Exchange Traded Fund (ETF) NAV Flows

Exchange Traded Fund (ETF) NAV Flows R API Documentation

Returns NAV (Net Asset Value) and flows data for Exchange Traded Funds. Includes NAV returns (daily, monthly, quarterly, yearly, annualized), NAV values (unadjusted and adjusted for splits/dividends), net flows data, share outstanding counts, and total net assets.

API Class:
IntrinioSDK::ETFsApi
Instance Method:
get_etf_nav_flows()