pub struct Transfer {Show 60 fields
pub account_id: Option<String>,
pub acct_alias: Option<String>,
pub model: Option<String>,
pub transaction_id: Option<String>,
pub transfer_type: Option<TransferType>,
pub conid: Option<String>,
pub symbol: Option<String>,
pub description: Option<String>,
pub asset_category: Option<AssetCategory>,
pub cusip: Option<String>,
pub isin: Option<String>,
pub figi: Option<String>,
pub listing_exchange: Option<String>,
pub quantity: Option<Decimal>,
pub transfer_price: Option<Decimal>,
pub position_amount: Option<Decimal>,
pub position_amount_in_base: Option<Decimal>,
pub cash_transfer: Option<Decimal>,
pub currency: Option<String>,
pub fx_rate_to_base: Option<Decimal>,
pub direction: Option<String>,
pub date: Option<NaiveDate>,
pub ppi_payer_payee_account: Option<String>,
pub delivering_receiving_broker: Option<String>,
pub strike: Option<Decimal>,
pub expiry: Option<NaiveDate>,
pub put_call: Option<String>,
pub multiplier: Option<Decimal>,
pub sub_category: Option<String>,
pub security_id: Option<String>,
pub underlying_security_id: Option<String>,
pub underlying_listing_exchange: Option<String>,
pub report_date: Option<NaiveDate>,
pub underlying_conid: Option<String>,
pub date_time: Option<String>,
pub account: Option<String>,
pub delivering_broker: Option<String>,
pub capital_gains_pnl: Option<Decimal>,
pub code: Option<String>,
pub client_reference: Option<String>,
pub sedol: Option<String>,
pub security_id_type: Option<String>,
pub underlying_symbol: Option<String>,
pub issuer: Option<String>,
pub principal_adjust_factor: Option<Decimal>,
pub company: Option<String>,
pub account_name: Option<String>,
pub pnl_amount: Option<Decimal>,
pub pnl_amount_in_base: Option<Decimal>,
pub fx_pnl: Option<Decimal>,
pub serial_number: Option<String>,
pub delivery_type: Option<String>,
pub commodity_type: Option<String>,
pub fineness: Option<Decimal>,
pub weight: Option<String>,
pub settle_date: Option<NaiveDate>,
pub issuer_country_code: Option<String>,
pub level_of_detail: Option<String>,
pub position_instruction_id: Option<String>,
pub position_instruction_set_id: Option<String>,
}Expand description
Security transfer
Fields§
§account_id: Option<String>Account ID
acct_alias: Option<String>Account alias
model: Option<String>Model
transaction_id: Option<String>Transaction ID
transfer_type: Option<TransferType>Transfer type
conid: Option<String>Contract ID
symbol: Option<String>Symbol
description: Option<String>Description
asset_category: Option<AssetCategory>Asset category
cusip: Option<String>CUSIP
isin: Option<String>ISIN
figi: Option<String>FIGI
listing_exchange: Option<String>Listing exchange
quantity: Option<Decimal>Quantity
transfer_price: Option<Decimal>Price
position_amount: Option<Decimal>Position amount
position_amount_in_base: Option<Decimal>Position amount in base
cash_transfer: Option<Decimal>Cash transfer
currency: Option<String>Currency
fx_rate_to_base: Option<Decimal>FX rate to base
direction: Option<String>Direction
date: Option<NaiveDate>Date
ppi_payer_payee_account: Option<String>Payer/payee account
delivering_receiving_broker: Option<String>Delivering/receiving broker
strike: Option<Decimal>Strike
expiry: Option<NaiveDate>Expiry
put_call: Option<String>Put/Call
multiplier: Option<Decimal>Multiplier
sub_category: Option<String>subCategory (added for full ibflex coverage)
security_id: Option<String>securityID (added for full ibflex coverage)
underlying_security_id: Option<String>underlyingSecurityID (added for full ibflex coverage)
underlying_listing_exchange: Option<String>underlyingListingExchange (added for full ibflex coverage)
report_date: Option<NaiveDate>reportDate (added for full ibflex coverage)
underlying_conid: Option<String>underlyingConid (added for full ibflex coverage)
date_time: Option<String>dateTime (added for full ibflex coverage)
account: Option<String>account (added for full ibflex coverage)
delivering_broker: Option<String>deliveringBroker (added for full ibflex coverage)
capital_gains_pnl: Option<Decimal>capitalGainsPnl (added for full ibflex coverage)
code: Option<String>code (added for full ibflex coverage)
client_reference: Option<String>clientReference (added for full ibflex coverage)
sedol: Option<String>sedol (added for full ibflex coverage)
security_id_type: Option<String>securityIDType (added for full ibflex coverage)
underlying_symbol: Option<String>underlyingSymbol (added for full ibflex coverage)
issuer: Option<String>issuer (added for full ibflex coverage)
principal_adjust_factor: Option<Decimal>principalAdjustFactor (added for full ibflex coverage)
company: Option<String>company (added for full ibflex coverage)
account_name: Option<String>accountName (added for full ibflex coverage)
pnl_amount: Option<Decimal>pnlAmount (added for full ibflex coverage)
pnl_amount_in_base: Option<Decimal>pnlAmountInBase (added for full ibflex coverage)
fx_pnl: Option<Decimal>fxPnl (added for full ibflex coverage)
serial_number: Option<String>serialNumber (added for full ibflex coverage)
delivery_type: Option<String>deliveryType (added for full ibflex coverage)
commodity_type: Option<String>commodityType (added for full ibflex coverage)
fineness: Option<Decimal>fineness (added for full ibflex coverage)
weight: Option<String>weight (added for full ibflex coverage)
settle_date: Option<NaiveDate>settleDate (added for full ibflex coverage)
issuer_country_code: Option<String>issuerCountryCode (added for full ibflex coverage)
level_of_detail: Option<String>levelOfDetail (added for full ibflex coverage)
position_instruction_id: Option<String>positionInstructionID (added for full ibflex coverage)
position_instruction_set_id: Option<String>positionInstructionSetID (added for full ibflex coverage)