Exchange Traded Fund (ETF) NAV Flows

Exchange Traded Fund (ETF) NAV Flows Web 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.

Endpoint:
https://api-v2.intrinio.com/etfs/{identifier}/nav_flows

Parameters

Name Description Example
identifier
* required
An ETF identifier (Ticker, Figi Ticker, ISIN, RIC, Intrinio ID) SPY
start_date
Return NAV flows on or after this date -
end_date
Return NAV flows on or before this date -
page_size
The number of results to return -
next_page
Gets the next page of data from a previous API call -
identifier
* required
An ETF identifier (Ticker, Figi Ticker, ISIN, RIC, Intrinio ID)
start_date
* required
Return NAV flows on or after this date
end_date
* required
Return NAV flows on or before this date
page_size
* required
The number of results to return
next_page
* required
Gets the next page of data from a previous API call

Output Fields

Name Description Type
-