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The Retail Fund Toolkit requires each entity to be set up. If you are loading benchmarks, refer Index Toolkit.

Interface Details

The generic Entity interface is a generic stream available in Message Center in the CSV or STAR formats:

  • Eagle_Default_In_Csv_Entity
  • Eagle_Default_In_Star_Entity

See the Generic Streams and Data Uploaders Reference Guide for more details.

Columns Used

The following table shows columns used by the Retail Fund Toolkit.


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Database ColumnTableTagRequired?Purpose

ENTITY_TYPE

ENTITY

1105

Y

Type of entity

ENTITY_NAME

ENTITY

1164

Y

Name of entity

BASE_CURRENCY

ENTITY

86

Y

Base currency of entity

INCEPTION_DATE

ENTITY

1138

Y

Inception date of entity

MFP_SPLIT_RATIO

ENTITY_EXTENSION

2442

Y

Split Ratio

TERMINATION_DATE

ENTITY

1161

N

Termination date of entity

FISCAL_END_DATE

ENTITY

1162

N


CDSC_LOAD_YEAR_1

ENTITY

1988

N


CDSC_LOAD_YEAR_10

ENTITY

11041

N


CDSC_LOAD_YEAR_2

ENTITY

1989

N


CDSC_LOAD_YEAR_3

ENTITY

1990

N


CDSC_LOAD_YEAR_4

ENTITY

1991

N


CDSC_LOAD_YEAR_5

ENTITY

1992

N


CDSC_LOAD_YEAR_6

ENTITY

1993

N


CDSC_LOAD_YEAR_7

ENTITY

11038

N


CDSC_LOAD_YEAR_8

ENTITY

11039

N


CDSC_LOAD_YEAR_9

ENTITY

11040

N


FRONT_END_LOAD

ENTITY

1987

N


MFP_ANN_EXPWAIVER

ENTITY_EXTENSION

2449

N

Annual expense waiver ratio

MFP_CONV_FREQUENCY

ENTITY_EXTENSION

2436

N


MFP_CONV_PARENT_ID

ENTITY_EXTENSION

2437

N


MFP_CONV_PERIOD

ENTITY_EXTENSION

2438

N


MFP_DISTRIBUTION_TYPE

ENTITY_EXTENSION

2439

N


MFP_EXP_RATIO

ENTITY_EXTENSION

2448

N


MFP_FIXED_CONV_DATE

ENTITY_EXTENSION

2440

N


MFP_GR_ACCRUAL

ENTITY_EXTENSION

2450

N


MFP_OPEN_CLOSED_FLAG

ENTITY_EXTENSION

2441

N


MFP_SPREAD_CALENDAR

ENTITY_EXTENSION

2443

N


MFP_SPREAD_METHOD

ENTITY_EXTENSION

2444

N


MFP_SYN_INCEPTION_DATE

ENTITY_EXTENSION

2445

N


MFP_SYN_PARENT_ID

ENTITY_EXTENSION

2446

N


MFP_TAXABLE_INCOME_FLAG

ENTITY_EXTENSION

2447

N


REDEMPTION_FEE

ENTITY_EXTENSION

11506

N


REDEMPTION_FREQUENCY

ENTITY_EXTENSION

11505

N


REDEMPTION_PERIOD

ENTITY_EXTENSION

11504

N


Generic NAV Interface

The Retail Fund Toolkit requires NAV data to be loaded.

Interface Details

The generic NAV interface is a generic stream available in Message Center in the CSV or STAR formats:

  • Eagle_Default_In_Csv_NAV
  • Eagle_Default_In_Star_NAV

See the Generic Streams and Data Uploaders Reference Guide for more details.

Columns Used

The following table shows columns used by the Retail Fund Toolkit.

Database ColumnTableTagRequired?Purpose

ENTITY_ID

NAV

1163

Y

Fund ID

EFFECTIVE_DATE

NAV

221

Y

NAV date

CLASS_LEVEL

NAV

34

Y

Share class

NAV_PER_SHARE

NAV

3195

Y

Net Asset Value

TOTAL_NET_ASSETS

NAV

2542

Y

Net Assets

NAV_CHANGE

NAV

5375

N

Change in NAV

UPDATE_SOURCE

NAV

944

N

Update source

UPDATE_DATE

NAV

N/A

N

Update date

SRC_INTFC_INST

NAV

1102

Y

Source

DIVIDEND

NAV

2544

N

Total of all distributions

SPLIT_RATIO

NAV

2545

Y

Split Ratio

OFFER_PRICE

NAV

1846

N

Public Offer Price

MKT_PRICE

NAV

1110

N

Market Price

REINVEST_PRICE

NAV

1276

N

Reinvest Price

PREM_OR_DISC

NAV

2546

N

Premium/discount market price

NAV_PRIOR_DAY

NAV

11961

N

Prior day NAV

NAV_PRIOR_MONTH

NAV

2548

N

Prior month NAV

DIV_EARNING_SHARES

NAV

2549

N

Dividend earning shares outstanding

SHARES_OUTSTANDING

NAV

3244

N

Total shares outstanding

SUBSCRIPTION_DOLLARS

NAV

3281

N

Subscription dollars

SUBSCRIPTION_SHARES

NAV

10165

N

Subscription shares

REDEMPTION_DOLLARS

NAV

3282

N

Redemption dollars

REDEMPTION_SHARES

NAV

9394

N

Redemption shares

INC_AMT_TOT

NAV

2550

N

Income dist dollars

INC_AMT_PSHR

NAV

2551

N

Income dist per share

INC_REINVEST_DATE

NAV

2553

N

Income reinvest date

INC_EX_DATE

NAV

2664

N

Income ex date

INC_REC_DATE

NAV

2555

N

Income record date

INC_PAY_DATE

NAV

2556

N

Income pay date

TE_INC_AMT_TOT

NAV

2557

N

TE income dollars

TE_INC_AMT_PSHR

NAV

2558

N

TE income per share

TE_INC_REINVEST_DATE

NAV

2560

N

TE income reinvest date

TE_INC_EX_DATE

NAV

2561

N

TE income ex date

TE_INC_REC_DATE

NAV

2562

N

TE income record date

TE_INC_PAY_DATE

NAV

2563

N

TE income pay date

SUPP_INC_AMT_TOT

NAV

2564

N

Supplemental income dollars

SUPP_INC_AMT_PSHR

NAV

2565

N

Supplemental income per share

SUPP_INC_REINVEST_DATE

NAV

2567

N

Supplemental income reinvest date

SUPP_INC_EX_DATE

NAV

2568

N

Supplemental income ex date

SUPP_INC_REC_DATE

NAV

2569

N

Supplemental income record date

SUPP_INC_PAY_DATE

NAV

2570

N

Supplemental income pay date

STCG_AMT_TOT

NAV

2571

N

Short term cap gain dollars

STCG_AMT_PSHR

NAV

2572

N

Short term cap gain per share

STCG_REINVEST_DATE

NAV

2574

N

Short term cap gain reinvest date

STCG_EX_DATE

NAV

2575

N

Short term cap gain ex date

STCG_REC_DATE

NAV

2576

N

Short term cap gain record date

STCG_PAY_DATE

NAV

2577

N

Short term cap gain pay date

MTCG_AMT_TOT

NAV

2578

N

Mid term cap gain dollars

MTCG_AMT_PSHR

NAV

2579

N

Mid term cap gain per share

MTCG_REINVEST_DATE

NAV

2581

N

Mid term cap gain reinvest date

MTCG_EX_DATE

NAV

2582

N

Mid term cap gain ex date

MTCG_REC_DATE

NAV

2583

N

Mid term cap gain record date

MTCG_PAY_DATE

NAV

2584

N

Mid term cap gain pay date

LTCG_AMT_TOT

NAV

2585

N

Long term cap gain dollars

LTCG_AMT_PSHR

NAV

2586

N

Long term cap gain per share

LTCG_REINVEST_DATE

NAV

2588

N

Long term cap gain reinvest date

LTCG_EX_DATE

NAV

2589

N

Long term cap gain ex date

LTCG_REC_DATE

NAV

2590

N

Long term cap gain record date

LTCG_PAY_DATE

NAV

2591

N

Long term cap gain pay date

RETCAP_AMT_TOT

NAV

2592

N

Return of capital dollars

RETCAP_AMT_PSHR

NAV

2593

N

Return of capital per share

RETCAP_REINVEST_DATE

NAV

2595

N

Return of capital reinvest date

RETCAP_EX_DATE

NAV

2596

N

Return of capital ex date

RETCAP_REC_DATE

NAV

2597

N

Return of capital record date

RETCAP_PAY_DATE

NAV

2598

N

Return of capital pay date

EXPENSE_AMT_TOT

NAV

2599

N

Daily expense accrual dollars

EXPENSE_AMT_PSHR

NAV

2600

N

Daily expense accrual per share

EXPENSE_REINVEST_DATE

NAV

2601

N

Daily expense reinvest date

WAIVER_AMT_TOT

NAV

2602

N

Daily expense waiver accrual dollars

WAIVER_AMT_PSHR

NAV

2603

N

Daily expense waiver accrual per share

WAIVER_REINVEST_DATE

NAV

2604

N

Daily expense waiver accrual reinvest date

MKT_DISC_INC_RECLASS

NAV

2605

N

Market discount income dollars

MKT_DISC_INC_PSHR

NAV

2606

N

Market discount income per share

MKT_DISC_INC_REINVEST_DATE

NAV

2607

N

Market discount income reinvest date

TAXABLE_REPO_INT

NAV

2608

N

Taxable repo interest dollars

TAXABLE_REPO_PSHR

NAV

2609

N

Taxable repo interest per share

TAXABLE_REPO_REINVEST_DATE

NAV

2610

N

Taxable repo interest reinvest date

FOREIGN_TAX_CREDIT

NAV

2611

N

Foreign tax credit dollars

FOREIGN_TAX_PSHR

NAV

2612

N

Foreign tax credit per share

FOREIGN_TAX_REINVEST_DATE

NAV

2613

N

Foreign tax credit reinvest date

USER_DECIMAL1

NAV

2614

N

Alternative Reinvest Price

USER_DECIMAL2

NAV

2615

N

Section 1250 Gain

USER_DECIMAL3

NAV

2616

N

Retained Gain

USER_DATE2

NAV

2645

N

Section 1250 Reinvest Date

USER_DATE3

NAV

2646

N

 Retained Cap Gain Reinvest Date

NAV_INCEPT

NAV

2661

N

NAV Begin Of Day

NAV_UNROUNDED

NAV

2662

N

NAV Unrounded

LOWER_NAV_MARKET

NAV

2663

N

Lower of NAV or Market

UD_PRICE1

NAV

2664

N

User price 1

UD_PRICE2

NAV

2665

N

User price 2

UD_PRICE3

NAV

2666

N

User price 3

UD_PRICE4

NAV

2667

N

User price 4

QUAL_INC_PSHR

NAV

2668

N

Qual Inc Dist

QUAL_INC_REINV_DATE

NAV

2669

N

Qual Inc Redate

QUAL_STCG_PSHR

NAV

2670

N

Qual STCG

QUAL_STCG_REINV_DATE

NAV

2671

N

Qual STCG Redate

GROSS_DIST_PSHR

NAV

2672

N

Gross Distribution

GROSS_DIST_REINV_DATE

NAV

2673

N

Gross Dist ReDate

UD_INCDIST1

NAV

2674

N

User Income1

UD_INCDIST2

NAV

2675

N

User Income2

UD_INCDIST3

NAV

2676

N

User Income3

UD_CAPGAIN1

NAV

2677

N

User CapGain1

UD_CAPGAIN2

NAV

2678

N

User CapGain2

UD_CAPGAIN3

NAV

2679

N

User CapGain3