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factsetprices.Price

Properties

Name Type Description Notes
fsymId String Factset Regional Security Identifier. Six alpha-numeric characters, excluding vowels, with an -R suffix (XXXXXX-R). Identifies the security's best regional security data series per currency. For equities, all primary listings per region and currency are allocated a regional-level permanent identifier. The regional-level permanent identifier will be available once a SEDOL representing the region/currency has been allocated and the identifiers are on FactSet. [optional]
date Date Ending date for the period expressed in YYYY-MM-DD format. [optional]
adjDate Date Date of last split for which prices and volume have been adjusted. Use /factset-prices/v#/splits endpoint for details regarding the split. [optional]
currency String Currency ISO code. For more details, visit Online Assistant Page #1470. [optional]
price Number Closing Price as of the date(s) requested. By default the price is in local trading currency, split adjusted and not spinoff adjusted. Prices updated nightly at approximately at 9pm ET. [optional]
priceOpen Number Open price as of the date(s) requested. By default the price is in local trading currency, split adjusted and not spinoff adjusted. Prices updated nightly at approximately at 9pm ET. [optional]
priceHigh Number High closing price as of the date(s) requested. By default the price is in local trading currency, split adjusted and not spinoff adjusted. Prices updated nightly at approximately at 9pm ET. [optional]
priceLow Number Low closing price as of the date(s) requested. By default the price is in local trading currency, split adjusted and not spinoff adjusted. Prices updated nightly at approximately at 9pm ET. [optional]
volume Number Returns the cumulative volume over dates requested. Data is returned in thousands. [optional]
requestId String Identifier that was used for the request. [optional]