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factsetprices.References

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]
name String The name of the security. [optional]
secType String Security Type Description. For more details, visit Online Assistant Page #10149. [optional]
secTypeCode String General Security Type Code. For more details regarding what the code represents, visit Online Assistant Page #10149. [optional]
secTypeCodeDet String Detailed Security Type Code. For more details regarding what the code represents, visit Online Assistant Page #10149. [optional]
currency String Currency ISO code. For more details, visit Online Assistant Page #1470. [optional]
country String Country Name. Returns the country where the security is traded from the North American Pricing database. Therefore, for securities covered by the North American Pricing database, will return either UNITED STATES. or CANADA. For securities covered by the Global Pricing database, the item returns the country where the company is incorporated. [optional]
primaryExchange String Primary Exchange Name. For more details, visit Online Assistant Page #16610. [optional]
exchangeCountry String Returns the location of the exchange where the company's stock is traded. [optional]
localIndex String The Local Index ID for the company's home country benchmark. For more details, visit Online Assistant Page #10698. [optional]
nextTradingHolidayDate Date The Next Trading Holiday. For more details regarding Global Trading Holiday Schedules, visit Online Assistant Page #10397. [optional]
firstDate Date The Security's Date of First Trade. It will return the first date that the FactSet Pricing database began to cover the security and it may not coincide with the actual IPO date. Pricing information for this security will not be available before the date returned. For more details. [optional]
lastDate Date Date of Last Trade. It will return the last date that the FactSet Pricing database as a record for this security listing. [optional]
requestId String Identifier that was used for the request. [optional]