FA – Fund Valuation API (EU)

Fund Administration – Fund Valuation API (EU)

Contains information on holdings and position details.


Why use these APIs?

Our Position API can enable operational efficiencies and enhanced visibility through direct access to our platforms. You can obtain the holding and position data for funds as well as supplementary information. This can allow you to better manage the positions of your funds, while efficiently transferring data to internal platforms / depositary and auditors for regulatory requirements / auditing purposes.

 

Key Features

  • Enriched Information on Holdings and Positions
  • Integration with Existing Systems
  • Increased Automation
  • On- demand information 24 x 7 across funds

Fund Administration – Fund Valuation API

  • Holdings: Gain access to the detailed holdings information for your funds at NAV point. It covers a wide range of financial instruments (e.g., Equities, Bonds, Swaps, Options and Open Forward FX) with additional information (e.g., maturity date, market value, exchange rate and accrued interest) to provide you a comprehensive view of the holdings of the funds available from our Securities Services Fund Administration accounting platforms.
  • Securities Income Receivable: Gain access to the details of securities income receivable (e.g., debt interest, debt interest adjustment, interest introduced by deposit, loan, cash and additional supplementary information) between NAV points.

 

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