Fund Accounting Position
Description
The Fund Accounting Position API reflects a point in time (EOD, EOM), of an entity's asset holdings. Position data is available at the following levels.
- Position Lot contains lot level position details for all securities held within an entity based on a point in time.
- Position Security contains summary level position details for all securities held within an entity based on a point in time.
- Position Entity contains cost and market value summed at the portfolio/entity level.
Client Benefits
The Fund Accounting Positions API will allow users to obtain an entities position details at a security level and lot level.
- Position Security or Position Lot: Users can obtain position summary or lot data daily or as of a prior month end, for all entities or a single entity.
- Position Entity: Users obtain the cost and market value aggregated totals by entity.
Data Availability
- Data is available upon end of day fund release.
- Position security: Daily, As of prior month end, Frozen prior month end
- Position Lot: Daily, Frozen prior month end.
- Position Entity: Daily, Monthly.
Note
For additional detail on field formats and codes, please reach out to api-support@statestreet.com or your client service representative.