Exchange Traded Funds (ETFs) Latest NAV Flows

Exchange Traded Funds (ETFs) Latest NAV Flows R API Documentation

Returns the latest NAV (Net Asset Value) and flows data for all Exchange Traded Funds in the specified country, sorted by month-end assets in descending order. Each ETF appears only once with its most recent NAV flows data.

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