalEntryLines.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, **kwargs) -> ApiResponse: # noqa: E501
|
3063
3063
|
"""[EXPERIMENTAL] GetValuationPointJournalEntryLines: Get the Journal Entry lines for the given Fund. # noqa: E501
|
3064
3064
|
|
3065
|
-
Gets the Journal Entry lines for the given Valuation Point for a Fund
|
3065
|
+
Gets the Journal Entry lines for the given Valuation Point for a Fund The Journal Entry lines have been generated from transactions, translated via posting rules and used in the valuation point # noqa: E501
|
3066
3066
|
This method makes a synchronous HTTP request by default. To make an
|
3067
3067
|
asynchronous HTTP request, please pass async_req=True
|
3068
3068
|
|
@@ -3077,7 +3077,7 @@ class FundsApi:
|
|
3077
3077
|
:type valuation_point_data_query_parameters: ValuationPointDataQueryParameters
|
3078
3078
|
:param general_ledger_profile_code: The optional code of a general ledger profile used to decorate journal entry lines with levels.
|
3079
3079
|
:type general_ledger_profile_code: str
|
3080
|
-
:param as_at: The asAt datetime at which to retrieve Journal Entry lines. Defaults to returning the latest version
|
3080
|
+
:param as_at: The asAt datetime at which to retrieve Journal Entry lines. Defaults to returning the latest version of each transaction if not specified.
|
3081
3081
|
:type as_at: datetime
|
3082
3082
|
:param filter: Expression to filter the result set.
|
3083
3083
|
:type filter: str
|
@@ -3085,7 +3085,7 @@ class FundsApi:
|
|
3085
3085
|
:type limit: int
|
3086
3086
|
:param page: The pagination token to use to continue listing Journal Entry lines from a previous call to GetValuationPointJournalEntryLines.
|
3087
3087
|
:type page: str
|
3088
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-
:param property_keys: A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount'
|
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+
:param property_keys: A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.
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:type property_keys: List[str]
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:param nav_type_code: May be provided to view a specific NAV type. When not provided, Primary NAV will be used.
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:type nav_type_code: str
|
@@ -3237,15 +3237,15 @@ class FundsApi:
|
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@overload
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-
async def get_valuation_point_pnl_summary(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The query parameters used in running the generation of the PnL summary")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve PnL summary. Defaults to returning the latest version
|
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+
async def get_valuation_point_pnl_summary(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The query parameters used in running the generation of the PnL summary")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve PnL summary. Defaults to returning the latest version of each transaction if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="\"Expression to filter the result set.\"")] = None, limit : Annotated[Optional[StrictInt], Field(description="When paginating, limit the number of returned results to this many. Defaults to 100 if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Trial balance from a previous call to Trial balance.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, **kwargs) -> ValuationPointResourceListOfPnlJournalEntryLine: # noqa: E501
|
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...
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|
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@overload
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-
def get_valuation_point_pnl_summary(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The query parameters used in running the generation of the PnL summary")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve PnL summary. Defaults to returning the latest version
|
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+
def get_valuation_point_pnl_summary(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The query parameters used in running the generation of the PnL summary")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve PnL summary. Defaults to returning the latest version of each transaction if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="\"Expression to filter the result set.\"")] = None, limit : Annotated[Optional[StrictInt], Field(description="When paginating, limit the number of returned results to this many. Defaults to 100 if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Trial balance from a previous call to Trial balance.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, async_req: Optional[bool]=True, **kwargs) -> ValuationPointResourceListOfPnlJournalEntryLine: # noqa: E501
|
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...
|
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|
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@validate_arguments
|
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-
def get_valuation_point_pnl_summary(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The query parameters used in running the generation of the PnL summary")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve PnL summary. Defaults to returning the latest version
|
3248
|
+
def get_valuation_point_pnl_summary(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The query parameters used in running the generation of the PnL summary")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve PnL summary. Defaults to returning the latest version of each transaction if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="\"Expression to filter the result set.\"")] = None, limit : Annotated[Optional[StrictInt], Field(description="When paginating, limit the number of returned results to this many. Defaults to 100 if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Trial balance from a previous call to Trial balance.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, async_req: Optional[bool]=None, **kwargs) -> Union[ValuationPointResourceListOfPnlJournalEntryLine, Awaitable[ValuationPointResourceListOfPnlJournalEntryLine]]: # noqa: E501
|
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"""[EXPERIMENTAL] GetValuationPointPnlSummary: Get a PnL summary for the given Valuation Point in the Fund. # noqa: E501
|
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|
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|
Gets the PnL Summary lines from the journal entry lines produced when calculating the valuation point. # noqa: E501
|
@@ -3263,7 +3263,7 @@ class FundsApi:
|
|
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:type valuation_point_data_query_parameters: ValuationPointDataQueryParameters
|
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:param general_ledger_profile_code: The optional code of a general ledger profile used to decorate journal entry lines with levels.
|
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|
:type general_ledger_profile_code: str
|
3266
|
-
:param as_at: The asAt datetime at which to retrieve PnL summary. Defaults to returning the latest version
|
3266
|
+
:param as_at: The asAt datetime at which to retrieve PnL summary. Defaults to returning the latest version of each transaction if not specified.
|
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|
:type as_at: datetime
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:param filter: \"Expression to filter the result set.\"
|
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:type filter: str
|
@@ -3292,7 +3292,7 @@ class FundsApi:
|
|
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return self.get_valuation_point_pnl_summary_with_http_info(scope, code, valuation_point_data_query_parameters, general_ledger_profile_code, as_at, filter, limit, page, nav_type_code, **kwargs) # noqa: E501
|
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|
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@validate_arguments
|
3295
|
-
def get_valuation_point_pnl_summary_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The query parameters used in running the generation of the PnL summary")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve PnL summary. Defaults to returning the latest version
|
3295
|
+
def get_valuation_point_pnl_summary_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The query parameters used in running the generation of the PnL summary")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve PnL summary. Defaults to returning the latest version of each transaction if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="\"Expression to filter the result set.\"")] = None, limit : Annotated[Optional[StrictInt], Field(description="When paginating, limit the number of returned results to this many. Defaults to 100 if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Trial balance from a previous call to Trial balance.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, **kwargs) -> ApiResponse: # noqa: E501
|
3296
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"""[EXPERIMENTAL] GetValuationPointPnlSummary: Get a PnL summary for the given Valuation Point in the Fund. # noqa: E501
|
3297
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|
|
3298
3298
|
Gets the PnL Summary lines from the journal entry lines produced when calculating the valuation point. # noqa: E501
|
@@ -3310,7 +3310,7 @@ class FundsApi:
|
|
3310
3310
|
:type valuation_point_data_query_parameters: ValuationPointDataQueryParameters
|
3311
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|
:param general_ledger_profile_code: The optional code of a general ledger profile used to decorate journal entry lines with levels.
|
3312
3312
|
:type general_ledger_profile_code: str
|
3313
|
-
:param as_at: The asAt datetime at which to retrieve PnL summary. Defaults to returning the latest version
|
3313
|
+
:param as_at: The asAt datetime at which to retrieve PnL summary. Defaults to returning the latest version of each transaction if not specified.
|
3314
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|
:type as_at: datetime
|
3315
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|
:param filter: \"Expression to filter the result set.\"
|
3316
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|
:type filter: str
|
@@ -3463,15 +3463,15 @@ class FundsApi:
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3463
3463
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|
3464
3464
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|
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@overload
|
3466
|
-
async def get_valuation_point_transactions(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is creating the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the transactions.")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve transactions. Defaults to returning the latest version
|
3466
|
+
async def get_valuation_point_transactions(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is creating the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the transactions.")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve transactions. Defaults to returning the latest version of each transaction if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the result set.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the number of returned results to this many. Defaults to 100 if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing transactions from a previous call to GetValuationPointTransactions.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, **kwargs) -> ValuationPointResourceListOfAccountedTransaction: # noqa: E501
|
3467
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|
...
|
3468
3468
|
|
3469
3469
|
@overload
|
3470
|
-
def get_valuation_point_transactions(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is creating the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the transactions.")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve transactions. Defaults to returning the latest version
|
3470
|
+
def get_valuation_point_transactions(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is creating the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the transactions.")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve transactions. Defaults to returning the latest version of each transaction if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the result set.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the number of returned results to this many. Defaults to 100 if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing transactions from a previous call to GetValuationPointTransactions.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, async_req: Optional[bool]=True, **kwargs) -> ValuationPointResourceListOfAccountedTransaction: # noqa: E501
|
3471
3471
|
...
|
3472
3472
|
|
3473
3473
|
@validate_arguments
|
3474
|
-
def get_valuation_point_transactions(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is creating the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the transactions.")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve transactions. Defaults to returning the latest version
|
3474
|
+
def get_valuation_point_transactions(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is creating the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the transactions.")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve transactions. Defaults to returning the latest version of each transaction if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the result set.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the number of returned results to this many. Defaults to 100 if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing transactions from a previous call to GetValuationPointTransactions.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, async_req: Optional[bool]=None, **kwargs) -> Union[ValuationPointResourceListOfAccountedTransaction, Awaitable[ValuationPointResourceListOfAccountedTransaction]]: # noqa: E501
|
3475
3475
|
"""[EXPERIMENTAL] GetValuationPointTransactions: Get the Transactions for the given Fund. # noqa: E501
|
3476
3476
|
|
3477
3477
|
Gets the Transactions for the given Valuation Point for a Fund # noqa: E501
|
@@ -3487,7 +3487,7 @@ class FundsApi:
|
|
3487
3487
|
:type code: str
|
3488
3488
|
:param valuation_point_data_query_parameters: The arguments to use for querying the transactions. (required)
|
3489
3489
|
:type valuation_point_data_query_parameters: ValuationPointDataQueryParameters
|
3490
|
-
:param as_at: The asAt datetime at which to retrieve transactions. Defaults to returning the latest version
|
3490
|
+
:param as_at: The asAt datetime at which to retrieve transactions. Defaults to returning the latest version of each transaction if not specified.
|
3491
3491
|
:type as_at: datetime
|
3492
3492
|
:param filter: Expression to filter the result set.
|
3493
3493
|
:type filter: str
|
@@ -3495,7 +3495,7 @@ class FundsApi:
|
|
3495
3495
|
:type limit: int
|
3496
3496
|
:param page: The pagination token to use to continue listing transactions from a previous call to GetValuationPointTransactions.
|
3497
3497
|
:type page: str
|
3498
|
-
:param property_keys: A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount'
|
3498
|
+
:param property_keys: A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.
|
3499
3499
|
:type property_keys: List[str]
|
3500
3500
|
:param nav_type_code: May be provided to view a specific NAV type. When not provided, Primary NAV will be used.
|
3501
3501
|
:type nav_type_code: str
|
@@ -3518,7 +3518,7 @@ class FundsApi:
|
|
3518
3518
|
return self.get_valuation_point_transactions_with_http_info(scope, code, valuation_point_data_query_parameters, as_at, filter, limit, page, property_keys, nav_type_code, **kwargs) # noqa: E501
|
3519
3519
|
|
3520
3520
|
@validate_arguments
|
3521
|
-
def get_valuation_point_transactions_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is creating the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the transactions.")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve transactions. Defaults to returning the latest version
|
3521
|
+
def get_valuation_point_transactions_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope is creating the unique identifier for the given Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The arguments to use for querying the transactions.")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve transactions. Defaults to returning the latest version of each transaction if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the result set.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the number of returned results to this many. Defaults to 100 if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing transactions from a previous call to GetValuationPointTransactions.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, **kwargs) -> ApiResponse: # noqa: E501
|
3522
3522
|
"""[EXPERIMENTAL] GetValuationPointTransactions: Get the Transactions for the given Fund. # noqa: E501
|
3523
3523
|
|
3524
3524
|
Gets the Transactions for the given Valuation Point for a Fund # noqa: E501
|
@@ -3534,7 +3534,7 @@ class FundsApi:
|
|
3534
3534
|
:type code: str
|
3535
3535
|
:param valuation_point_data_query_parameters: The arguments to use for querying the transactions. (required)
|
3536
3536
|
:type valuation_point_data_query_parameters: ValuationPointDataQueryParameters
|
3537
|
-
:param as_at: The asAt datetime at which to retrieve transactions. Defaults to returning the latest version
|
3537
|
+
:param as_at: The asAt datetime at which to retrieve transactions. Defaults to returning the latest version of each transaction if not specified.
|
3538
3538
|
:type as_at: datetime
|
3539
3539
|
:param filter: Expression to filter the result set.
|
3540
3540
|
:type filter: str
|
@@ -3542,7 +3542,7 @@ class FundsApi:
|
|
3542
3542
|
:type limit: int
|
3543
3543
|
:param page: The pagination token to use to continue listing transactions from a previous call to GetValuationPointTransactions.
|
3544
3544
|
:type page: str
|
3545
|
-
:param property_keys: A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount'
|
3545
|
+
:param property_keys: A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.
|
3546
3546
|
:type property_keys: List[str]
|
3547
3547
|
:param nav_type_code: May be provided to view a specific NAV type. When not provided, Primary NAV will be used.
|
3548
3548
|
:type nav_type_code: str
|
@@ -3690,18 +3690,18 @@ class FundsApi:
|
|
3690
3690
|
|
3691
3691
|
|
3692
3692
|
@overload
|
3693
|
-
async def get_valuation_point_trial_balance(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The query parameters used in running the generation of the Trial Balance.")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Trial Balance.
|
3693
|
+
async def get_valuation_point_trial_balance(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The query parameters used in running the generation of the Trial Balance.")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Trial Balance. Defaults to returning the latest version if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results by. For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the number of returned results to this number. Defaults to 100 if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Trial Balances. This token is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, **kwargs) -> ValuationPointResourceListOfTrialBalance: # noqa: E501
|
3694
3694
|
...
|
3695
3695
|
|
3696
3696
|
@overload
|
3697
|
-
def get_valuation_point_trial_balance(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The query parameters used in running the generation of the Trial Balance.")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Trial Balance.
|
3697
|
+
def get_valuation_point_trial_balance(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The query parameters used in running the generation of the Trial Balance.")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Trial Balance. Defaults to returning the latest version if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results by. For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the number of returned results to this number. Defaults to 100 if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Trial Balances. This token is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, async_req: Optional[bool]=True, **kwargs) -> ValuationPointResourceListOfTrialBalance: # noqa: E501
|
3698
3698
|
...
|
3699
3699
|
|
3700
3700
|
@validate_arguments
|
3701
|
-
def get_valuation_point_trial_balance(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The query parameters used in running the generation of the Trial Balance.")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Trial Balance.
|
3701
|
+
def get_valuation_point_trial_balance(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The query parameters used in running the generation of the Trial Balance.")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Trial Balance. Defaults to returning the latest version if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results by. For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the number of returned results to this number. Defaults to 100 if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Trial Balances. This token is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, async_req: Optional[bool]=None, **kwargs) -> Union[ValuationPointResourceListOfTrialBalance, Awaitable[ValuationPointResourceListOfTrialBalance]]: # noqa: E501
|
3702
3702
|
"""[EXPERIMENTAL] GetValuationPointTrialBalance: Get Trial Balance for the given Fund. # noqa: E501
|
3703
3703
|
|
3704
|
-
Gets the Trial Balance for the given Valuation Point for a Fund.
|
3704
|
+
Gets the Trial Balance for the given Valuation Point for a Fund. The Trial Balance has been generated from transactions, translated via Posting Rules and aggregated based on a General Ledger Profile (where specified). # noqa: E501
|
3705
3705
|
This method makes a synchronous HTTP request by default. To make an
|
3706
3706
|
asynchronous HTTP request, please pass async_req=True
|
3707
3707
|
|
@@ -3716,15 +3716,15 @@ class FundsApi:
|
|
3716
3716
|
:type valuation_point_data_query_parameters: ValuationPointDataQueryParameters
|
3717
3717
|
:param general_ledger_profile_code: The optional code of a general ledger profile used to decorate journal entry lines with levels.
|
3718
3718
|
:type general_ledger_profile_code: str
|
3719
|
-
:param as_at: The asAt datetime at which to retrieve the Trial Balance.
|
3719
|
+
:param as_at: The asAt datetime at which to retrieve the Trial Balance. Defaults to returning the latest version if not specified.
|
3720
3720
|
:type as_at: datetime
|
3721
|
-
:param filter: Expression to filter the results by.
|
3721
|
+
:param filter: Expression to filter the results by. For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.
|
3722
3722
|
:type filter: str
|
3723
|
-
:param limit: When paginating, limit the number of returned results to this number.
|
3723
|
+
:param limit: When paginating, limit the number of returned results to this number. Defaults to 100 if not specified.
|
3724
3724
|
:type limit: int
|
3725
|
-
:param page: The pagination token to use to continue listing Trial Balances.
|
3725
|
+
:param page: The pagination token to use to continue listing Trial Balances. This token is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.
|
3726
3726
|
:type page: str
|
3727
|
-
:param property_keys: A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount'
|
3727
|
+
:param property_keys: A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.
|
3728
3728
|
:type property_keys: List[str]
|
3729
3729
|
:param nav_type_code: May be provided to view a specific NAV type. When not provided, Primary NAV will be used.
|
3730
3730
|
:type nav_type_code: str
|
@@ -3747,10 +3747,10 @@ class FundsApi:
|
|
3747
3747
|
return self.get_valuation_point_trial_balance_with_http_info(scope, code, valuation_point_data_query_parameters, general_ledger_profile_code, as_at, filter, limit, page, property_keys, nav_type_code, **kwargs) # noqa: E501
|
3748
3748
|
|
3749
3749
|
@validate_arguments
|
3750
|
-
def get_valuation_point_trial_balance_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The query parameters used in running the generation of the Trial Balance.")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Trial Balance.
|
3750
|
+
def get_valuation_point_trial_balance_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], valuation_point_data_query_parameters : Annotated[ValuationPointDataQueryParameters, Field(..., description="The query parameters used in running the generation of the Trial Balance.")], general_ledger_profile_code : Annotated[Optional[StrictStr], Field( description="The optional code of a general ledger profile used to decorate journal entry lines with levels.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to retrieve the Trial Balance. Defaults to returning the latest version if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results by. For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the number of returned results to this number. Defaults to 100 if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Trial Balances. This token is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, **kwargs) -> ApiResponse: # noqa: E501
|
3751
3751
|
"""[EXPERIMENTAL] GetValuationPointTrialBalance: Get Trial Balance for the given Fund. # noqa: E501
|
3752
3752
|
|
3753
|
-
Gets the Trial Balance for the given Valuation Point for a Fund.
|
3753
|
+
Gets the Trial Balance for the given Valuation Point for a Fund. The Trial Balance has been generated from transactions, translated via Posting Rules and aggregated based on a General Ledger Profile (where specified). # noqa: E501
|
3754
3754
|
This method makes a synchronous HTTP request by default. To make an
|
3755
3755
|
asynchronous HTTP request, please pass async_req=True
|
3756
3756
|
|
@@ -3765,15 +3765,15 @@ class FundsApi:
|
|
3765
3765
|
:type valuation_point_data_query_parameters: ValuationPointDataQueryParameters
|
3766
3766
|
:param general_ledger_profile_code: The optional code of a general ledger profile used to decorate journal entry lines with levels.
|
3767
3767
|
:type general_ledger_profile_code: str
|
3768
|
-
:param as_at: The asAt datetime at which to retrieve the Trial Balance.
|
3768
|
+
:param as_at: The asAt datetime at which to retrieve the Trial Balance. Defaults to returning the latest version if not specified.
|
3769
3769
|
:type as_at: datetime
|
3770
|
-
:param filter: Expression to filter the results by.
|
3770
|
+
:param filter: Expression to filter the results by. For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.
|
3771
3771
|
:type filter: str
|
3772
|
-
:param limit: When paginating, limit the number of returned results to this number.
|
3772
|
+
:param limit: When paginating, limit the number of returned results to this number. Defaults to 100 if not specified.
|
3773
3773
|
:type limit: int
|
3774
|
-
:param page: The pagination token to use to continue listing Trial Balances.
|
3774
|
+
:param page: The pagination token to use to continue listing Trial Balances. This token is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.
|
3775
3775
|
:type page: str
|
3776
|
-
:param property_keys: A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount'
|
3776
|
+
:param property_keys: A list of property keys from the 'Instrument', 'Transaction', 'Portfolio', 'Account', 'LegalEntity' or 'CustodianAccount' domain to decorate onto the journal entry lines.
|
3777
3777
|
:type property_keys: List[str]
|
3778
3778
|
:param nav_type_code: May be provided to view a specific NAV type. When not provided, Primary NAV will be used.
|
3779
3779
|
:type nav_type_code: str
|
@@ -3925,15 +3925,15 @@ class FundsApi:
|
|
3925
3925
|
|
3926
3926
|
|
3927
3927
|
@overload
|
3928
|
-
async def list_fees(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the Fees. Defaults to the current LUSID
|
3928
|
+
async def list_fees(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the Fees. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the Fees. Defaults to returning the latest version of each Fee if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing fees; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the results to this number. Defaults to 100 if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results. For example, to filter on the treatment, specify \"treatment eq 'Monthly'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, sort_by : Annotated[Optional[conlist(StrictStr)], Field(description="A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fee' domain to decorate onto each Fee. These must take the format {domain}/{scope}/{code}, for example 'Fee/Account/Id'.")] = None, **kwargs) -> PagedResourceListOfFee: # noqa: E501
|
3929
3929
|
...
|
3930
3930
|
|
3931
3931
|
@overload
|
3932
|
-
def list_fees(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the Fees. Defaults to the current LUSID
|
3932
|
+
def list_fees(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the Fees. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the Fees. Defaults to returning the latest version of each Fee if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing fees; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the results to this number. Defaults to 100 if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results. For example, to filter on the treatment, specify \"treatment eq 'Monthly'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, sort_by : Annotated[Optional[conlist(StrictStr)], Field(description="A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fee' domain to decorate onto each Fee. These must take the format {domain}/{scope}/{code}, for example 'Fee/Account/Id'.")] = None, async_req: Optional[bool]=True, **kwargs) -> PagedResourceListOfFee: # noqa: E501
|
3933
3933
|
...
|
3934
3934
|
|
3935
3935
|
@validate_arguments
|
3936
|
-
def list_fees(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the Fees. Defaults to the current LUSID
|
3936
|
+
def list_fees(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the Fees. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the Fees. Defaults to returning the latest version of each Fee if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing fees; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the results to this number. Defaults to 100 if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results. For example, to filter on the treatment, specify \"treatment eq 'Monthly'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, sort_by : Annotated[Optional[conlist(StrictStr)], Field(description="A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fee' domain to decorate onto each Fee. These must take the format {domain}/{scope}/{code}, for example 'Fee/Account/Id'.")] = None, async_req: Optional[bool]=None, **kwargs) -> Union[PagedResourceListOfFee, Awaitable[PagedResourceListOfFee]]: # noqa: E501
|
3937
3937
|
"""[EXPERIMENTAL] ListFees: List Fees for a specified Fund. # noqa: E501
|
3938
3938
|
|
3939
3939
|
List all the Fees matching a particular criteria. # noqa: E501
|
@@ -3947,19 +3947,19 @@ class FundsApi:
|
|
3947
3947
|
:type scope: str
|
3948
3948
|
:param code: The code of the Fund. (required)
|
3949
3949
|
:type code: str
|
3950
|
-
:param effective_at: The effective datetime or cut label at which to list the TimeVariant properties for the Fees. Defaults to the current LUSID
|
3950
|
+
:param effective_at: The effective datetime or cut label at which to list the TimeVariant properties for the Fees. Defaults to the current LUSID system datetime if not specified.
|
3951
3951
|
:type effective_at: str
|
3952
3952
|
:param as_at: The asAt datetime at which to list the Fees. Defaults to returning the latest version of each Fee if not specified.
|
3953
3953
|
:type as_at: datetime
|
3954
|
-
:param page: The pagination token to use to continue listing fees; this
|
3954
|
+
:param page: The pagination token to use to continue listing fees; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.
|
3955
3955
|
:type page: str
|
3956
3956
|
:param limit: When paginating, limit the results to this number. Defaults to 100 if not specified.
|
3957
3957
|
:type limit: int
|
3958
|
-
:param filter: Expression to filter the results.
|
3958
|
+
:param filter: Expression to filter the results. For example, to filter on the treatment, specify \"treatment eq 'Monthly'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.
|
3959
3959
|
:type filter: str
|
3960
3960
|
:param sort_by: A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"
|
3961
3961
|
:type sort_by: List[str]
|
3962
|
-
:param property_keys: A list of property keys from the 'Fee' domain to decorate onto each Fee.
|
3962
|
+
:param property_keys: A list of property keys from the 'Fee' domain to decorate onto each Fee. These must take the format {domain}/{scope}/{code}, for example 'Fee/Account/Id'.
|
3963
3963
|
:type property_keys: List[str]
|
3964
3964
|
:param async_req: Whether to execute the request asynchronously.
|
3965
3965
|
:type async_req: bool, optional
|
@@ -3980,7 +3980,7 @@ class FundsApi:
|
|
3980
3980
|
return self.list_fees_with_http_info(scope, code, effective_at, as_at, page, limit, filter, sort_by, property_keys, **kwargs) # noqa: E501
|
3981
3981
|
|
3982
3982
|
@validate_arguments
|
3983
|
-
def list_fees_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the Fees. Defaults to the current LUSID
|
3983
|
+
def list_fees_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the Fees. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the Fees. Defaults to returning the latest version of each Fee if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing fees; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the results to this number. Defaults to 100 if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results. For example, to filter on the treatment, specify \"treatment eq 'Monthly'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, sort_by : Annotated[Optional[conlist(StrictStr)], Field(description="A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fee' domain to decorate onto each Fee. These must take the format {domain}/{scope}/{code}, for example 'Fee/Account/Id'.")] = None, **kwargs) -> ApiResponse: # noqa: E501
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"""[EXPERIMENTAL] ListFees: List Fees for a specified Fund. # noqa: E501
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List all the Fees matching a particular criteria. # noqa: E501
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@@ -3994,19 +3994,19 @@ class FundsApi:
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:type scope: str
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:param code: The code of the Fund. (required)
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:type code: str
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-
:param effective_at: The effective datetime or cut label at which to list the TimeVariant properties for the Fees. Defaults to the current LUSID
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+
:param effective_at: The effective datetime or cut label at which to list the TimeVariant properties for the Fees. Defaults to the current LUSID system datetime if not specified.
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:type effective_at: str
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:param as_at: The asAt datetime at which to list the Fees. Defaults to returning the latest version of each Fee if not specified.
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:type as_at: datetime
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-
:param page: The pagination token to use to continue listing fees; this
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+
:param page: The pagination token to use to continue listing fees; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.
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:type page: str
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:param limit: When paginating, limit the results to this number. Defaults to 100 if not specified.
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:type limit: int
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-
:param filter: Expression to filter the results.
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:param filter: Expression to filter the results. For example, to filter on the treatment, specify \"treatment eq 'Monthly'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.
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:type filter: str
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:param sort_by: A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"
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:type sort_by: List[str]
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:param property_keys: A list of property keys from the 'Fee' domain to decorate onto each Fee.
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:param property_keys: A list of property keys from the 'Fee' domain to decorate onto each Fee. These must take the format {domain}/{scope}/{code}, for example 'Fee/Account/Id'.
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:type property_keys: List[str]
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:param async_req: Whether to execute the request asynchronously.
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:type async_req: bool, optional
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@@ -4146,15 +4146,15 @@ class FundsApi:
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@overload
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-
async def list_fund_calendar(self, scope : Annotated[StrictStr, Field(..., description="The Scope for the Fund.")], code : Annotated[StrictStr, Field(..., description="The Code for the Fund.")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the Calendar. Defaults to returning the latest version of each Calendar Entry if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Valuation Points; this
|
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+
async def list_fund_calendar(self, scope : Annotated[StrictStr, Field(..., description="The Scope for the Fund.")], code : Annotated[StrictStr, Field(..., description="The Code for the Fund.")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the Calendar. Defaults to returning the latest version of each Calendar Entry if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Valuation Points; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the results to this number. Defaults to 100 if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results. For example, to filter on the DisplayName, specify \"displayName eq 'VP 1'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, sort_by : Annotated[Optional[conlist(StrictStr)], Field(description="A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"")] = None, **kwargs) -> PagedResourceListOfFundCalendarEntry: # noqa: E501
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...
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@overload
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-
def list_fund_calendar(self, scope : Annotated[StrictStr, Field(..., description="The Scope for the Fund.")], code : Annotated[StrictStr, Field(..., description="The Code for the Fund.")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the Calendar. Defaults to returning the latest version of each Calendar Entry if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Valuation Points; this
|
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+
def list_fund_calendar(self, scope : Annotated[StrictStr, Field(..., description="The Scope for the Fund.")], code : Annotated[StrictStr, Field(..., description="The Code for the Fund.")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the Calendar. Defaults to returning the latest version of each Calendar Entry if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Valuation Points; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the results to this number. Defaults to 100 if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results. For example, to filter on the DisplayName, specify \"displayName eq 'VP 1'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, sort_by : Annotated[Optional[conlist(StrictStr)], Field(description="A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"")] = None, async_req: Optional[bool]=True, **kwargs) -> PagedResourceListOfFundCalendarEntry: # noqa: E501
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...
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@validate_arguments
|
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-
def list_fund_calendar(self, scope : Annotated[StrictStr, Field(..., description="The Scope for the Fund.")], code : Annotated[StrictStr, Field(..., description="The Code for the Fund.")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the Calendar. Defaults to returning the latest version of each Calendar Entry if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Valuation Points; this
|
4157
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+
def list_fund_calendar(self, scope : Annotated[StrictStr, Field(..., description="The Scope for the Fund.")], code : Annotated[StrictStr, Field(..., description="The Code for the Fund.")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the Calendar. Defaults to returning the latest version of each Calendar Entry if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Valuation Points; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the results to this number. Defaults to 100 if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results. For example, to filter on the DisplayName, specify \"displayName eq 'VP 1'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, sort_by : Annotated[Optional[conlist(StrictStr)], Field(description="A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"")] = None, async_req: Optional[bool]=None, **kwargs) -> Union[PagedResourceListOfFundCalendarEntry, Awaitable[PagedResourceListOfFundCalendarEntry]]: # noqa: E501
|
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"""[EXPERIMENTAL] ListFundCalendar: List Fund Calendar. # noqa: E501
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List all the Calendar Entries associated with the Fund. # noqa: E501
|
@@ -4170,11 +4170,11 @@ class FundsApi:
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:type code: str
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:param as_at: The asAt datetime at which to list the Calendar. Defaults to returning the latest version of each Calendar Entry if not specified.
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:type as_at: datetime
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-
:param page: The pagination token to use to continue listing Valuation Points; this
|
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+
:param page: The pagination token to use to continue listing Valuation Points; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.
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:type page: str
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:param limit: When paginating, limit the results to this number. Defaults to 100 if not specified.
|
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:type limit: int
|
4177
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-
:param filter: Expression to filter the results.
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+
:param filter: Expression to filter the results. For example, to filter on the DisplayName, specify \"displayName eq 'VP 1'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.
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:type filter: str
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:param sort_by: A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"
|
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:type sort_by: List[str]
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@@ -4197,7 +4197,7 @@ class FundsApi:
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return self.list_fund_calendar_with_http_info(scope, code, as_at, page, limit, filter, sort_by, **kwargs) # noqa: E501
|
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|
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@validate_arguments
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-
def list_fund_calendar_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The Scope for the Fund.")], code : Annotated[StrictStr, Field(..., description="The Code for the Fund.")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the Calendar. Defaults to returning the latest version of each Calendar Entry if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Valuation Points; this
|
4200
|
+
def list_fund_calendar_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The Scope for the Fund.")], code : Annotated[StrictStr, Field(..., description="The Code for the Fund.")], as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the Calendar. Defaults to returning the latest version of each Calendar Entry if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Valuation Points; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the results to this number. Defaults to 100 if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results. For example, to filter on the DisplayName, specify \"displayName eq 'VP 1'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, sort_by : Annotated[Optional[conlist(StrictStr)], Field(description="A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"")] = None, **kwargs) -> ApiResponse: # noqa: E501
|
4201
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"""[EXPERIMENTAL] ListFundCalendar: List Fund Calendar. # noqa: E501
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4202
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|
4203
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List all the Calendar Entries associated with the Fund. # noqa: E501
|
@@ -4213,11 +4213,11 @@ class FundsApi:
|
|
4213
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:type code: str
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4214
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:param as_at: The asAt datetime at which to list the Calendar. Defaults to returning the latest version of each Calendar Entry if not specified.
|
4215
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|
:type as_at: datetime
|
4216
|
-
:param page: The pagination token to use to continue listing Valuation Points; this
|
4216
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+
:param page: The pagination token to use to continue listing Valuation Points; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.
|
4217
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:type page: str
|
4218
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:param limit: When paginating, limit the results to this number. Defaults to 100 if not specified.
|
4219
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:type limit: int
|
4220
|
-
:param filter: Expression to filter the results.
|
4220
|
+
:param filter: Expression to filter the results. For example, to filter on the DisplayName, specify \"displayName eq 'VP 1'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.
|
4221
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:type filter: str
|
4222
4222
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:param sort_by: A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"
|
4223
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|
:type sort_by: List[str]
|
@@ -4350,15 +4350,15 @@ class FundsApi:
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|
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4350
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|
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|
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@overload
|
4353
|
-
async def list_funds(self, effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the Funds. Defaults to the current LUSID
|
4353
|
+
async def list_funds(self, effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the Funds. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the Funds. Defaults to returning the latest version of each Fund if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Funds; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the results to this number. Defaults to 100 if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results. For example, to filter on the Fund type, specify \"id.Code eq 'Fund1'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, sort_by : Annotated[Optional[conlist(StrictStr)], Field(description="A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fund' domain to decorate onto each Fund. These must take the format {domain}/{scope}/{code}, for example 'Fund/Manager/Id'.")] = None, **kwargs) -> PagedResourceListOfFund: # noqa: E501
|
4354
4354
|
...
|
4355
4355
|
|
4356
4356
|
@overload
|
4357
|
-
def list_funds(self, effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the Funds. Defaults to the current LUSID
|
4357
|
+
def list_funds(self, effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the Funds. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the Funds. Defaults to returning the latest version of each Fund if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Funds; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the results to this number. Defaults to 100 if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results. For example, to filter on the Fund type, specify \"id.Code eq 'Fund1'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, sort_by : Annotated[Optional[conlist(StrictStr)], Field(description="A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fund' domain to decorate onto each Fund. These must take the format {domain}/{scope}/{code}, for example 'Fund/Manager/Id'.")] = None, async_req: Optional[bool]=True, **kwargs) -> PagedResourceListOfFund: # noqa: E501
|
4358
4358
|
...
|
4359
4359
|
|
4360
4360
|
@validate_arguments
|
4361
|
-
def list_funds(self, effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the Funds. Defaults to the current LUSID
|
4361
|
+
def list_funds(self, effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the Funds. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the Funds. Defaults to returning the latest version of each Fund if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Funds; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the results to this number. Defaults to 100 if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results. For example, to filter on the Fund type, specify \"id.Code eq 'Fund1'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, sort_by : Annotated[Optional[conlist(StrictStr)], Field(description="A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fund' domain to decorate onto each Fund. These must take the format {domain}/{scope}/{code}, for example 'Fund/Manager/Id'.")] = None, async_req: Optional[bool]=None, **kwargs) -> Union[PagedResourceListOfFund, Awaitable[PagedResourceListOfFund]]: # noqa: E501
|
4362
4362
|
"""[EXPERIMENTAL] ListFunds: List Funds. # noqa: E501
|
4363
4363
|
|
4364
4364
|
List all the Funds matching particular criteria. # noqa: E501
|
@@ -4368,19 +4368,19 @@ class FundsApi:
|
|
4368
4368
|
>>> thread = api.list_funds(effective_at, as_at, page, limit, filter, sort_by, property_keys, async_req=True)
|
4369
4369
|
>>> result = thread.get()
|
4370
4370
|
|
4371
|
-
:param effective_at: The effective datetime or cut label at which to list the TimeVariant properties for the Funds. Defaults to the current LUSID
|
4371
|
+
:param effective_at: The effective datetime or cut label at which to list the TimeVariant properties for the Funds. Defaults to the current LUSID system datetime if not specified.
|
4372
4372
|
:type effective_at: str
|
4373
4373
|
:param as_at: The asAt datetime at which to list the Funds. Defaults to returning the latest version of each Fund if not specified.
|
4374
4374
|
:type as_at: datetime
|
4375
|
-
:param page: The pagination token to use to continue listing Funds; this
|
4375
|
+
:param page: The pagination token to use to continue listing Funds; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.
|
4376
4376
|
:type page: str
|
4377
4377
|
:param limit: When paginating, limit the results to this number. Defaults to 100 if not specified.
|
4378
4378
|
:type limit: int
|
4379
|
-
:param filter: Expression to filter the results.
|
4379
|
+
:param filter: Expression to filter the results. For example, to filter on the Fund type, specify \"id.Code eq 'Fund1'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.
|
4380
4380
|
:type filter: str
|
4381
4381
|
:param sort_by: A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"
|
4382
4382
|
:type sort_by: List[str]
|
4383
|
-
:param property_keys: A list of property keys from the 'Fund' domain to decorate onto each Fund.
|
4383
|
+
:param property_keys: A list of property keys from the 'Fund' domain to decorate onto each Fund. These must take the format {domain}/{scope}/{code}, for example 'Fund/Manager/Id'.
|
4384
4384
|
:type property_keys: List[str]
|
4385
4385
|
:param async_req: Whether to execute the request asynchronously.
|
4386
4386
|
:type async_req: bool, optional
|
@@ -4401,7 +4401,7 @@ class FundsApi:
|
|
4401
4401
|
return self.list_funds_with_http_info(effective_at, as_at, page, limit, filter, sort_by, property_keys, **kwargs) # noqa: E501
|
4402
4402
|
|
4403
4403
|
@validate_arguments
|
4404
|
-
def list_funds_with_http_info(self, effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the Funds. Defaults to the current LUSID
|
4404
|
+
def list_funds_with_http_info(self, effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the Funds. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the Funds. Defaults to returning the latest version of each Fund if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing Funds; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the results to this number. Defaults to 100 if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results. For example, to filter on the Fund type, specify \"id.Code eq 'Fund1'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, sort_by : Annotated[Optional[conlist(StrictStr)], Field(description="A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'Fund' domain to decorate onto each Fund. These must take the format {domain}/{scope}/{code}, for example 'Fund/Manager/Id'.")] = None, **kwargs) -> ApiResponse: # noqa: E501
|
4405
4405
|
"""[EXPERIMENTAL] ListFunds: List Funds. # noqa: E501
|
4406
4406
|
|
4407
4407
|
List all the Funds matching particular criteria. # noqa: E501
|
@@ -4411,19 +4411,19 @@ class FundsApi:
|
|
4411
4411
|
>>> thread = api.list_funds_with_http_info(effective_at, as_at, page, limit, filter, sort_by, property_keys, async_req=True)
|
4412
4412
|
>>> result = thread.get()
|
4413
4413
|
|
4414
|
-
:param effective_at: The effective datetime or cut label at which to list the TimeVariant properties for the Funds. Defaults to the current LUSID
|
4414
|
+
:param effective_at: The effective datetime or cut label at which to list the TimeVariant properties for the Funds. Defaults to the current LUSID system datetime if not specified.
|
4415
4415
|
:type effective_at: str
|
4416
4416
|
:param as_at: The asAt datetime at which to list the Funds. Defaults to returning the latest version of each Fund if not specified.
|
4417
4417
|
:type as_at: datetime
|
4418
|
-
:param page: The pagination token to use to continue listing Funds; this
|
4418
|
+
:param page: The pagination token to use to continue listing Funds; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.
|
4419
4419
|
:type page: str
|
4420
4420
|
:param limit: When paginating, limit the results to this number. Defaults to 100 if not specified.
|
4421
4421
|
:type limit: int
|
4422
|
-
:param filter: Expression to filter the results.
|
4422
|
+
:param filter: Expression to filter the results. For example, to filter on the Fund type, specify \"id.Code eq 'Fund1'\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.
|
4423
4423
|
:type filter: str
|
4424
4424
|
:param sort_by: A list of field names or properties to sort by, each suffixed by \" ASC\" or \" DESC\"
|
4425
4425
|
:type sort_by: List[str]
|
4426
|
-
:param property_keys: A list of property keys from the 'Fund' domain to decorate onto each Fund.
|
4426
|
+
:param property_keys: A list of property keys from the 'Fund' domain to decorate onto each Fund. These must take the format {domain}/{scope}/{code}, for example 'Fund/Manager/Id'.
|
4427
4427
|
:type property_keys: List[str]
|
4428
4428
|
:param async_req: Whether to execute the request asynchronously.
|
4429
4429
|
:type async_req: bool, optional
|
@@ -4555,15 +4555,15 @@ class FundsApi:
|
|
4555
4555
|
|
4556
4556
|
|
4557
4557
|
@overload
|
4558
|
-
async def list_valuation_point_overview(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the ValuationPoints. Defaults to the current LUSID
|
4558
|
+
async def list_valuation_point_overview(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the ValuationPoints. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the ValuationPoints. Defaults to returning the latest version of each ValuationPoint if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing ValuationPoints; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the results to this number. Defaults to 100 if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results by. For example, to filter on the NAV, specify \"NAV gt 300\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'DiaryEntry' domain to decorate onto each ValuationPoint. These must take the format {domain}/{scope}/{code}, for example 'DiaryEntry/ValuationPoint/Id'.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, **kwargs) -> PagedResourceListOfValuationPointOverview: # noqa: E501
|
4559
4559
|
...
|
4560
4560
|
|
4561
4561
|
@overload
|
4562
|
-
def list_valuation_point_overview(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the ValuationPoints. Defaults to the current LUSID
|
4562
|
+
def list_valuation_point_overview(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the ValuationPoints. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the ValuationPoints. Defaults to returning the latest version of each ValuationPoint if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing ValuationPoints; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the results to this number. Defaults to 100 if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results by. For example, to filter on the NAV, specify \"NAV gt 300\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'DiaryEntry' domain to decorate onto each ValuationPoint. These must take the format {domain}/{scope}/{code}, for example 'DiaryEntry/ValuationPoint/Id'.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, async_req: Optional[bool]=True, **kwargs) -> PagedResourceListOfValuationPointOverview: # noqa: E501
|
4563
4563
|
...
|
4564
4564
|
|
4565
4565
|
@validate_arguments
|
4566
|
-
def list_valuation_point_overview(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the ValuationPoints. Defaults to the current LUSID
|
4566
|
+
def list_valuation_point_overview(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the ValuationPoints. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the ValuationPoints. Defaults to returning the latest version of each ValuationPoint if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing ValuationPoints; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the results to this number. Defaults to 100 if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results by. For example, to filter on the NAV, specify \"NAV gt 300\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'DiaryEntry' domain to decorate onto each ValuationPoint. These must take the format {domain}/{scope}/{code}, for example 'DiaryEntry/ValuationPoint/Id'.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, async_req: Optional[bool]=None, **kwargs) -> Union[PagedResourceListOfValuationPointOverview, Awaitable[PagedResourceListOfValuationPointOverview]]: # noqa: E501
|
4567
4567
|
"""[EXPERIMENTAL] ListValuationPointOverview: List Valuation Points Overview for a given Fund. # noqa: E501
|
4568
4568
|
|
4569
4569
|
List all the Valuation Points that match the given criteria for a given Fund. # noqa: E501
|
@@ -4577,17 +4577,17 @@ class FundsApi:
|
|
4577
4577
|
:type scope: str
|
4578
4578
|
:param code: The code of the Fund. (required)
|
4579
4579
|
:type code: str
|
4580
|
-
:param effective_at: The effective datetime or cut label at which to list the TimeVariant properties for the ValuationPoints. Defaults to the current LUSID
|
4580
|
+
:param effective_at: The effective datetime or cut label at which to list the TimeVariant properties for the ValuationPoints. Defaults to the current LUSID system datetime if not specified.
|
4581
4581
|
:type effective_at: str
|
4582
4582
|
:param as_at: The asAt datetime at which to list the ValuationPoints. Defaults to returning the latest version of each ValuationPoint if not specified.
|
4583
4583
|
:type as_at: datetime
|
4584
|
-
:param page: The pagination token to use to continue listing ValuationPoints; this
|
4584
|
+
:param page: The pagination token to use to continue listing ValuationPoints; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.
|
4585
4585
|
:type page: str
|
4586
4586
|
:param limit: When paginating, limit the results to this number. Defaults to 100 if not specified.
|
4587
4587
|
:type limit: int
|
4588
|
-
:param filter: Expression to filter the results by.
|
4588
|
+
:param filter: Expression to filter the results by. For example, to filter on the NAV, specify \"NAV gt 300\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.
|
4589
4589
|
:type filter: str
|
4590
|
-
:param property_keys: A list of property keys from the 'DiaryEntry' domain to decorate onto each ValuationPoint.
|
4590
|
+
:param property_keys: A list of property keys from the 'DiaryEntry' domain to decorate onto each ValuationPoint. These must take the format {domain}/{scope}/{code}, for example 'DiaryEntry/ValuationPoint/Id'.
|
4591
4591
|
:type property_keys: List[str]
|
4592
4592
|
:param nav_type_code: May be provided to view a specific NAV type. When not provided, Primary NAV will be used.
|
4593
4593
|
:type nav_type_code: str
|
@@ -4610,7 +4610,7 @@ class FundsApi:
|
|
4610
4610
|
return self.list_valuation_point_overview_with_http_info(scope, code, effective_at, as_at, page, limit, filter, property_keys, nav_type_code, **kwargs) # noqa: E501
|
4611
4611
|
|
4612
4612
|
@validate_arguments
|
4613
|
-
def list_valuation_point_overview_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the ValuationPoints. Defaults to the current LUSID
|
4613
|
+
def list_valuation_point_overview_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund.")], effective_at : Annotated[Optional[StrictStr], Field( description="The effective datetime or cut label at which to list the TimeVariant properties for the ValuationPoints. Defaults to the current LUSID system datetime if not specified.")] = None, as_at : Annotated[Optional[datetime], Field(description="The asAt datetime at which to list the ValuationPoints. Defaults to returning the latest version of each ValuationPoint if not specified.")] = None, page : Annotated[Optional[StrictStr], Field( description="The pagination token to use to continue listing ValuationPoints; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.")] = None, limit : Annotated[Optional[conint(strict=True)], Field(description="When paginating, limit the results to this number. Defaults to 100 if not specified.")] = None, filter : Annotated[Optional[StrictStr], Field( description="Expression to filter the results by. For example, to filter on the NAV, specify \"NAV gt 300\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.")] = None, property_keys : Annotated[Optional[conlist(StrictStr)], Field(description="A list of property keys from the 'DiaryEntry' domain to decorate onto each ValuationPoint. These must take the format {domain}/{scope}/{code}, for example 'DiaryEntry/ValuationPoint/Id'.")] = None, nav_type_code : Annotated[Optional[StrictStr], Field( description="May be provided to view a specific NAV type. When not provided, Primary NAV will be used.")] = None, **kwargs) -> ApiResponse: # noqa: E501
|
4614
4614
|
"""[EXPERIMENTAL] ListValuationPointOverview: List Valuation Points Overview for a given Fund. # noqa: E501
|
4615
4615
|
|
4616
4616
|
List all the Valuation Points that match the given criteria for a given Fund. # noqa: E501
|
@@ -4624,17 +4624,17 @@ class FundsApi:
|
|
4624
4624
|
:type scope: str
|
4625
4625
|
:param code: The code of the Fund. (required)
|
4626
4626
|
:type code: str
|
4627
|
-
:param effective_at: The effective datetime or cut label at which to list the TimeVariant properties for the ValuationPoints. Defaults to the current LUSID
|
4627
|
+
:param effective_at: The effective datetime or cut label at which to list the TimeVariant properties for the ValuationPoints. Defaults to the current LUSID system datetime if not specified.
|
4628
4628
|
:type effective_at: str
|
4629
4629
|
:param as_at: The asAt datetime at which to list the ValuationPoints. Defaults to returning the latest version of each ValuationPoint if not specified.
|
4630
4630
|
:type as_at: datetime
|
4631
|
-
:param page: The pagination token to use to continue listing ValuationPoints; this
|
4631
|
+
:param page: The pagination token to use to continue listing ValuationPoints; this value is returned from the previous call. If a pagination token is provided, the filter, effectiveAt and asAt fields must not have changed since the original request.
|
4632
4632
|
:type page: str
|
4633
4633
|
:param limit: When paginating, limit the results to this number. Defaults to 100 if not specified.
|
4634
4634
|
:type limit: int
|
4635
|
-
:param filter: Expression to filter the results by.
|
4635
|
+
:param filter: Expression to filter the results by. For example, to filter on the NAV, specify \"NAV gt 300\". For more information about filtering results, see https://support.lusid.com/knowledgebase/article/KA-01914.
|
4636
4636
|
:type filter: str
|
4637
|
-
:param property_keys: A list of property keys from the 'DiaryEntry' domain to decorate onto each ValuationPoint.
|
4637
|
+
:param property_keys: A list of property keys from the 'DiaryEntry' domain to decorate onto each ValuationPoint. These must take the format {domain}/{scope}/{code}, for example 'DiaryEntry/ValuationPoint/Id'.
|
4638
4638
|
:type property_keys: List[str]
|
4639
4639
|
:param nav_type_code: May be provided to view a specific NAV type. When not provided, Primary NAV will be used.
|
4640
4640
|
:type nav_type_code: str
|
@@ -5502,7 +5502,7 @@ class FundsApi:
|
|
5502
5502
|
def upsert_diary_entry_type_valuation_point(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], upsert_valuation_point_request : Annotated[UpsertValuationPointRequest, Field(..., description="The Valuation Point Estimate definition to Upsert")], nav_type_code : Annotated[Optional[StrictStr], Field( description="When provided, Upserts the Valuation Point against the specified NAV Type. When not provided the Primary NAV Type will be used.")] = None, async_req: Optional[bool]=None, **kwargs) -> Union[DiaryEntry, Awaitable[DiaryEntry]]: # noqa: E501
|
5503
5503
|
"""[EXPERIMENTAL] UpsertDiaryEntryTypeValuationPoint: Upsert Valuation Point. # noqa: E501
|
5504
5504
|
|
5505
|
-
Update or insert the estimate Valuation Point.
|
5505
|
+
Update or insert the estimate Valuation Point. If the Valuation Point does not exist, this method will create it in estimate state. If the Valuation Point already exists and is in estimate state, the Valuation Point will be updated with the newly specified information in this request. # noqa: E501
|
5506
5506
|
This method makes a synchronous HTTP request by default. To make an
|
5507
5507
|
asynchronous HTTP request, please pass async_req=True
|
5508
5508
|
|
@@ -5539,7 +5539,7 @@ class FundsApi:
|
|
5539
5539
|
def upsert_diary_entry_type_valuation_point_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], upsert_valuation_point_request : Annotated[UpsertValuationPointRequest, Field(..., description="The Valuation Point Estimate definition to Upsert")], nav_type_code : Annotated[Optional[StrictStr], Field( description="When provided, Upserts the Valuation Point against the specified NAV Type. When not provided the Primary NAV Type will be used.")] = None, **kwargs) -> ApiResponse: # noqa: E501
|
5540
5540
|
"""[EXPERIMENTAL] UpsertDiaryEntryTypeValuationPoint: Upsert Valuation Point. # noqa: E501
|
5541
5541
|
|
5542
|
-
Update or insert the estimate Valuation Point.
|
5542
|
+
Update or insert the estimate Valuation Point. If the Valuation Point does not exist, this method will create it in estimate state. If the Valuation Point already exists and is in estimate state, the Valuation Point will be updated with the newly specified information in this request. # noqa: E501
|
5543
5543
|
This method makes a synchronous HTTP request by default. To make an
|
5544
5544
|
asynchronous HTTP request, please pass async_req=True
|
5545
5545
|
|
@@ -5674,18 +5674,18 @@ class FundsApi:
|
|
5674
5674
|
|
5675
5675
|
|
5676
5676
|
@overload
|
5677
|
-
async def upsert_fee_properties(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], fee_code : Annotated[StrictStr, Field(..., description="The code of the Fee to update or insert the properties onto.")], request_body : Annotated[Optional[Dict[str, ModelProperty]], Field(description="The properties to be updated or inserted onto the Fee. Each property in
|
5677
|
+
async def upsert_fee_properties(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], fee_code : Annotated[StrictStr, Field(..., description="The code of the Fee to update or insert the properties onto.")], request_body : Annotated[Optional[Dict[str, ModelProperty]], Field(description="The properties to be updated or inserted onto the Fee. Each property in the request must be keyed by its unique property key. This has the format {domain}/{scope}/{code} e.g. \"Fee/Manager/Id\".")] = None, **kwargs) -> FeeProperties: # noqa: E501
|
5678
5678
|
...
|
5679
5679
|
|
5680
5680
|
@overload
|
5681
|
-
def upsert_fee_properties(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], fee_code : Annotated[StrictStr, Field(..., description="The code of the Fee to update or insert the properties onto.")], request_body : Annotated[Optional[Dict[str, ModelProperty]], Field(description="The properties to be updated or inserted onto the Fee. Each property in
|
5681
|
+
def upsert_fee_properties(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], fee_code : Annotated[StrictStr, Field(..., description="The code of the Fee to update or insert the properties onto.")], request_body : Annotated[Optional[Dict[str, ModelProperty]], Field(description="The properties to be updated or inserted onto the Fee. Each property in the request must be keyed by its unique property key. This has the format {domain}/{scope}/{code} e.g. \"Fee/Manager/Id\".")] = None, async_req: Optional[bool]=True, **kwargs) -> FeeProperties: # noqa: E501
|
5682
5682
|
...
|
5683
5683
|
|
5684
5684
|
@validate_arguments
|
5685
|
-
def upsert_fee_properties(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], fee_code : Annotated[StrictStr, Field(..., description="The code of the Fee to update or insert the properties onto.")], request_body : Annotated[Optional[Dict[str, ModelProperty]], Field(description="The properties to be updated or inserted onto the Fee. Each property in
|
5685
|
+
def upsert_fee_properties(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], fee_code : Annotated[StrictStr, Field(..., description="The code of the Fee to update or insert the properties onto.")], request_body : Annotated[Optional[Dict[str, ModelProperty]], Field(description="The properties to be updated or inserted onto the Fee. Each property in the request must be keyed by its unique property key. This has the format {domain}/{scope}/{code} e.g. \"Fee/Manager/Id\".")] = None, async_req: Optional[bool]=None, **kwargs) -> Union[FeeProperties, Awaitable[FeeProperties]]: # noqa: E501
|
5686
5686
|
"""[EXPERIMENTAL] UpsertFeeProperties: Upsert Fee properties. # noqa: E501
|
5687
5687
|
|
5688
|
-
Update or insert one or more properties onto a single Fee. A property will be updated if it
|
5688
|
+
Update or insert one or more properties onto a single Fee. A property will be updated if it already exists and inserted if it does not. All properties must be of the domain 'Fee'. Upserting a property that exists for an Fee, with a null value, will delete the instance of the property for that group. Properties have an <i>effectiveFrom</i> datetime for which the property is valid, and an <i>effectiveUntil</i> datetime until which the property is valid. Not supplying an <i>effectiveUntil</i> datetime results in the property being valid indefinitely, or until the next <i>effectiveFrom</i> datetime of the property. # noqa: E501
|
5689
5689
|
This method makes a synchronous HTTP request by default. To make an
|
5690
5690
|
asynchronous HTTP request, please pass async_req=True
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5691
5691
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@@ -5698,7 +5698,7 @@ class FundsApi:
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5698
5698
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:type code: str
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5699
5699
|
:param fee_code: The code of the Fee to update or insert the properties onto. (required)
|
5700
5700
|
:type fee_code: str
|
5701
|
-
:param request_body: The properties to be updated or inserted onto the Fee. Each property in
|
5701
|
+
:param request_body: The properties to be updated or inserted onto the Fee. Each property in the request must be keyed by its unique property key. This has the format {domain}/{scope}/{code} e.g. \"Fee/Manager/Id\".
|
5702
5702
|
:type request_body: Dict[str, ModelProperty]
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5703
5703
|
:param async_req: Whether to execute the request asynchronously.
|
5704
5704
|
:type async_req: bool, optional
|
@@ -5719,10 +5719,10 @@ class FundsApi:
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|
5719
5719
|
return self.upsert_fee_properties_with_http_info(scope, code, fee_code, request_body, **kwargs) # noqa: E501
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5720
5720
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|
5721
5721
|
@validate_arguments
|
5722
|
-
def upsert_fee_properties_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], fee_code : Annotated[StrictStr, Field(..., description="The code of the Fee to update or insert the properties onto.")], request_body : Annotated[Optional[Dict[str, ModelProperty]], Field(description="The properties to be updated or inserted onto the Fee. Each property in
|
5722
|
+
def upsert_fee_properties_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund. Together with the scope this uniquely identifies the Fund.")], fee_code : Annotated[StrictStr, Field(..., description="The code of the Fee to update or insert the properties onto.")], request_body : Annotated[Optional[Dict[str, ModelProperty]], Field(description="The properties to be updated or inserted onto the Fee. Each property in the request must be keyed by its unique property key. This has the format {domain}/{scope}/{code} e.g. \"Fee/Manager/Id\".")] = None, **kwargs) -> ApiResponse: # noqa: E501
|
5723
5723
|
"""[EXPERIMENTAL] UpsertFeeProperties: Upsert Fee properties. # noqa: E501
|
5724
5724
|
|
5725
|
-
Update or insert one or more properties onto a single Fee. A property will be updated if it
|
5725
|
+
Update or insert one or more properties onto a single Fee. A property will be updated if it already exists and inserted if it does not. All properties must be of the domain 'Fee'. Upserting a property that exists for an Fee, with a null value, will delete the instance of the property for that group. Properties have an <i>effectiveFrom</i> datetime for which the property is valid, and an <i>effectiveUntil</i> datetime until which the property is valid. Not supplying an <i>effectiveUntil</i> datetime results in the property being valid indefinitely, or until the next <i>effectiveFrom</i> datetime of the property. # noqa: E501
|
5726
5726
|
This method makes a synchronous HTTP request by default. To make an
|
5727
5727
|
asynchronous HTTP request, please pass async_req=True
|
5728
5728
|
|
@@ -5735,7 +5735,7 @@ class FundsApi:
|
|
5735
5735
|
:type code: str
|
5736
5736
|
:param fee_code: The code of the Fee to update or insert the properties onto. (required)
|
5737
5737
|
:type fee_code: str
|
5738
|
-
:param request_body: The properties to be updated or inserted onto the Fee. Each property in
|
5738
|
+
:param request_body: The properties to be updated or inserted onto the Fee. Each property in the request must be keyed by its unique property key. This has the format {domain}/{scope}/{code} e.g. \"Fee/Manager/Id\".
|
5739
5739
|
:type request_body: Dict[str, ModelProperty]
|
5740
5740
|
:param async_req: Whether to execute the request asynchronously.
|
5741
5741
|
:type async_req: bool, optional
|
@@ -5857,18 +5857,18 @@ class FundsApi:
|
|
5857
5857
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|
5858
5858
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|
5859
5859
|
@overload
|
5860
|
-
async def upsert_fund_properties(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund to update or insert the properties onto.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund to update or insert the properties onto. Together with the scope this uniquely identifies the Fund.")], request_body : Annotated[Optional[Dict[str, ModelProperty]], Field(description="The properties to be updated or inserted onto the Fund. Each property in
|
5860
|
+
async def upsert_fund_properties(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund to update or insert the properties onto.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund to update or insert the properties onto. Together with the scope this uniquely identifies the Fund.")], request_body : Annotated[Optional[Dict[str, ModelProperty]], Field(description="The properties to be updated or inserted onto the Fund. Each property in the request must be keyed by its unique property key. This has the format {domain}/{scope}/{code} e.g. \"Fund/Manager/Id\".")] = None, **kwargs) -> FundProperties: # noqa: E501
|
5861
5861
|
...
|
5862
5862
|
|
5863
5863
|
@overload
|
5864
|
-
def upsert_fund_properties(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund to update or insert the properties onto.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund to update or insert the properties onto. Together with the scope this uniquely identifies the Fund.")], request_body : Annotated[Optional[Dict[str, ModelProperty]], Field(description="The properties to be updated or inserted onto the Fund. Each property in
|
5864
|
+
def upsert_fund_properties(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund to update or insert the properties onto.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund to update or insert the properties onto. Together with the scope this uniquely identifies the Fund.")], request_body : Annotated[Optional[Dict[str, ModelProperty]], Field(description="The properties to be updated or inserted onto the Fund. Each property in the request must be keyed by its unique property key. This has the format {domain}/{scope}/{code} e.g. \"Fund/Manager/Id\".")] = None, async_req: Optional[bool]=True, **kwargs) -> FundProperties: # noqa: E501
|
5865
5865
|
...
|
5866
5866
|
|
5867
5867
|
@validate_arguments
|
5868
|
-
def upsert_fund_properties(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund to update or insert the properties onto.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund to update or insert the properties onto. Together with the scope this uniquely identifies the Fund.")], request_body : Annotated[Optional[Dict[str, ModelProperty]], Field(description="The properties to be updated or inserted onto the Fund. Each property in
|
5868
|
+
def upsert_fund_properties(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund to update or insert the properties onto.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund to update or insert the properties onto. Together with the scope this uniquely identifies the Fund.")], request_body : Annotated[Optional[Dict[str, ModelProperty]], Field(description="The properties to be updated or inserted onto the Fund. Each property in the request must be keyed by its unique property key. This has the format {domain}/{scope}/{code} e.g. \"Fund/Manager/Id\".")] = None, async_req: Optional[bool]=None, **kwargs) -> Union[FundProperties, Awaitable[FundProperties]]: # noqa: E501
|
5869
5869
|
"""[EXPERIMENTAL] UpsertFundProperties: Upsert Fund properties. # noqa: E501
|
5870
5870
|
|
5871
|
-
Update or insert one or more properties onto a single Fund. A property will be updated if it
|
5871
|
+
Update or insert one or more properties onto a single Fund. A property will be updated if it already exists and inserted if it does not. All properties must be of the domain 'Fund'. Upserting a property that exists for an Fund, with a null value, will delete the instance of the property for that group. Properties have an <i>effectiveFrom</i> datetime for which the property is valid, and an <i>effectiveUntil</i> datetime until which the property is valid. Not supplying an <i>effectiveUntil</i> datetime results in the property being valid indefinitely, or until the next <i>effectiveFrom</i> datetime of the property. # noqa: E501
|
5872
5872
|
This method makes a synchronous HTTP request by default. To make an
|
5873
5873
|
asynchronous HTTP request, please pass async_req=True
|
5874
5874
|
|
@@ -5879,7 +5879,7 @@ class FundsApi:
|
|
5879
5879
|
:type scope: str
|
5880
5880
|
:param code: The code of the Fund to update or insert the properties onto. Together with the scope this uniquely identifies the Fund. (required)
|
5881
5881
|
:type code: str
|
5882
|
-
:param request_body: The properties to be updated or inserted onto the Fund. Each property in
|
5882
|
+
:param request_body: The properties to be updated or inserted onto the Fund. Each property in the request must be keyed by its unique property key. This has the format {domain}/{scope}/{code} e.g. \"Fund/Manager/Id\".
|
5883
5883
|
:type request_body: Dict[str, ModelProperty]
|
5884
5884
|
:param async_req: Whether to execute the request asynchronously.
|
5885
5885
|
:type async_req: bool, optional
|
@@ -5900,10 +5900,10 @@ class FundsApi:
|
|
5900
5900
|
return self.upsert_fund_properties_with_http_info(scope, code, request_body, **kwargs) # noqa: E501
|
5901
5901
|
|
5902
5902
|
@validate_arguments
|
5903
|
-
def upsert_fund_properties_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund to update or insert the properties onto.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund to update or insert the properties onto. Together with the scope this uniquely identifies the Fund.")], request_body : Annotated[Optional[Dict[str, ModelProperty]], Field(description="The properties to be updated or inserted onto the Fund. Each property in
|
5903
|
+
def upsert_fund_properties_with_http_info(self, scope : Annotated[StrictStr, Field(..., description="The scope of the Fund to update or insert the properties onto.")], code : Annotated[StrictStr, Field(..., description="The code of the Fund to update or insert the properties onto. Together with the scope this uniquely identifies the Fund.")], request_body : Annotated[Optional[Dict[str, ModelProperty]], Field(description="The properties to be updated or inserted onto the Fund. Each property in the request must be keyed by its unique property key. This has the format {domain}/{scope}/{code} e.g. \"Fund/Manager/Id\".")] = None, **kwargs) -> ApiResponse: # noqa: E501
|
5904
5904
|
"""[EXPERIMENTAL] UpsertFundProperties: Upsert Fund properties. # noqa: E501
|
5905
5905
|
|
5906
|
-
Update or insert one or more properties onto a single Fund. A property will be updated if it
|
5906
|
+
Update or insert one or more properties onto a single Fund. A property will be updated if it already exists and inserted if it does not. All properties must be of the domain 'Fund'. Upserting a property that exists for an Fund, with a null value, will delete the instance of the property for that group. Properties have an <i>effectiveFrom</i> datetime for which the property is valid, and an <i>effectiveUntil</i> datetime until which the property is valid. Not supplying an <i>effectiveUntil</i> datetime results in the property being valid indefinitely, or until the next <i>effectiveFrom</i> datetime of the property. # noqa: E501
|
5907
5907
|
This method makes a synchronous HTTP request by default. To make an
|
5908
5908
|
asynchronous HTTP request, please pass async_req=True
|
5909
5909
|
|
@@ -5914,7 +5914,7 @@ class FundsApi:
|
|
5914
5914
|
:type scope: str
|
5915
5915
|
:param code: The code of the Fund to update or insert the properties onto. Together with the scope this uniquely identifies the Fund. (required)
|
5916
5916
|
:type code: str
|
5917
|
-
:param request_body: The properties to be updated or inserted onto the Fund. Each property in
|
5917
|
+
:param request_body: The properties to be updated or inserted onto the Fund. Each property in the request must be keyed by its unique property key. This has the format {domain}/{scope}/{code} e.g. \"Fund/Manager/Id\".
|
5918
5918
|
:type request_body: Dict[str, ModelProperty]
|
5919
5919
|
:param async_req: Whether to execute the request asynchronously.
|
5920
5920
|
:type async_req: bool, optional
|