GET api/EquitySearch/GetEquities?p={p}&t={t}&f={f}
Retrieve a list of equities for a given ticker and pricing date.
Request Information
URI Parameters
Name | Description | Type | Additional information |
---|---|---|---|
p | string |
Required |
|
t | string |
Required |
|
f | string |
Default value is 0 |
Body Parameters
None.
Response Information
Resource Description
Collection of EquityName | Description | Type | Additional information |
---|---|---|---|
securityID | unsigned integer |
None. |
|
securitySource | string |
None. |
|
pseudoCountryOfRegistrationFlag | string |
None. |
|
pricingDate | integer |
None. |
|
activateDate | integer |
None. |
|
countryOfRegistration | string |
None. |
|
cusip | string |
None. |
|
sedol | string |
None. |
|
isin | string |
None. |
|
ticker | string |
None. |
|
recalc | string |
None. |
|
bndtype | string |
None. |
|
sectype | string |
None. |
|
securityType | string |
None. |
|
issuerName | string |
None. |
|
countryOfIncorporation | string |
None. |
|
countryOfIssuer | string |
None. |
|
region | string |
None. |
|
WB_REGION | string |
None. |
|
WB_INCOME_CAT | string |
None. |
|
WB_LENDING_GROUP | string |
None. |
|
exchange | string |
None. |
|
currency | string |
None. |
|
riskFreeRateString | string |
None. |
|
riskFreeRate | decimal number |
None. |
|
riskFreeRateIndex | integer |
None. |
|
dividendYield | decimal number |
None. |
|
dividendInterval | integer |
None. |
|
dividendExDate | integer |
None. |
|
prev_gross_dividend | decimal number |
None. |
|
prev_net_dividend | decimal number |
None. |
|
prev_tax_rate | decimal number |
None. |
|
prev_ex_date | integer |
None. |
|
prev_pay_dt | integer |
None. |
|
pay_dt | integer |
None. |
|
projectedDividendDate | integer |
None. |
|
pricingMethod | string |
None. |
|
GICSIndustry | string |
None. |
|
GICSSector | string |
None. |
|
GICSSubIndustry | string |
None. |
|
GICSIndustryGroup | string |
None. |
|
ICBIndustry | string |
None. |
|
ICBSector | string |
None. |
|
ICBSubSector | string |
None. |
|
ICBSuperSector | string |
None. |
|
RussellSector | string |
None. |
|
RussellIndustry | string |
None. |
|
RussellSubSector | string |
None. |
|
BondedgeSector1 | string |
None. |
|
BondedgeSector2 | string |
None. |
|
BondedgeSector3 | string |
None. |
|
BondedgeSector4 | string |
None. |
|
FTSENAREITSector1 | string |
None. |
|
FTSENAREITSector2 | string |
None. |
|
FTSENAREITSector3 | string |
None. |
|
Leverage | decimal number |
None. |
|
DividendCoverageRatio | decimal number |
None. |
|
DividendPayoutRatio | decimal number |
None. |
|
CashFlowMultiple | decimal number |
None. |
|
FundsFromOperationsGrowth | decimal number |
None. |
|
dividendAmountTTM | decimal number |
None. |
|
dividendYieldTTM | decimal number |
None. |
|
processDate | integer |
None. |
|
ADRGDRUnderlyingSecurity | string |
None. |
|
contractMultiplier | decimal number |
None. |
|
splitDate | integer |
None. |
|
splitFactor | decimal number |
None. |
|
grossDividend | decimal number |
None. |
|
netDividend | decimal number |
None. |
|
dividendTaxRate | decimal number |
None. |
|
indicatedAnnualDividend | decimal number |
None. |
|
sharesOutstanding | decimal number |
None. |
|
bookValuePerShare | decimal number |
None. |
|
EPS_QTR_DILUTED_EXTRA | decimal number |
None. |
|
EPS_QTR_DILUTED | decimal number |
None. |
|
EPS_QTR_BASIC_EXTRA | decimal number |
None. |
|
EPS_QTR_BASIC | decimal number |
None. |
|
EPS_12M_DILUTED_EXTRA | decimal number |
None. |
|
EPS_12M_DILUTED | decimal number |
None. |
|
EPS_12M_BASIC_EXTRA | decimal number |
None. |
|
EPS_12M_BASIC | decimal number |
None. |
|
returnsOnEquity | decimal number |
None. |
|
sAndPQuality | string |
None. |
|
forecast5YearPE | decimal number |
None. |
|
priceEarningsGrowth | decimal number |
None. |
|
longTermEarningsGrowth | decimal number |
None. |
|
revenueGrowth | decimal number |
None. |
|
sales | decimal number |
None. |
|
cashflow | decimal number |
None. |
|
freeCashflow | decimal number |
None. |
|
purchases | decimal number |
None. |
|
totalAsset | decimal number |
None. |
|
totalDebt | decimal number |
None. |
|
longTermDebt | decimal number |
None. |
|
shortTermDebt | decimal number |
None. |
|
EBIT | decimal number |
None. |
|
EBITDA | decimal number |
None. |
|
coverageRatio | decimal number |
None. |
|
netProfit | decimal number |
None. |
|
depreciation | decimal number |
None. |
|
interestExpense | decimal number |
None. |
|
inventories | decimal number |
None. |
|
currentAssets | decimal number |
None. |
|
currentLiabilities | decimal number |
None. |
|
netIncome | decimal number |
None. |
|
marketType | string |
None. |
|
nextEarningDate | integer |
None. |
|
benchmark | string |
None. |
|
benchmarkId | unsigned integer |
None. |
|
benchmarkType | EquityBenchmarkType |
None. |
|
EVtoEBITDA | decimal number |
None. |
|
totalRevenue | decimal number |
None. |
|
cashFromOperations | decimal number |
None. |
|
currentLTDebtPerCapLease | decimal number |
None. |
|
debtToAssets | decimal number |
None. |
|
freeCashflowYield | decimal number |
None. |
|
grossMargin | decimal number |
None. |
|
grossProfit | decimal number |
None. |
|
operatingIncome | decimal number |
None. |
|
operatingMargin | decimal number |
None. |
|
returnOnAsset | decimal number |
None. |
|
returnOnCommonEquity | decimal number |
None. |
|
shortTermBorrowings | decimal number |
None. |
|
totalDebtToEquity | decimal number |
None. |
|
EVtoEBITDAFQ1 | decimal number |
None. |
|
EVtoEBITDAFY1 | decimal number |
None. |
|
EVtoEBITDAFY2 | decimal number |
None. |
|
EVtoEBITDAFY3 | decimal number |
None. |
|
price_date | integer |
None. |
|
price | decimal number |
None. |
|
currencyExchangeRates | decimal number |
None. |
|
volume | integer |
None. |
|
floatShares | decimal number |
None. |
|
percentInstitutionalOwnership | decimal number |
None. |
|
percentInsiderHoldings | decimal number |
None. |
|
price52WeekHigh | decimal number |
None. |
|
price52WeekLow | decimal number |
None. |
|
volume52WeekHigh | integer |
None. |
|
volume52WeekLow | integer |
None. |
|
PE52WeekHigh | decimal number |
None. |
|
PE52WeekLow | decimal number |
None. |
|
PERatio | decimal number |
None. |
|
EPRatio | decimal number |
None. |
|
PBRatio | decimal number |
None. |
|
BPRatio | decimal number |
None. |
|
marketCap | decimal number |
None. |
|
priceSales | decimal number |
None. |
|
priceCashflow | decimal number |
None. |
|
priceFreeCashFlow | decimal number |
None. |
|
dailyPriceReturn | decimal number |
None. |
|
dailyTotalReturn | decimal number |
None. |
|
averageVolume | decimal number |
None. |
|
previousAdjustedYield | decimal number |
None. |
|
alpha | decimal number |
None. |
|
beta | decimal number |
None. |
|
momentum | decimal number |
None. |
|
volatility | decimal number |
None. |
|
sharpeRatio | decimal number |
None. |
|
treynorRatio | decimal number |
None. |
|
informationRatio | decimal number |
None. |
|
sortinoRatio | decimal number |
None. |
|
r2 | decimal number |
None. |
|
PEGRatio | decimal number |
None. |
|
PERatioFQ1 | decimal number |
None. |
|
PERatioFY1 | decimal number |
None. |
|
PERatioFY2 | decimal number |
None. |
|
PERatioFY3 | decimal number |
None. |
|
priceSalesFQ1 | decimal number |
None. |
|
priceSalesFY1 | decimal number |
None. |
|
priceSalesFY2 | decimal number |
None. |
|
priceSalesFY3 | decimal number |
None. |
|
dataSpan | integer |
None. |
|
dataLoss | integer |
None. |
|
PreCalcs | Collection of decimal number |
None. |
|
numberOfHoldings | integer |
None. |
|
underlyingSecurityIndex | string |
None. |
|
underlyingIssuer | string |
None. |
|
underlyingCountryOfRegistration | string |
None. |
|
underlyingPrice | decimal number |
None. |
|
underlyingVolatility | decimal number |
None. |
|
expirationDate | integer |
None. |
|
multiplier | integer |
None. |
|
optionType | string |
None. |
|
exerciseType | string |
None. |
|
strikePrice | decimal number |
None. |
|
callPrice | decimal number |
None. |
|
callVolatility | decimal number |
None. |
|
callDelta | decimal number |
None. |
|
callGamma | decimal number |
None. |
|
callVega | decimal number |
None. |
|
callTheta | decimal number |
None. |
|
callTimeValue | decimal number |
None. |
|
callRho | decimal number |
None. |
|
putPrice | decimal number |
None. |
|
putVolatility | decimal number |
None. |
|
putDelta | decimal number |
None. |
|
putGamma | decimal number |
None. |
|
putVega | decimal number |
None. |
|
putTheta | decimal number |
None. |
|
putTimeValue | decimal number |
None. |
|
putRho | decimal number |
None. |
|
previousHighPrice | decimal number |
None. |
|
previousLowPrice | decimal number |
None. |
|
nextContractOutPrice | decimal number |
None. |
|
secondContractOutPrice | decimal number |
None. |
|
tickSize | decimal number |
None. |
|
tickValue | decimal number |
None. |
|
contractValue | decimal number |
None. |
|
nextContractOutTicker | string |
None. |
|
secondContractOutTicker | string |
None. |
|
underlyingDataDate | integer |
None. |
|
equityETFProcessdate | integer |
None. |
|
fundName | string |
None. |
|
fundSponsor | string |
None. |
|
fundStructure | string |
None. |
|
fundType | string |
None. |
|
fundURL | string |
None. |
|
dividendPaymentFrequency | string |
None. |
|
leverageFactor | integer |
None. |
|
managementFee | decimal number |
None. |
|
fundStrategy | string |
None. |
|
primaryExchangeCode | string |
None. |
|
underlyingType | integer |
None. |
|
underlyingId | unsigned integer |
None. |
|
upsideCapture | decimal number |
None. |
|
downsideCapture | decimal number |
None. |
|
trackingError | decimal number |
None. |
|
EquityState | string |
None. |
|
EquityRegion | string |
None. |
|
countryOfRegistrationCount | integer |
None. |
|
countryOfRegistrationList | Collection of string |
None. |
|
pseudoEquityDataItemCount | integer |
None. |
|
pseudoEquityData | Collection of EquityPseudoData |
None. |
|
CalculationTimes | string |
None. |
|
CalcError | string |
None. |
|
DataSource | string |
None. |
Response Formats
application/json, text/json
[ { "securityID": 1, "securitySource": "sample string 2", "pseudoCountryOfRegistrationFlag": "sample string 3", "pricingDate": 4, "activateDate": 5, "countryOfRegistration": "sample string 6", "cusip": "sample string 7", "sedol": "sample string 8", "isin": "sample string 9", "ticker": "sample string 10", "recalc": "sample string 11", "bndtype": "sample string 12", "sectype": "sample string 13", "securityType": "sample string 14", "issuerName": "sample string 15", "countryOfIncorporation": "sample string 16", "countryOfIssuer": "sample string 17", "region": "sample string 18", "WB_REGION": "sample string 19", "WB_INCOME_CAT": "sample string 20", "WB_LENDING_GROUP": "sample string 21", "exchange": "sample string 22", "currency": "sample string 23", "riskFreeRateString": "sample string 24", "riskFreeRate": 25.1, "riskFreeRateIndex": 26, "dividendYield": 27.1, "dividendInterval": 28, "dividendExDate": 29, "prev_gross_dividend": 30.1, "prev_net_dividend": 31.1, "prev_tax_rate": 32.1, "prev_ex_date": 33, "prev_pay_dt": 34, "pay_dt": 35, "projectedDividendDate": 36, "pricingMethod": "sample string 37", "GICSIndustry": "sample string 38", "GICSSector": "sample string 39", "GICSSubIndustry": "sample string 40", "GICSIndustryGroup": "sample string 41", "ICBIndustry": "sample string 42", "ICBSector": "sample string 43", "ICBSubSector": "sample string 44", "ICBSuperSector": "sample string 45", "RussellSector": "sample string 46", "RussellIndustry": "sample string 47", "RussellSubSector": "sample string 48", "BondedgeSector1": "sample string 49", "BondedgeSector2": "sample string 50", "BondedgeSector3": "sample string 51", "BondedgeSector4": "sample string 52", "FTSENAREITSector1": "sample string 53", "FTSENAREITSector2": "sample string 54", "FTSENAREITSector3": "sample string 55", "Leverage": 56.1, "DividendCoverageRatio": 57.1, "DividendPayoutRatio": 58.1, "CashFlowMultiple": 59.1, "FundsFromOperationsGrowth": 60.1, "dividendAmountTTM": 61.1, "dividendYieldTTM": 62.1, "processDate": 63, "ADRGDRUnderlyingSecurity": "sample string 64", "contractMultiplier": 65.1, "splitDate": 66, "splitFactor": 67.1, "grossDividend": 68.1, "netDividend": 69.1, "dividendTaxRate": 70.1, "indicatedAnnualDividend": 71.1, "sharesOutstanding": 72.1, "bookValuePerShare": 73.1, "EPS_QTR_DILUTED_EXTRA": 74.1, "EPS_QTR_DILUTED": 75.1, "EPS_QTR_BASIC_EXTRA": 76.1, "EPS_QTR_BASIC": 77.1, "EPS_12M_DILUTED_EXTRA": 78.1, "EPS_12M_DILUTED": 79.1, "EPS_12M_BASIC_EXTRA": 80.1, "EPS_12M_BASIC": 81.1, "returnsOnEquity": 82.1, "sAndPQuality": "sample string 83", "forecast5YearPE": 84.1, "priceEarningsGrowth": 85.1, "longTermEarningsGrowth": 86.1, "revenueGrowth": 87.1, "sales": 88.1, "cashflow": 89.1, "freeCashflow": 90.1, "purchases": 91.1, "totalAsset": 92.1, "totalDebt": 93.1, "longTermDebt": 94.1, "shortTermDebt": 95.1, "EBIT": 96.1, "EBITDA": 97.1, "coverageRatio": 98.1, "netProfit": 99.1, "depreciation": 100.1, "interestExpense": 101.1, "inventories": 102.1, "currentAssets": 103.1, "currentLiabilities": 104.1, "netIncome": 105.1, "marketType": "sample string 106", "nextEarningDate": 107, "benchmark": "sample string 108", "benchmarkId": 109, "benchmarkType": 0, "EVtoEBITDA": 110.1, "totalRevenue": 111.1, "cashFromOperations": 112.1, "currentLTDebtPerCapLease": 113.1, "debtToAssets": 114.1, "freeCashflowYield": 115.1, "grossMargin": 116.1, "grossProfit": 117.1, "operatingIncome": 118.1, "operatingMargin": 119.1, "returnOnAsset": 120.1, "returnOnCommonEquity": 121.1, "shortTermBorrowings": 122.1, "totalDebtToEquity": 123.1, "EVtoEBITDAFQ1": 124.1, "EVtoEBITDAFY1": 125.1, "EVtoEBITDAFY2": 126.1, "EVtoEBITDAFY3": 127.1, "price_date": 128, "price": 129.1, "currencyExchangeRates": 130.1, "volume": 131, "floatShares": 132.1, "percentInstitutionalOwnership": 133.1, "percentInsiderHoldings": 134.1, "price52WeekHigh": 135.1, "price52WeekLow": 136.1, "volume52WeekHigh": 137, "volume52WeekLow": 138, "PE52WeekHigh": 139.1, "PE52WeekLow": 140.1, "PERatio": 141.1, "EPRatio": 142.1, "PBRatio": 143.1, "BPRatio": 144.1, "marketCap": 145.1, "priceSales": 146.1, "priceCashflow": 147.1, "priceFreeCashFlow": 148.1, "dailyPriceReturn": 149.1, "dailyTotalReturn": 150.1, "averageVolume": 151.1, "previousAdjustedYield": 152.1, "alpha": 153.1, "beta": 154.1, "momentum": 155.1, "volatility": 156.1, "sharpeRatio": 157.1, "treynorRatio": 158.1, "informationRatio": 159.1, "sortinoRatio": 160.1, "r2": 161.1, "PEGRatio": 162.1, "PERatioFQ1": 163.1, "PERatioFY1": 164.1, "PERatioFY2": 165.1, "PERatioFY3": 166.1, "priceSalesFQ1": 167.1, "priceSalesFY1": 168.1, "priceSalesFY2": 169.1, "priceSalesFY3": 170.1, "dataSpan": 171, "dataLoss": 172, "PreCalcs": [ 1.1, 2.1 ], "numberOfHoldings": 173, "underlyingSecurityIndex": "sample string 174", "underlyingIssuer": "sample string 175", "underlyingCountryOfRegistration": "sample string 176", "underlyingPrice": 177.1, "underlyingVolatility": 178.1, "expirationDate": 179, "multiplier": 180, "optionType": "sample string 181", "exerciseType": "sample string 182", "strikePrice": 183.1, "callPrice": 184.1, "callVolatility": 185.1, "callDelta": 186.1, "callGamma": 187.1, "callVega": 188.1, "callTheta": 189.1, "callTimeValue": 190.1, "callRho": 191.1, "putPrice": 192.1, "putVolatility": 193.1, "putDelta": 194.1, "putGamma": 195.1, "putVega": 196.1, "putTheta": 197.1, "putTimeValue": 198.1, "putRho": 199.1, "previousHighPrice": 200.1, "previousLowPrice": 201.1, "nextContractOutPrice": 202.1, "secondContractOutPrice": 203.1, "tickSize": 204.1, "tickValue": 205.1, "contractValue": 206.1, "nextContractOutTicker": "sample string 207", "secondContractOutTicker": "sample string 208", "underlyingDataDate": 209, "equityETFProcessdate": 210, "fundName": "sample string 211", "fundSponsor": "sample string 212", "fundStructure": "sample string 213", "fundType": "sample string 214", "fundURL": "sample string 215", "dividendPaymentFrequency": "sample string 216", "leverageFactor": 217, "managementFee": 218.1, "fundStrategy": "sample string 219", "primaryExchangeCode": "sample string 220", "underlyingType": 221, "underlyingId": 222, "upsideCapture": 223.1, "downsideCapture": 224.1, "trackingError": 225.1, "EquityState": "sample string 226", "EquityRegion": "sample string 227", "countryOfRegistrationCount": 228, "countryOfRegistrationList": [ "sample string 1", "sample string 2" ], "pseudoEquityDataItemCount": 229, "pseudoEquityData": [ { "securityID": 1, "pricingDate": 2, "fieldID": 3, "fieldValue": "sample string 4" }, { "securityID": 1, "pricingDate": 2, "fieldID": 3, "fieldValue": "sample string 4" } ], "CalculationTimes": "sample string 230", "CalcError": "sample string 231", "DataSource": "sample string 232" }, { "securityID": 1, "securitySource": "sample string 2", "pseudoCountryOfRegistrationFlag": "sample string 3", "pricingDate": 4, "activateDate": 5, "countryOfRegistration": "sample string 6", "cusip": "sample string 7", "sedol": "sample string 8", "isin": "sample string 9", "ticker": "sample string 10", "recalc": "sample string 11", "bndtype": "sample string 12", "sectype": "sample string 13", "securityType": "sample string 14", "issuerName": "sample string 15", "countryOfIncorporation": "sample string 16", "countryOfIssuer": "sample string 17", "region": "sample string 18", "WB_REGION": "sample string 19", "WB_INCOME_CAT": "sample string 20", "WB_LENDING_GROUP": "sample string 21", "exchange": "sample string 22", "currency": "sample string 23", "riskFreeRateString": "sample string 24", "riskFreeRate": 25.1, "riskFreeRateIndex": 26, "dividendYield": 27.1, "dividendInterval": 28, "dividendExDate": 29, "prev_gross_dividend": 30.1, "prev_net_dividend": 31.1, "prev_tax_rate": 32.1, "prev_ex_date": 33, "prev_pay_dt": 34, "pay_dt": 35, "projectedDividendDate": 36, "pricingMethod": "sample string 37", "GICSIndustry": "sample string 38", "GICSSector": "sample string 39", "GICSSubIndustry": "sample string 40", "GICSIndustryGroup": "sample string 41", "ICBIndustry": "sample string 42", "ICBSector": "sample string 43", "ICBSubSector": "sample string 44", "ICBSuperSector": "sample string 45", "RussellSector": "sample string 46", "RussellIndustry": "sample string 47", "RussellSubSector": "sample string 48", "BondedgeSector1": "sample string 49", "BondedgeSector2": "sample string 50", "BondedgeSector3": "sample string 51", "BondedgeSector4": "sample string 52", "FTSENAREITSector1": "sample string 53", "FTSENAREITSector2": "sample string 54", "FTSENAREITSector3": "sample string 55", "Leverage": 56.1, "DividendCoverageRatio": 57.1, "DividendPayoutRatio": 58.1, "CashFlowMultiple": 59.1, "FundsFromOperationsGrowth": 60.1, "dividendAmountTTM": 61.1, "dividendYieldTTM": 62.1, "processDate": 63, "ADRGDRUnderlyingSecurity": "sample string 64", "contractMultiplier": 65.1, "splitDate": 66, "splitFactor": 67.1, "grossDividend": 68.1, "netDividend": 69.1, "dividendTaxRate": 70.1, "indicatedAnnualDividend": 71.1, "sharesOutstanding": 72.1, "bookValuePerShare": 73.1, "EPS_QTR_DILUTED_EXTRA": 74.1, "EPS_QTR_DILUTED": 75.1, "EPS_QTR_BASIC_EXTRA": 76.1, "EPS_QTR_BASIC": 77.1, "EPS_12M_DILUTED_EXTRA": 78.1, "EPS_12M_DILUTED": 79.1, "EPS_12M_BASIC_EXTRA": 80.1, "EPS_12M_BASIC": 81.1, "returnsOnEquity": 82.1, "sAndPQuality": "sample string 83", "forecast5YearPE": 84.1, "priceEarningsGrowth": 85.1, "longTermEarningsGrowth": 86.1, "revenueGrowth": 87.1, "sales": 88.1, "cashflow": 89.1, "freeCashflow": 90.1, "purchases": 91.1, "totalAsset": 92.1, "totalDebt": 93.1, "longTermDebt": 94.1, "shortTermDebt": 95.1, "EBIT": 96.1, "EBITDA": 97.1, "coverageRatio": 98.1, "netProfit": 99.1, "depreciation": 100.1, "interestExpense": 101.1, "inventories": 102.1, "currentAssets": 103.1, "currentLiabilities": 104.1, "netIncome": 105.1, "marketType": "sample string 106", "nextEarningDate": 107, "benchmark": "sample string 108", "benchmarkId": 109, "benchmarkType": 0, "EVtoEBITDA": 110.1, "totalRevenue": 111.1, "cashFromOperations": 112.1, "currentLTDebtPerCapLease": 113.1, "debtToAssets": 114.1, "freeCashflowYield": 115.1, "grossMargin": 116.1, "grossProfit": 117.1, "operatingIncome": 118.1, "operatingMargin": 119.1, "returnOnAsset": 120.1, "returnOnCommonEquity": 121.1, "shortTermBorrowings": 122.1, "totalDebtToEquity": 123.1, "EVtoEBITDAFQ1": 124.1, "EVtoEBITDAFY1": 125.1, "EVtoEBITDAFY2": 126.1, "EVtoEBITDAFY3": 127.1, "price_date": 128, "price": 129.1, "currencyExchangeRates": 130.1, "volume": 131, "floatShares": 132.1, "percentInstitutionalOwnership": 133.1, "percentInsiderHoldings": 134.1, "price52WeekHigh": 135.1, "price52WeekLow": 136.1, "volume52WeekHigh": 137, "volume52WeekLow": 138, "PE52WeekHigh": 139.1, "PE52WeekLow": 140.1, "PERatio": 141.1, "EPRatio": 142.1, "PBRatio": 143.1, "BPRatio": 144.1, "marketCap": 145.1, "priceSales": 146.1, "priceCashflow": 147.1, "priceFreeCashFlow": 148.1, "dailyPriceReturn": 149.1, "dailyTotalReturn": 150.1, "averageVolume": 151.1, "previousAdjustedYield": 152.1, "alpha": 153.1, "beta": 154.1, "momentum": 155.1, "volatility": 156.1, "sharpeRatio": 157.1, "treynorRatio": 158.1, "informationRatio": 159.1, "sortinoRatio": 160.1, "r2": 161.1, "PEGRatio": 162.1, "PERatioFQ1": 163.1, "PERatioFY1": 164.1, "PERatioFY2": 165.1, "PERatioFY3": 166.1, "priceSalesFQ1": 167.1, "priceSalesFY1": 168.1, "priceSalesFY2": 169.1, "priceSalesFY3": 170.1, "dataSpan": 171, "dataLoss": 172, "PreCalcs": [ 1.1, 2.1 ], "numberOfHoldings": 173, "underlyingSecurityIndex": "sample string 174", "underlyingIssuer": "sample string 175", "underlyingCountryOfRegistration": "sample string 176", "underlyingPrice": 177.1, "underlyingVolatility": 178.1, "expirationDate": 179, "multiplier": 180, "optionType": "sample string 181", "exerciseType": "sample string 182", "strikePrice": 183.1, "callPrice": 184.1, "callVolatility": 185.1, "callDelta": 186.1, "callGamma": 187.1, "callVega": 188.1, "callTheta": 189.1, "callTimeValue": 190.1, "callRho": 191.1, "putPrice": 192.1, "putVolatility": 193.1, "putDelta": 194.1, "putGamma": 195.1, "putVega": 196.1, "putTheta": 197.1, "putTimeValue": 198.1, "putRho": 199.1, "previousHighPrice": 200.1, "previousLowPrice": 201.1, "nextContractOutPrice": 202.1, "secondContractOutPrice": 203.1, "tickSize": 204.1, "tickValue": 205.1, "contractValue": 206.1, "nextContractOutTicker": "sample string 207", "secondContractOutTicker": "sample string 208", "underlyingDataDate": 209, "equityETFProcessdate": 210, "fundName": "sample string 211", "fundSponsor": "sample string 212", "fundStructure": "sample string 213", "fundType": "sample string 214", "fundURL": "sample string 215", "dividendPaymentFrequency": "sample string 216", "leverageFactor": 217, "managementFee": 218.1, "fundStrategy": "sample string 219", "primaryExchangeCode": "sample string 220", "underlyingType": 221, "underlyingId": 222, "upsideCapture": 223.1, "downsideCapture": 224.1, "trackingError": 225.1, "EquityState": "sample string 226", "EquityRegion": "sample string 227", "countryOfRegistrationCount": 228, "countryOfRegistrationList": [ "sample string 1", "sample string 2" ], "pseudoEquityDataItemCount": 229, "pseudoEquityData": [ { "securityID": 1, "pricingDate": 2, "fieldID": 3, "fieldValue": "sample string 4" }, { "securityID": 1, "pricingDate": 2, "fieldID": 3, "fieldValue": "sample string 4" } ], "CalculationTimes": "sample string 230", "CalcError": "sample string 231", "DataSource": "sample string 232" } ]
application/xml, text/xml
<ArrayOfEquity xmlns:i="http://www.w3.org/2001/XMLSchema-instance" xmlns="http://schemas.datacontract.org/2004/07/BondEdge.Equity"> <Equity> <ADRGDRUnderlyingSecurity>sample string 64</ADRGDRUnderlyingSecurity> <BPRatio>144.1</BPRatio> <BondedgeSector1>sample string 49</BondedgeSector1> <BondedgeSector2>sample string 50</BondedgeSector2> <BondedgeSector3>sample string 51</BondedgeSector3> <BondedgeSector4>sample string 52</BondedgeSector4> <CalcError>sample string 231</CalcError> <CalculationTimes>sample string 230</CalculationTimes> <CashFlowMultiple>59.1</CashFlowMultiple> <DataSource>sample string 232</DataSource> <DividendCoverageRatio>57.1</DividendCoverageRatio> <DividendPayoutRatio>58.1</DividendPayoutRatio> <EBIT>96.1</EBIT> <EBITDA>97.1</EBITDA> <EPRatio>142.1</EPRatio> <EPS_12M_BASIC>81.1</EPS_12M_BASIC> <EPS_12M_BASIC_EXTRA>80.1</EPS_12M_BASIC_EXTRA> <EPS_12M_DILUTED>79.1</EPS_12M_DILUTED> <EPS_12M_DILUTED_EXTRA>78.1</EPS_12M_DILUTED_EXTRA> <EPS_QTR_BASIC>77.1</EPS_QTR_BASIC> <EPS_QTR_BASIC_EXTRA>76.1</EPS_QTR_BASIC_EXTRA> <EPS_QTR_DILUTED>75.1</EPS_QTR_DILUTED> <EPS_QTR_DILUTED_EXTRA>74.1</EPS_QTR_DILUTED_EXTRA> <EVtoEBITDA>110.1</EVtoEBITDA> <EVtoEBITDAFQ1>124.1</EVtoEBITDAFQ1> <EVtoEBITDAFY1>125.1</EVtoEBITDAFY1> <EVtoEBITDAFY2>126.1</EVtoEBITDAFY2> <EVtoEBITDAFY3>127.1</EVtoEBITDAFY3> <EquityRegion>sample string 227</EquityRegion> <EquityState>sample string 226</EquityState> <FTSENAREITSector1>sample string 53</FTSENAREITSector1> <FTSENAREITSector2>sample string 54</FTSENAREITSector2> <FTSENAREITSector3>sample string 55</FTSENAREITSector3> <FundsFromOperationsGrowth>60.1</FundsFromOperationsGrowth> <GICSIndustry>sample string 38</GICSIndustry> <GICSIndustryGroup>sample string 41</GICSIndustryGroup> <GICSSector>sample string 39</GICSSector> <GICSSubIndustry>sample string 40</GICSSubIndustry> <ICBIndustry>sample string 42</ICBIndustry> <ICBSector>sample string 43</ICBSector> <ICBSubSector>sample string 44</ICBSubSector> <ICBSuperSector>sample string 45</ICBSuperSector> <Leverage>56.1</Leverage> <PBRatio>143.1</PBRatio> <PE52WeekHigh>139.1</PE52WeekHigh> <PE52WeekLow>140.1</PE52WeekLow> <PEGRatio>162.1</PEGRatio> <PERatio>141.1</PERatio> <PERatioFQ1>163.1</PERatioFQ1> <PERatioFY1>164.1</PERatioFY1> <PERatioFY2>165.1</PERatioFY2> <PERatioFY3>166.1</PERatioFY3> <PreCalcs xmlns:d3p1="http://schemas.microsoft.com/2003/10/Serialization/Arrays"> <d3p1:double>1.1</d3p1:double> <d3p1:double>2.1</d3p1:double> </PreCalcs> <RussellIndustry>sample string 47</RussellIndustry> <RussellSector>sample string 46</RussellSector> <RussellSubSector>sample string 48</RussellSubSector> <WB_INCOME_CAT>sample string 20</WB_INCOME_CAT> <WB_LENDING_GROUP>sample string 21</WB_LENDING_GROUP> <WB_REGION>sample string 19</WB_REGION> <activateDate>5</activateDate> <alpha>153.1</alpha> <averageVolume>151.1</averageVolume> <benchmark>sample string 108</benchmark> <benchmarkId>109</benchmarkId> <benchmarkType>Unspecified</benchmarkType> <beta>154.1</beta> <bndtype>sample string 12</bndtype> <bookValuePerShare>73.1</bookValuePerShare> <callDelta>186.1</callDelta> <callGamma>187.1</callGamma> <callPrice>184.1</callPrice> <callRho>191.1</callRho> <callTheta>189.1</callTheta> <callTimeValue>190.1</callTimeValue> <callVega>188.1</callVega> <callVolatility>185.1</callVolatility> <cashFromOperations>112.1</cashFromOperations> <cashflow>89.1</cashflow> <contractMultiplier>65.1</contractMultiplier> <contractValue>206.1</contractValue> <countryOfIncorporation>sample string 16</countryOfIncorporation> <countryOfIssuer>sample string 17</countryOfIssuer> <countryOfRegistration>sample string 6</countryOfRegistration> <countryOfRegistrationCount>228</countryOfRegistrationCount> <countryOfRegistrationList xmlns:d3p1="http://schemas.microsoft.com/2003/10/Serialization/Arrays"> <d3p1:string>sample string 1</d3p1:string> <d3p1:string>sample string 2</d3p1:string> </countryOfRegistrationList> <coverageRatio>98.1</coverageRatio> <currency>sample string 23</currency> <currencyExchangeRates>130.1</currencyExchangeRates> <currentAssets>103.1</currentAssets> <currentLTDebtPerCapLease>113.1</currentLTDebtPerCapLease> <currentLiabilities>104.1</currentLiabilities> <cusip>sample string 7</cusip> <dailyPriceReturn>149.1</dailyPriceReturn> <dailyTotalReturn>150.1</dailyTotalReturn> <dataLoss>172</dataLoss> <dataSpan>171</dataSpan> <debtToAssets>114.1</debtToAssets> <depreciation>100.1</depreciation> <dividendAmountTTM>61.1</dividendAmountTTM> <dividendExDate>29</dividendExDate> <dividendInterval>28</dividendInterval> <dividendPaymentFrequency>sample string 216</dividendPaymentFrequency> <dividendTaxRate>70.1</dividendTaxRate> <dividendYield>27.1</dividendYield> <dividendYieldTTM>62.1</dividendYieldTTM> <downsideCapture>224.1</downsideCapture> <equityETFProcessdate>210</equityETFProcessdate> <exchange>sample string 22</exchange> <exerciseType>sample string 182</exerciseType> <expirationDate>179</expirationDate> <floatShares>132.1</floatShares> <forecast5YearPE>84.1</forecast5YearPE> <freeCashflow>90.1</freeCashflow> <freeCashflowYield>115.1</freeCashflowYield> <fundName>sample string 211</fundName> <fundSponsor>sample string 212</fundSponsor> <fundStrategy>sample string 219</fundStrategy> <fundStructure>sample string 213</fundStructure> <fundType>sample string 214</fundType> <fundURL>sample string 215</fundURL> <grossDividend>68.1</grossDividend> <grossMargin>116.1</grossMargin> <grossProfit>117.1</grossProfit> <indicatedAnnualDividend>71.1</indicatedAnnualDividend> <informationRatio>159.1</informationRatio> <interestExpense>101.1</interestExpense> <inventories>102.1</inventories> <isin>sample string 9</isin> <issuerName>sample string 15</issuerName> <leverageFactor>217</leverageFactor> <longTermDebt>94.1</longTermDebt> <longTermEarningsGrowth>86.1</longTermEarningsGrowth> <managementFee>218.1</managementFee> <marketCap>145.1</marketCap> <marketType>sample string 106</marketType> <momentum>155.1</momentum> <multiplier>180</multiplier> <netDividend>69.1</netDividend> <netIncome>105.1</netIncome> <netProfit>99.1</netProfit> <nextContractOutPrice>202.1</nextContractOutPrice> <nextContractOutTicker>sample string 207</nextContractOutTicker> <nextEarningDate>107</nextEarningDate> <numberOfHoldings>173</numberOfHoldings> <operatingIncome>118.1</operatingIncome> <operatingMargin>119.1</operatingMargin> <optionType>sample string 181</optionType> <pay_dt>35</pay_dt> <percentInsiderHoldings>134.1</percentInsiderHoldings> <percentInstitutionalOwnership>133.1</percentInstitutionalOwnership> <prev_ex_date>33</prev_ex_date> <prev_gross_dividend>30.1</prev_gross_dividend> <prev_net_dividend>31.1</prev_net_dividend> <prev_pay_dt>34</prev_pay_dt> <prev_tax_rate>32.1</prev_tax_rate> <previousAdjustedYield>152.1</previousAdjustedYield> <previousHighPrice>200.1</previousHighPrice> <previousLowPrice>201.1</previousLowPrice> <price>129.1</price> <price52WeekHigh>135.1</price52WeekHigh> <price52WeekLow>136.1</price52WeekLow> <priceCashflow>147.1</priceCashflow> <priceEarningsGrowth>85.1</priceEarningsGrowth> <priceFreeCashFlow>148.1</priceFreeCashFlow> <priceSales>146.1</priceSales> <priceSalesFQ1>167.1</priceSalesFQ1> <priceSalesFY1>168.1</priceSalesFY1> <priceSalesFY2>169.1</priceSalesFY2> <priceSalesFY3>170.1</priceSalesFY3> <price_date>128</price_date> <pricingDate>4</pricingDate> <pricingMethod>sample string 37</pricingMethod> <primaryExchangeCode>sample string 220</primaryExchangeCode> <processDate>63</processDate> <projectedDividendDate>36</projectedDividendDate> <pseudoCountryOfRegistrationFlag>sample string 3</pseudoCountryOfRegistrationFlag> <pseudoEquityData> <EquityPseudoData> <fieldID>3</fieldID> <fieldValue>sample string 4</fieldValue> <pricingDate>2</pricingDate> <securityID>1</securityID> </EquityPseudoData> <EquityPseudoData> <fieldID>3</fieldID> <fieldValue>sample string 4</fieldValue> <pricingDate>2</pricingDate> <securityID>1</securityID> </EquityPseudoData> </pseudoEquityData> <pseudoEquityDataItemCount>229</pseudoEquityDataItemCount> <purchases>91.1</purchases> <putDelta>194.1</putDelta> <putGamma>195.1</putGamma> <putPrice>192.1</putPrice> <putRho>199.1</putRho> <putTheta>197.1</putTheta> <putTimeValue>198.1</putTimeValue> <putVega>196.1</putVega> <putVolatility>193.1</putVolatility> <r2>161.1</r2> <recalc>sample string 11</recalc> <region>sample string 18</region> <returnOnAsset>120.1</returnOnAsset> <returnOnCommonEquity>121.1</returnOnCommonEquity> <returnsOnEquity>82.1</returnsOnEquity> <revenueGrowth>87.1</revenueGrowth> <riskFreeRate>25.1</riskFreeRate> <riskFreeRateIndex>26</riskFreeRateIndex> <riskFreeRateString>sample string 24</riskFreeRateString> <sAndPQuality>sample string 83</sAndPQuality> <sales>88.1</sales> <secondContractOutPrice>203.1</secondContractOutPrice> <secondContractOutTicker>sample string 208</secondContractOutTicker> <sectype>sample string 13</sectype> <securityID>1</securityID> <securitySource>sample string 2</securitySource> <securityType>sample string 14</securityType> <sedol>sample string 8</sedol> <sharesOutstanding>72.1</sharesOutstanding> <sharpeRatio>157.1</sharpeRatio> <shortTermBorrowings>122.1</shortTermBorrowings> <shortTermDebt>95.1</shortTermDebt> <sortinoRatio>160.1</sortinoRatio> <splitDate>66</splitDate> <splitFactor>67.1</splitFactor> <strikePrice>183.1</strikePrice> <tickSize>204.1</tickSize> <tickValue>205.1</tickValue> <ticker>sample string 10</ticker> <totalAsset>92.1</totalAsset> <totalDebt>93.1</totalDebt> <totalDebtToEquity>123.1</totalDebtToEquity> <totalRevenue>111.1</totalRevenue> <trackingError>225.1</trackingError> <treynorRatio>158.1</treynorRatio> <underlyingCountryOfRegistration>sample string 176</underlyingCountryOfRegistration> <underlyingDataDate>209</underlyingDataDate> <underlyingId>222</underlyingId> <underlyingIssuer>sample string 175</underlyingIssuer> <underlyingPrice>177.1</underlyingPrice> <underlyingSecurityIndex>sample string 174</underlyingSecurityIndex> <underlyingType>221</underlyingType> <underlyingVolatility>178.1</underlyingVolatility> <upsideCapture>223.1</upsideCapture> <volatility>156.1</volatility> <volume>131</volume> <volume52WeekHigh>137</volume52WeekHigh> <volume52WeekLow>138</volume52WeekLow> </Equity> <Equity> <ADRGDRUnderlyingSecurity>sample string 64</ADRGDRUnderlyingSecurity> <BPRatio>144.1</BPRatio> <BondedgeSector1>sample string 49</BondedgeSector1> <BondedgeSector2>sample string 50</BondedgeSector2> <BondedgeSector3>sample string 51</BondedgeSector3> <BondedgeSector4>sample string 52</BondedgeSector4> <CalcError>sample string 231</CalcError> <CalculationTimes>sample string 230</CalculationTimes> <CashFlowMultiple>59.1</CashFlowMultiple> <DataSource>sample string 232</DataSource> <DividendCoverageRatio>57.1</DividendCoverageRatio> <DividendPayoutRatio>58.1</DividendPayoutRatio> <EBIT>96.1</EBIT> <EBITDA>97.1</EBITDA> <EPRatio>142.1</EPRatio> <EPS_12M_BASIC>81.1</EPS_12M_BASIC> <EPS_12M_BASIC_EXTRA>80.1</EPS_12M_BASIC_EXTRA> <EPS_12M_DILUTED>79.1</EPS_12M_DILUTED> <EPS_12M_DILUTED_EXTRA>78.1</EPS_12M_DILUTED_EXTRA> <EPS_QTR_BASIC>77.1</EPS_QTR_BASIC> <EPS_QTR_BASIC_EXTRA>76.1</EPS_QTR_BASIC_EXTRA> <EPS_QTR_DILUTED>75.1</EPS_QTR_DILUTED> <EPS_QTR_DILUTED_EXTRA>74.1</EPS_QTR_DILUTED_EXTRA> <EVtoEBITDA>110.1</EVtoEBITDA> <EVtoEBITDAFQ1>124.1</EVtoEBITDAFQ1> <EVtoEBITDAFY1>125.1</EVtoEBITDAFY1> <EVtoEBITDAFY2>126.1</EVtoEBITDAFY2> <EVtoEBITDAFY3>127.1</EVtoEBITDAFY3> <EquityRegion>sample string 227</EquityRegion> <EquityState>sample string 226</EquityState> <FTSENAREITSector1>sample string 53</FTSENAREITSector1> <FTSENAREITSector2>sample string 54</FTSENAREITSector2> <FTSENAREITSector3>sample string 55</FTSENAREITSector3> <FundsFromOperationsGrowth>60.1</FundsFromOperationsGrowth> <GICSIndustry>sample string 38</GICSIndustry> <GICSIndustryGroup>sample string 41</GICSIndustryGroup> <GICSSector>sample string 39</GICSSector> <GICSSubIndustry>sample string 40</GICSSubIndustry> <ICBIndustry>sample string 42</ICBIndustry> <ICBSector>sample string 43</ICBSector> <ICBSubSector>sample string 44</ICBSubSector> <ICBSuperSector>sample string 45</ICBSuperSector> <Leverage>56.1</Leverage> <PBRatio>143.1</PBRatio> <PE52WeekHigh>139.1</PE52WeekHigh> <PE52WeekLow>140.1</PE52WeekLow> <PEGRatio>162.1</PEGRatio> <PERatio>141.1</PERatio> <PERatioFQ1>163.1</PERatioFQ1> <PERatioFY1>164.1</PERatioFY1> <PERatioFY2>165.1</PERatioFY2> <PERatioFY3>166.1</PERatioFY3> <PreCalcs xmlns:d3p1="http://schemas.microsoft.com/2003/10/Serialization/Arrays"> <d3p1:double>1.1</d3p1:double> <d3p1:double>2.1</d3p1:double> </PreCalcs> <RussellIndustry>sample string 47</RussellIndustry> <RussellSector>sample string 46</RussellSector> <RussellSubSector>sample string 48</RussellSubSector> <WB_INCOME_CAT>sample string 20</WB_INCOME_CAT> <WB_LENDING_GROUP>sample string 21</WB_LENDING_GROUP> <WB_REGION>sample string 19</WB_REGION> <activateDate>5</activateDate> <alpha>153.1</alpha> <averageVolume>151.1</averageVolume> <benchmark>sample string 108</benchmark> <benchmarkId>109</benchmarkId> <benchmarkType>Unspecified</benchmarkType> <beta>154.1</beta> <bndtype>sample string 12</bndtype> <bookValuePerShare>73.1</bookValuePerShare> <callDelta>186.1</callDelta> <callGamma>187.1</callGamma> <callPrice>184.1</callPrice> <callRho>191.1</callRho> <callTheta>189.1</callTheta> <callTimeValue>190.1</callTimeValue> <callVega>188.1</callVega> <callVolatility>185.1</callVolatility> <cashFromOperations>112.1</cashFromOperations> <cashflow>89.1</cashflow> <contractMultiplier>65.1</contractMultiplier> <contractValue>206.1</contractValue> <countryOfIncorporation>sample string 16</countryOfIncorporation> <countryOfIssuer>sample string 17</countryOfIssuer> <countryOfRegistration>sample string 6</countryOfRegistration> <countryOfRegistrationCount>228</countryOfRegistrationCount> <countryOfRegistrationList xmlns:d3p1="http://schemas.microsoft.com/2003/10/Serialization/Arrays"> <d3p1:string>sample string 1</d3p1:string> <d3p1:string>sample string 2</d3p1:string> </countryOfRegistrationList> <coverageRatio>98.1</coverageRatio> <currency>sample string 23</currency> <currencyExchangeRates>130.1</currencyExchangeRates> <currentAssets>103.1</currentAssets> <currentLTDebtPerCapLease>113.1</currentLTDebtPerCapLease> <currentLiabilities>104.1</currentLiabilities> <cusip>sample string 7</cusip> <dailyPriceReturn>149.1</dailyPriceReturn> <dailyTotalReturn>150.1</dailyTotalReturn> <dataLoss>172</dataLoss> <dataSpan>171</dataSpan> <debtToAssets>114.1</debtToAssets> <depreciation>100.1</depreciation> <dividendAmountTTM>61.1</dividendAmountTTM> <dividendExDate>29</dividendExDate> <dividendInterval>28</dividendInterval> <dividendPaymentFrequency>sample string 216</dividendPaymentFrequency> <dividendTaxRate>70.1</dividendTaxRate> <dividendYield>27.1</dividendYield> <dividendYieldTTM>62.1</dividendYieldTTM> <downsideCapture>224.1</downsideCapture> <equityETFProcessdate>210</equityETFProcessdate> <exchange>sample string 22</exchange> <exerciseType>sample string 182</exerciseType> <expirationDate>179</expirationDate> <floatShares>132.1</floatShares> <forecast5YearPE>84.1</forecast5YearPE> <freeCashflow>90.1</freeCashflow> <freeCashflowYield>115.1</freeCashflowYield> <fundName>sample string 211</fundName> <fundSponsor>sample string 212</fundSponsor> <fundStrategy>sample string 219</fundStrategy> <fundStructure>sample string 213</fundStructure> <fundType>sample string 214</fundType> <fundURL>sample string 215</fundURL> <grossDividend>68.1</grossDividend> <grossMargin>116.1</grossMargin> <grossProfit>117.1</grossProfit> <indicatedAnnualDividend>71.1</indicatedAnnualDividend> <informationRatio>159.1</informationRatio> <interestExpense>101.1</interestExpense> <inventories>102.1</inventories> <isin>sample string 9</isin> <issuerName>sample string 15</issuerName> <leverageFactor>217</leverageFactor> <longTermDebt>94.1</longTermDebt> <longTermEarningsGrowth>86.1</longTermEarningsGrowth> <managementFee>218.1</managementFee> <marketCap>145.1</marketCap> <marketType>sample string 106</marketType> <momentum>155.1</momentum> <multiplier>180</multiplier> <netDividend>69.1</netDividend> <netIncome>105.1</netIncome> <netProfit>99.1</netProfit> <nextContractOutPrice>202.1</nextContractOutPrice> <nextContractOutTicker>sample string 207</nextContractOutTicker> <nextEarningDate>107</nextEarningDate> <numberOfHoldings>173</numberOfHoldings> <operatingIncome>118.1</operatingIncome> <operatingMargin>119.1</operatingMargin> <optionType>sample string 181</optionType> <pay_dt>35</pay_dt> <percentInsiderHoldings>134.1</percentInsiderHoldings> <percentInstitutionalOwnership>133.1</percentInstitutionalOwnership> <prev_ex_date>33</prev_ex_date> <prev_gross_dividend>30.1</prev_gross_dividend> <prev_net_dividend>31.1</prev_net_dividend> <prev_pay_dt>34</prev_pay_dt> <prev_tax_rate>32.1</prev_tax_rate> <previousAdjustedYield>152.1</previousAdjustedYield> <previousHighPrice>200.1</previousHighPrice> <previousLowPrice>201.1</previousLowPrice> <price>129.1</price> <price52WeekHigh>135.1</price52WeekHigh> <price52WeekLow>136.1</price52WeekLow> <priceCashflow>147.1</priceCashflow> <priceEarningsGrowth>85.1</priceEarningsGrowth> <priceFreeCashFlow>148.1</priceFreeCashFlow> <priceSales>146.1</priceSales> <priceSalesFQ1>167.1</priceSalesFQ1> <priceSalesFY1>168.1</priceSalesFY1> <priceSalesFY2>169.1</priceSalesFY2> <priceSalesFY3>170.1</priceSalesFY3> <price_date>128</price_date> <pricingDate>4</pricingDate> <pricingMethod>sample string 37</pricingMethod> <primaryExchangeCode>sample string 220</primaryExchangeCode> <processDate>63</processDate> <projectedDividendDate>36</projectedDividendDate> <pseudoCountryOfRegistrationFlag>sample string 3</pseudoCountryOfRegistrationFlag> <pseudoEquityData> <EquityPseudoData> <fieldID>3</fieldID> <fieldValue>sample string 4</fieldValue> <pricingDate>2</pricingDate> <securityID>1</securityID> </EquityPseudoData> <EquityPseudoData> <fieldID>3</fieldID> <fieldValue>sample string 4</fieldValue> <pricingDate>2</pricingDate> <securityID>1</securityID> </EquityPseudoData> </pseudoEquityData> <pseudoEquityDataItemCount>229</pseudoEquityDataItemCount> <purchases>91.1</purchases> <putDelta>194.1</putDelta> <putGamma>195.1</putGamma> <putPrice>192.1</putPrice> <putRho>199.1</putRho> <putTheta>197.1</putTheta> <putTimeValue>198.1</putTimeValue> <putVega>196.1</putVega> <putVolatility>193.1</putVolatility> <r2>161.1</r2> <recalc>sample string 11</recalc> <region>sample string 18</region> <returnOnAsset>120.1</returnOnAsset> <returnOnCommonEquity>121.1</returnOnCommonEquity> <returnsOnEquity>82.1</returnsOnEquity> <revenueGrowth>87.1</revenueGrowth> <riskFreeRate>25.1</riskFreeRate> <riskFreeRateIndex>26</riskFreeRateIndex> <riskFreeRateString>sample string 24</riskFreeRateString> <sAndPQuality>sample string 83</sAndPQuality> <sales>88.1</sales> <secondContractOutPrice>203.1</secondContractOutPrice> <secondContractOutTicker>sample string 208</secondContractOutTicker> <sectype>sample string 13</sectype> <securityID>1</securityID> <securitySource>sample string 2</securitySource> <securityType>sample string 14</securityType> <sedol>sample string 8</sedol> <sharesOutstanding>72.1</sharesOutstanding> <sharpeRatio>157.1</sharpeRatio> <shortTermBorrowings>122.1</shortTermBorrowings> <shortTermDebt>95.1</shortTermDebt> <sortinoRatio>160.1</sortinoRatio> <splitDate>66</splitDate> <splitFactor>67.1</splitFactor> <strikePrice>183.1</strikePrice> <tickSize>204.1</tickSize> <tickValue>205.1</tickValue> <ticker>sample string 10</ticker> <totalAsset>92.1</totalAsset> <totalDebt>93.1</totalDebt> <totalDebtToEquity>123.1</totalDebtToEquity> <totalRevenue>111.1</totalRevenue> <trackingError>225.1</trackingError> <treynorRatio>158.1</treynorRatio> <underlyingCountryOfRegistration>sample string 176</underlyingCountryOfRegistration> <underlyingDataDate>209</underlyingDataDate> <underlyingId>222</underlyingId> <underlyingIssuer>sample string 175</underlyingIssuer> <underlyingPrice>177.1</underlyingPrice> <underlyingSecurityIndex>sample string 174</underlyingSecurityIndex> <underlyingType>221</underlyingType> <underlyingVolatility>178.1</underlyingVolatility> <upsideCapture>223.1</upsideCapture> <volatility>156.1</volatility> <volume>131</volume> <volume52WeekHigh>137</volume52WeekHigh> <volume52WeekLow>138</volume52WeekLow> </Equity> </ArrayOfEquity>