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.
| 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
|
| Name | Description | Type |
|---|---|---|
| - | ||
|
|