Playground

The Playground is a test area where you can experiment with FundsLibrary’s Data API. Have a go! Write your own query in the box provided and press the GO! button. Alternatively, select any of the pre-written queries in the “Examples” section below.

Output

[
  {
    "Documents": {
      "Factsheets": null,
      "AlternativeLanguageFactsheets": [],
      "Kiids": null,
      "AlternativeLanguageKiids": [],
      "PriipKids": {
        "FundUnit": "https://www.fundslibrary.co.uk/FundsLibrary.DataRetrieval/Documents.aspx?type=packet_fund_unit_doc_priip_kid&docid=3e94408e-7d7c-4d91-8377-71d1cec974ab&user=lvAL2N95JS5LOxOF0tM%2fEFnH8pVQ8btXWhChnJS%2fDGk%3d",
        "FundUnitSource": "Other",
        "FundUnitAccurateDate": "2024-07-11T00:00:00+00:00"
      },
      "AlternativeLanguagePriipKids": [],
      "Prospectus": null,
      "AlternativeLanguageProspectus": [],
      "ReportsAndAccounts": {
        "AnnualReportAccurateDate": "2024-07-31T09:00:00+00:00",
        "AnnualReport": "https://www.fundslibrary.co.uk/FundsLibrary.DataRetrieval/Documents.aspx?type=packet_sl_company_doc_reports_and_accounts&docid=d5746986-b04f-41b9-b379-6bdd20fb1883&user=WXAU8Rxf%2bcqOF4xk6TiqYnMDJdcu4HStZhul2vZdjD0%3d",
        "InterimReportAccurateDate": "2024-01-31T09:00:00+00:00",
        "InterimReport": "https://www.fundslibrary.co.uk/FundsLibrary.DataRetrieval/Documents.aspx?type=packet_sl_company_doc_reports_and_accounts_interim&docid=e499cf0e-9525-4fba-90fd-04423e4e84ac&user=bfcIUW3p6Al0aQa7JINMorEnxWdmTBSU2tC6JlyjSG8%3d",
        "LatestReport": "https://www.fundslibrary.co.uk/FundsLibrary.DataRetrieval/Documents.aspx?type=packet_sl_company_doc_reports_and_accounts&docid=d5746986-b04f-41b9-b379-6bdd20fb1883&user=DjuJfOLp%2bObOgInEykSM32RligzbWZrzipfEUmSQkj4%3d",
        "LatestReportAccurateDate": "2024-07-31T09:00:00+00:00"
      },
      "AlternativeLanguageReportsAndAccounts": [],
      "Siids": null,
      "AlternativeLanguageSiids": [],
      "MifidDocuments": null,
      "AlternativeLanguageMifidDocuments": [],
      "LatestPointOfSaleDocument": "https://www.fundslibrary.co.uk/FundsLibrary.DataRetrieval/Documents.aspx?type=packet_fund_unit_doc_priip_kid&docid=3e94408e-7d7c-4d91-8377-71d1cec974ab&user=7G%2bdiBa6ahSq8olGYmjga6XvoARCozroKwpn1hpjJI4%3d",
      "LatestPointOfSaleAccurateDate": "2024-07-11T00:00:00+00:00"
    },
    "DocumentsData": null,
    "PortfolioData": {
      "AssetTypes": {
        "Lookthrough": [],
        "Original": []
      },
      "Countries": [],
      "CountryRegions": [],
      "Currencies": [],
      "DebtMaturity": [],
      "DebtQuality": [],
      "DerivativeExposure": null,
      "Duration": null,
      "Holdings": null,
      "PropertySectors": [],
      "Icb": {
        "IndustryCode": [],
        "SectorCode": [],
        "SubsectorCode": [],
        "SupersectorCode": []
      },
      "IaSector": [],
      "MarketCap": [],
      "Regions": [],
      "Size": null,
      "AssetTypesExtensive": [],
      "SubAssetTypesExtensive": [],
      "TopTen": {
        "Issuers": [],
        "Lookthrough": [],
        "Original": []
      },
      "PrimaryAssetType": null,
      "AccurateDate": null,
      "PortfolioProcessedAccurateDate": null,
      "IsPortfolioDataFromUnderlyingFundUnit": false,
      "UnderlyingFundUnitId": null
    },
    "PortfolioManagerData": null,
    "RatingsData": null,
    "StaticData": {
      "Charges": null,
      "Eet": null,
      "EffectOfDeductions": null,
      "Esg": null,
      "Essentials": {
        "UnitRegistrationDetails": [],
        "BenchmarkDescription": null,
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        "IaSector": null,
        "AbiSector": null,
        "Objectives": null,
        "InvestmentPolicy": null,
        "FundDomicile": null,
        "FundType": null,
        "IsaQualifying": null,
        "SippQualifying": null,
        "CashIsaQualifying": null,
        "ValuationFrequency": null,
        "ValuationPoint": null,
        "CompanySector": null,
        "CompanyIndustry": null,
        "MarketExchange": null,
        "AicSector": "VCT Generalist",
        "AicMember": null,
        "AicAssetType": null,
        "PortfolioAssetTypePercentage": null,
        "CompanyIndex": null,
        "DealingDate": null,
        "ShareBuybackPolicy": null,
        "ShareBuybackPolicyDescription": null,
        "MinimumInvestment": null,
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        "TopUpOffer": null,
        "AmountRaising": null,
        "SubscriptionLinkedToOtherVct": null,
        "OverAllotmentFacility": null,
        "OverAllotmentAmount": null,
        "ShareAllotmentFrequency": null,
        "SubscriptionOpen": null,
        "SubscriptionOpenDate": null,
        "SubscriptionCloseForTaxYear": null,
        "SubscriptionCloseDate": null,
        "FinalDateForReceiptOfApplications": null,
        "ApplicationsAcceptDate": null,
        "SubscriptionExtension": null,
        "SubscriptionExtensionCloseDate": null,
        "StockListingCurrency": "Pound Sterling",
        "StockListingCurrencyCode": "GBP",
        "AnnualReportingDate": null,
        "InterimReportingDate": null,
        "BenchmarkReplication": null,
        "ReplicationMethod": null,
        "LegalStructure": null,
        "RebalancingStructure": null,
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        "ExchangeProductType": null,
        "MaximumLendPercentage": null,
        "MaximumLendPercentageAccurateDate": null,
        "AverageLoanAmount": null,
        "AverageLoanAmountAccurateDate": null,
        "FundReturn": null,
        "LendingRevenueSplit": null,
        "ReportingStatus": null,
        "AssetUnderManagement": null,
        "RecommendedHoldingPeriod": null
      },
      "Attributes": null,
      "EtfAttributes": {
        "ProductConstructionMethod": null,
        "StockLendingAbility": false,
        "LegalStructure": null,
        "IndexRebalancingFrequency": null,
        "Leverage": null
      },
      "LaunchDetails": null,
      "Identification": {
        "InternalFundCode": null,
        "ClassName": "ORD GBP0.01",
        "ClassType": null,
        "ClassMinimalName": null,
        "BaseCurrency": null,
        "BaseCurrencyCode": null,
        "BloombergCode": null,
        "UnitType": null,
        "InternalCode": null,
        "IsinCode": "GB00B1G3LR35",
        "MexCode": null,
        "EpicCode": null,
        "ReutersCode": null,
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        "NameAbbreviated": null,
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        "NamePreferred": null,
        "UnitName": null,
        "CompanyRegistrationNumber": "",
        "LocalMarketCode": null,
        "SectorName": null,
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        "FullNameSearch": "Albion Capital Albion Enterprise VCT Plc ORD GBP0.01",
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        "ProductId": null,
        "LegalUmbrellaName": null,
        "LegalSubFundName": null,
        "LegalClassName": null
      },
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        "AuthorisedCorporateDirector": null,
        "CustodianId": null,
        "RegistrarId": null,
        "TrusteeDepositoryId": null,
        "ActivelyManaged": null,
        "InternalGroupCode": null,
        "AbbreviatedGroupName": null,
        "GroupDealingTelNumber": null,
        "GroupEnquiriesEmail": "info@albion-ventures.co.uk",
        "GroupFaxNumber": null,
        "GroupAddress": "1 King's Arms Yard\nLondon EC2R 7AF",
        "GroupHomepage": "https://www.albion.capital/vct-hub/albion-vcts",
        "GroupTelNumber": "020 7601 1850",
        "GroupEtf": null,
        "GroupLongName": "Albion Capital",
        "GroupMenuName": null,
        "GroupShortName": "Albion Capital",
        "UnderlyingGroupShortName": "Albion Capital",
        "GroupType": null,
        "GroupLogo": null,
        "FcaAcdReference": null,
        "ContractConfirmationContact": null,
        "PriceFileContact": null,
        "IssuingCompany": null,
        "FundCommentary": null,
        "IsFundCommentaryRequired": null,
        "FundCommentaryAccurateDate": null,
        "InvestmentPhilosophy": null,
        "FundDescription": null,
        "UnderlyingFundDescription": null,
        "InvestmentProcess": null
      },
      "Regulatory": null,
      "Risks": null,
      "KiidExtraction": null,
      "Dealing": null,
      "BondAttributes": null,
      "Trading": null,
      "UnderlyingFundId": null,
      "AccurateDate": null
    },
    "IncomeData": {
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        "Class": [],
        "Fund": [],
        "VctDates": [],
        "NextIncomePaymentDate": null,
        "ClassFirstIncomePaymentDate": null,
        "FundFirstIncomePaymentDate": null
      },
      "IncomeDetails": null,
      "Yields": null,
      "IncomeDistributions": {
        "IncomeDistribution": []
      },
      "AccurateDate": null
    },
    "PerformanceData": null,
    "MifidData": {
      "EmtData": [],
      "EmtV3Data": [],
      "EmtV31Data": [],
      "EmtV4Data": [],
      "EmtV41Data": [],
      "EmtV42Data": [],
      "AppropriateFundIdentifier": "GB00B1G3LR35",
      "AppropriateFundIdentifierType": "1",
      "FinancialInstrumentName": "Albion Enterprise VCT Plc ORD GBP0.01",
      "FinancialInstrumentCurrency": "GBP",
      "Complexity": "NC6",
      "ComplexityAccurateDate": "2018-02-14T08:00:00+00:00",
      "ComplexityLastUploadedDate": "2018-02-14T09:22:37.21+00:00"
    },
    "PriipsData": null,
    "AvivaCustomData": null,
    "Id": "aaddf7d4-000a-4083-9821-c4010d2b9785",
    "Type": null
  },
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        "ProfessionalClass": null,
        "PrivateClassAccurateDate": null,
        "PrivateClass": null,
        "ProfessionalUnitAccurateDate": null,
        "ProfessionalUnit": null,
        "PrivateUnitAccurateDate": null,
        "PrivateUnit": null,
        "PostSale": "https://www.fundslibrary.co.uk/FundsLibrary.DataRetrieval/Documents.aspx?type=packet_sl_company_doc_factsheet&docid=eb407900-ffc9-4c3a-b750-11eddcb5c4ee&user=hpFlEVQuNtQiJpdf8KIRPSkrNaH2TKyk8sfSUogbaAM%3d",
        "PostSaleAccurateDate": "2024-07-31T09:00:00+00:00",
        "LatestPrivate": null,
        "LatestPrivateAccurateDate": null,
        "LatestProfessional": null,
        "LatestProfessionalAccurateDate": null
      },
      "AlternativeLanguageFactsheets": [],
      "Kiids": null,
      "AlternativeLanguageKiids": [],
      "PriipKids": {
        "FundUnit": "https://www.fundslibrary.co.uk/FundsLibrary.DataRetrieval/Documents.aspx?type=packet_fund_unit_doc_priip_kid&docid=7b2e7321-ac3c-47ae-bc33-29b34f35acff&user=vdCihHBYpbb9DI11vkxBOTU73e0gzYaLhwsvuA4osGo%3d",
        "FundUnitSource": "Other",
        "FundUnitAccurateDate": "2024-06-28T00:00:00+00:00"
      },
      "AlternativeLanguagePriipKids": [
        {
          "Value": {
            "FundUnit": "https://www.fundslibrary.co.uk/FundsLibrary.DataRetrieval/Documents.aspx?type=packet_fund_unit_doc_priip_kid&docid=33201e58-f248-4abb-8256-ef3d7fa50eb0&user=epDPPIZboa%2b1QjNUYm73MlIT5FNJJdWgWV1JkeC9mxk%3d",
            "FundUnitSource": "Other",
            "FundUnitAccurateDate": "2023-01-01T00:00:00+00:00"
          },
          "Language": "en-LU"
        }
      ],
      "Prospectus": null,
      "AlternativeLanguageProspectus": [],
      "ReportsAndAccounts": {
        "AnnualReportAccurateDate": "2023-09-30T09:00:00+00:00",
        "AnnualReport": "https://www.fundslibrary.co.uk/FundsLibrary.DataRetrieval/Documents.aspx?type=packet_sl_company_doc_reports_and_accounts&docid=a37d629d-3abf-4174-8ac5-ccdcd5365ff2&user=6Jqt6yFu0xtNZUlbtUosOcxELz%2buguOqMuRebSJ6JSQ%3d",
        "InterimReportAccurateDate": "2024-03-31T09:00:00+00:00",
        "InterimReport": "https://www.fundslibrary.co.uk/FundsLibrary.DataRetrieval/Documents.aspx?type=packet_sl_company_doc_reports_and_accounts_interim&docid=8eb4ca04-e830-4b63-8bee-c0c0a761aaf1&user=bd0jdcMntDvLNpj6OqAwu%2bCB95Dcvqv1tBvAtt2b%2bZ8%3d",
        "LatestReport": "https://www.fundslibrary.co.uk/FundsLibrary.DataRetrieval/Documents.aspx?type=packet_sl_company_doc_reports_and_accounts_interim&docid=8eb4ca04-e830-4b63-8bee-c0c0a761aaf1&user=3nLILg0YGFXHGgGW7SrI7QX6go8e5K60fmm1RJWk%2fKE%3d",
        "LatestReportAccurateDate": "2024-03-31T09:00:00+00:00"
      },
      "AlternativeLanguageReportsAndAccounts": [],
      "Siids": null,
      "AlternativeLanguageSiids": [],
      "MifidDocuments": null,
      "AlternativeLanguageMifidDocuments": [],
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    },
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    "PortfolioData": {
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      },
      "Countries": [],
      "CountryRegions": [],
      "Currencies": [],
      "DebtMaturity": [],
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      "Holdings": null,
      "PropertySectors": [],
      "Icb": {
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        "SectorCode": [],
        "SubsectorCode": [],
        "SupersectorCode": []
      },
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      "AssetTypesExtensive": [],
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      "PrimaryAssetType": null,
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      "PortfolioProcessedAccurateDate": null,
      "IsPortfolioDataFromUnderlyingFundUnit": false,
      "UnderlyingFundUnitId": null
    },
    "PortfolioManagerData": null,
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        "ShareBuybackPolicy": null,
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        "SubscriptionCloseForTaxYear": null,
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        "StockListingCurrency": "Pound Sterling",
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      },
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        "Leverage": null
      },
      "LaunchDetails": null,
      "Identification": {
        "InternalFundCode": null,
        "ClassName": "Ord GBP0.01",
        "ClassType": null,
        "ClassMinimalName": null,
        "BaseCurrency": null,
        "BaseCurrencyCode": null,
        "BloombergCode": null,
        "UnitType": null,
        "InternalCode": null,
        "IsinCode": "GB0000197722",
        "MexCode": null,
        "EpicCode": null,
        "ReutersCode": null,
        "SedolCode": "0019772",
        "Citicode": "WA37",
        "NameAbbreviated": null,
        "Name": "European Opportunities Trust PLC",
        "NamePreferred": null,
        "UnitName": null,
        "CompanyRegistrationNumber": null,
        "LocalMarketCode": null,
        "SectorName": null,
        "FullName": "Devon Equity Management Limited European Opportunities Trust PLC Ord GBP0.01",
        "FullNameSearch": "Devon Equity Management Limited European Opportunities Trust PLC Ord GBP0.01",
        "ShortName": "European Opportunities Trust PLC Ord GBP0.01",
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        "GroupAddress": "Third Floor / MYO\n123 Victoria Street\nLondon\nSW1E 6DE",
        "GroupHomepage": "https://www.devonem.com/",
        "GroupTelNumber": "020 3985 0445",
        "GroupEtf": null,
        "GroupLongName": "Devon Equity Management Limited",
        "GroupMenuName": null,
        "GroupShortName": "Devon Equity Management Limited",
        "UnderlyingGroupShortName": "Devon Equity Management Limited",
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      },
      "Regulatory": null,
      "Risks": null,
      "KiidExtraction": null,
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      "BondAttributes": null,
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    },
    "IncomeData": {
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        "FundFirstIncomePaymentDate": null
      },
      "IncomeDetails": null,
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      "IncomeDistributions": {
        "IncomeDistribution": []
      },
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    },
    "PerformanceData": null,
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      "EmtV3Data": [],
      "EmtV31Data": [],
      "EmtV4Data": [],
      "EmtV41Data": [],
      "EmtV42Data": [],
      "AppropriateFundIdentifier": "GB0000197722",
      "AppropriateFundIdentifierType": "1",
      "FinancialInstrumentName": "European Opportunities Trust PLC Ord GBP0.01",
      "FinancialInstrumentCurrency": "GBP",
      "Complexity": "NC1",
      "ComplexityAccurateDate": "2018-03-26T07:00:00+00:00",
      "ComplexityLastUploadedDate": "2018-03-26T07:21:48.877+00:00"
    },
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    "Type": null
  },
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      "AlternativeLanguageFactsheets": [],
      "Kiids": null,
      "AlternativeLanguageKiids": [],
      "PriipKids": {
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        "FundUnitSource": "Other",
        "FundUnitAccurateDate": "2024-04-18T00:00:00+00:00"
      },
      "AlternativeLanguagePriipKids": [],
      "Prospectus": null,
      "AlternativeLanguageProspectus": [],
      "ReportsAndAccounts": {
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        "AnnualReport": "https://www.fundslibrary.co.uk/FundsLibrary.DataRetrieval/Documents.aspx?type=packet_sl_company_doc_reports_and_accounts&docid=2ba94741-c116-479a-a992-617d4940c63c&user=yO46alih1kC6zEYXjy4tW1CJhtzZvpn%2f1NpFbothHBQ%3d",
        "InterimReportAccurateDate": "2023-12-31T09:00:00+00:00",
        "InterimReport": "https://www.fundslibrary.co.uk/FundsLibrary.DataRetrieval/Documents.aspx?type=packet_sl_company_doc_reports_and_accounts_interim&docid=e70ec3c9-2c74-4b44-b5ab-2f99c3fde1e6&user=DPis0FQXjZo44UMhsSGKE4nDMmtm3eNCLIoS6KrJ6tM%3d",
        "LatestReport": "https://www.fundslibrary.co.uk/FundsLibrary.DataRetrieval/Documents.aspx?type=packet_sl_company_doc_reports_and_accounts&docid=2ba94741-c116-479a-a992-617d4940c63c&user=YyoDClWbzbycKrn4ma7qT8TtHAbYb86Z4teO7u9opfg%3d",
        "LatestReportAccurateDate": "2024-07-31T09:00:00+00:00"
      },
      "AlternativeLanguageReportsAndAccounts": [],
      "Siids": null,
      "AlternativeLanguageSiids": [],
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          "Code": "CZE",
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          "Code": "VEN",
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          "Code": "MAC",
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          "Code": "BOL",
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          "Code": "BMU",
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          "Code": "JEY",
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            "Percentage": 0.091588
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          {
            "Name": "Production Technology Equipment",
            "Code": "10102020",
            "Percentage": 0.091586
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          {
            "Name": "Biotechnology",
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            "Percentage": 0.089553
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          {
            "Name": "Vending & Catering Service",
            "Code": "40201060",
            "Percentage": 0.087614
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            "Name": "Infrastructure REITs",
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            "Percentage": 0.087171
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          {
            "Name": "Financial Data & Systems",
            "Code": "30201030",
            "Percentage": 0.086771
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          {
            "Name": "Electronic Equipment: Control & Filter",
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            "Percentage": 0.086551
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          {
            "Name": "Machinery: Construction & Handling",
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            "Percentage": 0.085919
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          {
            "Name": "Construction",
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            "Percentage": 0.085276
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          {
            "Name": "Business Training & Employment Agencies",
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            "Percentage": 0.08451
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          {
            "Name": "Casinos & Gambling",
            "Code": "40501020",
            "Percentage": 0.083717
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          {
            "Name": "Other Specialty REITs",
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            "Percentage": 0.081656
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          {
            "Name": "Airlines",
            "Code": "40501010",
            "Percentage": 0.08066
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          {
            "Name": "Consumer Electronics",
            "Code": "40203010",
            "Percentage": 0.080001
          },
          {
            "Name": "Travel & Tourism",
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            "Percentage": 0.074286
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          {
            "Name": "Nondurable Household Products",
            "Code": "45201030",
            "Percentage": 0.069398
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          {
            "Name": "Electronic Equipment: Gauges & Meters",
            "Code": "50202025",
            "Percentage": 0.068131
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          {
            "Name": "Diversified Financial Services",
            "Code": "30202000",
            "Percentage": 0.065265
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          {
            "Name": "Machinery: Engines",
            "Code": "50204030",
            "Percentage": 0.065252
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          {
            "Name": "Specialty Chemicals",
            "Code": "55201020",
            "Percentage": 0.063093
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          {
            "Name": "Electronic Entertainment",
            "Code": "40203040",
            "Percentage": 0.062611
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          {
            "Name": "Brewers",
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            "Percentage": 0.062354
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          {
            "Name": "Building Materials: Other",
            "Code": "50101035",
            "Percentage": 0.060809
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          {
            "Name": "Oil Equipment & Services",
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            "Percentage": 0.057124
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          {
            "Name": "Commercial Vehicle-Equipment Leasing",
            "Code": "50206050",
            "Percentage": 0.054876
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          {
            "Name": "Gas Distribution",
            "Code": "65102020",
            "Percentage": 0.054277
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          {
            "Name": "Clothing & Accessories",
            "Code": "40204020",
            "Percentage": 0.052478
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          {
            "Name": "Gold Mining",
            "Code": "55103025",
            "Percentage": 0.0519
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          {
            "Name": "Machinery: Tools",
            "Code": "50204040",
            "Percentage": 0.050733
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          {
            "Name": "Luxury Items",
            "Code": "40204030",
            "Percentage": 0.049949
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          {
            "Name": "Consumer Lending",
            "Code": "30201020",
            "Percentage": 0.046909
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          {
            "Name": "Household Appliance",
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            "Percentage": 0.045762
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          {
            "Name": "Radio & TV Broadcasters",
            "Code": "40301035",
            "Percentage": 0.045303
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          {
            "Name": "Copper",
            "Code": "55102040",
            "Percentage": 0.044873
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          {
            "Name": "Security Services",
            "Code": "50205040",
            "Percentage": 0.044464
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          {
            "Name": "Health Care Management Services",
            "Code": "20101020",
            "Percentage": 0.042143
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          {
            "Name": "Medical Supplies",
            "Code": "20102015",
            "Percentage": 0.041327
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          {
            "Name": "Mortgage Finance",
            "Code": "30201025",
            "Percentage": 0.041092
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          {
            "Name": "Renewable Energy Equipment",
            "Code": "60102020",
            "Percentage": 0.041042
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          {
            "Name": "Delivery Services",
            "Code": "50206040",
            "Percentage": 0.040076
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          {
            "Name": "Hotel & Lodging REITs",
            "Code": "35102015",
            "Percentage": 0.037259
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          {
            "Name": "Entertainment",
            "Code": "40301010",
            "Percentage": 0.03705
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          {
            "Name": "Reinsurance",
            "Code": "30302020",
            "Percentage": 0.034254
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          {
            "Name": "Paper",
            "Code": "55101015",
            "Percentage": 0.032119
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          {
            "Name": "Building: Climate Control",
            "Code": "50101025",
            "Percentage": 0.03132
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          {
            "Name": "Recreational Vehicles & Boats",
            "Code": "40203055",
            "Percentage": 0.028035
          },
          {
            "Name": "Drug Retailers",
            "Code": "45201015",
            "Percentage": 0.02682
          },
          {
            "Name": "Fertilizers",
            "Code": "55201015",
            "Percentage": 0.025505
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          {
            "Name": "Consumer Services: Misc.",
            "Code": "40201070",
            "Percentage": 0.022977
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          {
            "Name": "Tires",
            "Code": "40101015",
            "Percentage": 0.022463
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          {
            "Name": "Photography",
            "Code": "40203060",
            "Percentage": 0.021759
          },
          {
            "Name": "Footwear",
            "Code": "40204025",
            "Percentage": 0.018065
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          {
            "Name": "Paints & Coatings",
            "Code": "50203010",
            "Percentage": 0.018051
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          {
            "Name": "Engineering & Contracting Services",
            "Code": "50101015",
            "Percentage": 0.017348
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          {
            "Name": "Metal Fabricating",
            "Code": "55102015",
            "Percentage": 0.017017
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          {
            "Name": "Toys",
            "Code": "40203045",
            "Percentage": 0.016181
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          {
            "Name": "Electronic Equipment: Pollution Control",
            "Code": "50202030",
            "Percentage": 0.014755
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          {
            "Name": "Alternative Electricity",
            "Code": "65101010",
            "Percentage": 0.014075
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          {
            "Name": "Chemicals & Synthetic Fibers",
            "Code": "55201010",
            "Percentage": 0.013871
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          {
            "Name": "Electronic Office Equipment",
            "Code": "10102035",
            "Percentage": 0.013854
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          {
            "Name": "Waste & Disposal Services",
            "Code": "65103035",
            "Percentage": 0.013444
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          {
            "Name": "Cosmetics",
            "Code": "40204035",
            "Percentage": 0.012879
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          {
            "Name": "Railroad Equipment",
            "Code": "50206025",
            "Percentage": 0.011613
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          {
            "Name": "Diversified Materials",
            "Code": "55101000",
            "Percentage": 0.009768
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          {
            "Name": "Health Care Facilities",
            "Code": "20101010",
            "Percentage": 0.009516
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          {
            "Name": "Commercial Vehicles & Parts",
            "Code": "50206015",
            "Percentage": 0.008916
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          {
            "Name": "Aluminum",
            "Code": "55102035",
            "Percentage": 0.008875
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          {
            "Name": "Recreational Services",
            "Code": "40501030",
            "Percentage": 0.008865
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          {
            "Name": "Tobacco",
            "Code": "45103010",
            "Percentage": 0.008315
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          {
            "Name": "Timber REITs",
            "Code": "35102060",
            "Percentage": 0.007708
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          {
            "Name": "Recreational Products",
            "Code": "40203050",
            "Percentage": 0.006499
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          {
            "Name": "Cable Television Services",
            "Code": "15102010",
            "Percentage": 0.006395
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          {
            "Name": "Health Care Services",
            "Code": "20101025",
            "Percentage": 0.005888
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          {
            "Name": "Farming, Fishing, Ranching & Plantations",
            "Code": "45102010",
            "Percentage": 0.005622
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          {
            "Name": "Forms & Bulk Printing Services",
            "Code": "50205030",
            "Percentage": 0.005436
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          {
            "Name": "Machinery: Agricultural",
            "Code": "50204010",
            "Percentage": 0.005271
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          {
            "Name": "Household Equipment & Products",
            "Code": "40202025",
            "Percentage": 0.004469
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          {
            "Name": "Building, Roofing/Wallboard & Plumbing",
            "Code": "50101020",
            "Percentage": 0.004405
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          {
            "Name": "Machinery: Specialty",
            "Code": "50204050",
            "Percentage": 0.003912
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          {
            "Name": "Coal",
            "Code": "60101040",
            "Percentage": 0.003853
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          {
            "Name": "Nonequity Investment Instruments",
            "Code": "30205000",
            "Percentage": 0.002455
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          {
            "Name": "Education Services",
            "Code": "40201010",
            "Percentage": 0.002393
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          {
            "Name": "Plastics",
            "Code": "50203015",
            "Percentage": 0.002107
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          {
            "Name": "Platinum & Precious Metals",
            "Code": "55103030",
            "Percentage": 0.002086
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          {
            "Name": "Trucking",
            "Code": "50206010",
            "Percentage": 0.001983
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          {
            "Name": "Household Furnishings",
            "Code": "40202015",
            "Percentage": 0.001915
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          {
            "Name": "Offshore Drilling & Other Services",
            "Code": "60101015",
            "Percentage": 0.001436
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          {
            "Name": "Insurance Brokers",
            "Code": "30302015",
            "Percentage": 0.001101
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          {
            "Name": "Nonferrous Metals",
            "Code": "55102050",
            "Percentage": 0.00091
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          {
            "Name": "Diamonds & Gemstones",
            "Code": "55103020",
            "Percentage": 0.000221
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          {
            "Name": "Textile Products",
            "Code": "55101020",
            "Percentage": 0.000028
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          {
            "Name": "Rental & Leasing Services: Consumer",
            "Code": "40201040",
            "Percentage": 0.000027
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          {
            "Name": "Glass",
            "Code": "50203020",
            "Percentage": 0.000018
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          {
            "Name": "Electronic Equipment: Other",
            "Code": "50202040",
            "Percentage": 0.000012
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          {
            "Name": "Fruit & Grain Processing",
            "Code": "45102030",
            "Percentage": 0.000007
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          {
            "Name": "Sugar",
            "Code": "45102035",
            "Percentage": 0.000004
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          {
            "Name": "Medical Services",
            "Code": "20102020",
            "Percentage": 0.000004
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          {
            "Name": "Funeral Parlors & Cemetery",
            "Code": "40201020",
            "Percentage": 0.000002
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          {
            "Name": "Health Care: Misc.",
            "Code": "20101030",
            "Percentage": 0.000002
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          {
            "Name": "Printing and Copying Services",
            "Code": "40201030",
            "Percentage": 0.000002
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          {
            "Name": "Forestry",
            "Code": "55101010",
            "Percentage": 0.000001
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          {
            "Name": "Bonds",
            "Code": "ZZZZ",
            "Percentage": 38.010793
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          {
            "Name": "Managed Funds",
            "Code": "YYYY",
            "Percentage": 15.190064
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            "Name": "Cash and Equivalents",
            "Code": "XXXX",
            "Percentage": -0.725711
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            "Name": "Alternative Trading Strategies",
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            "Name": "Real Estate",
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            "Percentage": 3.416857
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            "Name": "Industrial Goods & Services",
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            "Percentage": 3.09278
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            "Name": "Financial Services",
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            "Percentage": 3.046483
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            "Name": "Technology",
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          {
            "Name": "Banks",
            "Code": "30100000",
            "Percentage": 2.110819
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          {
            "Name": "Health Care",
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            "Percentage": 1.521741
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          {
            "Name": "Energy",
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            "Percentage": 1.203014
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            "Name": "Utilities",
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            "Name": "Telecommunications",
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            "Code": "45200000",
            "Percentage": 0.742631
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            "Name": "Consumer Products & Services",
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            "Percentage": 0.739436
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            "Name": "Automobiles & Parts",
            "Code": "40100000",
            "Percentage": 0.701654
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          {
            "Name": "Food, Beverage & Tobacco",
            "Code": "45100000",
            "Percentage": 0.684344
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          {
            "Name": "Basic Resources",
            "Code": "55100000",
            "Percentage": 0.649422
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          {
            "Name": "Travel & Leisure",
            "Code": "40500000",
            "Percentage": 0.539016
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          {
            "Name": "Media",
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            "Percentage": 0.359559
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            "Name": "Construction & Materials",
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            "Percentage": 0.337768
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            "Percentage": 0.337466
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          "Name": "Fixed Int-Europe",
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        {
          "Name": "Europe Including UK",
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          "Name": "Cash",
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          "Name": "Cash and Equivalents",
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          "Name": "Developed Europe - Excl UK",
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          "Name": "UK",
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          "Name": "Developed Asia",
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          "Name": "Emerging Europe",
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          "Name": "Emerging Asia",
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          "Name": "Japan",
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          "Name": "Property",
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          "Name": "Australia & New Zealand",
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      "Size": {
        "NavOfFund": 5.7195279825,
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          "Name": "japan_high_yield_bonds",
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        "FundCommentary": "The following commentary is for the underlying OEIC which the fund invests into:\n\n**</p><p>**June 2024 Investment Summary**</p><p>**June 2024 was a positive month for the the Active range with returns ranging from +0.37% for Active 3 to +1.21% for Active 1. <br>**P Acc share class with data sourced from FE analytics as at 28 June 2024. </p><p>June 2024 was a better month for portfolios generally. </p><p> Most major equity markets rose in June led by the US and emerging markets, with the Nasdaq as the S&P 500 climbed to further all-time highs, led by robust earnings reports and continued enthusiasm towards artificial intelligence (AI). Information technology and Communication Services led the sector-wise performance while Utilities lagged. The FTSE 100 and Stoxx Europe 600 were flat over the month with a focus on the upcoming elections in the UK and France. </p><p  Government bond prices were higher as the ten-year Treasury yield edged down from 4.51% from 4.36% over the month. Resilient economic data has whittled away hopes for imminent interest rate cuts, as investors continue to revise lower their expectations on the number of cuts from the Fed, with now just one rate cut projected in 2024. </p><p> The US labour market government data beat expectations to show payrolls increased by 206,000 in June, higher than forecasts, but down from the previous month. Evidence that the US labour market remains strong albeit slightly cooling has dampened hopes of imminent interest rates cuts. US consumer confidence eased in June, as households remain concerned over the economic outlook but are more upbeat about a moderation in inflation over the next year and the strength of the labour market. Unemployment data ticked up slightly to 4.1% from 4.0% and the first time its surpassed 4% since November 2021. </p><p> Tensions in the Middle East continue as fears over an all-out conflict have intensified in recent weeks, following threatening rhetoric from both camps. The US and France seek de-escalation between Israel and Lebanon’s Hizbollah which remains dangerously poised. The conflicts Impact remains limited on the global economy. Brent Crude prices have risen to over $86/barrel from $79/barrel in June, as refineries gear up for the summer driving season and traders fret over renewed tensions in the Middle East. </p><p> More central banks may be in a position to ease policy rates later this year, but employment activity and inflation data over the next few months will be critical to the evolution of their thinking. The US economy continues to look strong, but other regions, including the Eurozone, face more challenging conditions. This could lead to diverging rate cutting cycles and opportunities in relative value trades. </p><p> Officials remain cautious to confirm when interest rate cuts will be implemented, with a careful eye on data to ensure a sustainable route back to the inflation target. </p><p>**</p><p> WS Prudential Risk Managed Active - Tactical asset allocation activity**</p><p>**Our equity position is currently +1%, made up of a diversified basket across the US, UK, Asia, GEM. This is funded from a small European credit and cash underweights, with an overweight to US Treasuries.",
        "IsFundCommentaryRequired": null,
        "FundCommentaryAccurateDate": "2024-07-19T14:15:00+00:00",
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        "ExistingInvestorBenefits": null,
        "InitialCommission": null,
        "CashRebateAvailable": null,
        "TrailCommission": null
      },
      "Eet": null,
      "EffectOfDeductions": {
        "AssumedGrowthRateLow": 6.0,
        "EffectOfDeductionsForLowGrowthRate": 4.44,
        "AssumedGrowthRateHigh": null,
        "EffectOfDeductionsForHighGrowthRate": null,
        "HigherGrowthRateAvailable": false
      },
      "Esg": {
        "EsgRating": null,
        "FundHighImpactFossilFuelReserves": null,
        "CarbonFootprintManagementScore": null,
        "FundImprovingThreeYearAverageCarbonEmissions": null,
        "FundNotDeterminableThreeYearAverageCarbonEmissions": null,
        "FundWorseningThreeYearAverageCarbonEmissions": null,
        "FundStableThreeYearAverageCarbonEmissions": null,
        "FundLowCarbonTransitionScore": null,
        "WeightedCarbonIntensity": null,
        "LowCarbonTransitionCategoryAssetStranding": null,
        "LowCarbonTransitionCategoryProductTransition": null,
        "LowCarbonTransitionCategoryOperationalTransition": null,
        "LowCarbonTransitionCategoryNeutral": null,
        "LowCarbonTransitionCategorySolutions": null,
        "WeightedAverageCarbonIntensity": null,
        "FundLowCarbonTransitionScoreCoverage": null,
        "FundProductCarbonFootprintManagementScoreCoverage": null,
        "FundRevenueExposureToSustainableImpactSolutions": null,
        "BoardDiversity": null,
        "FundSustainableImpactSolutionsInvolvement": null,
        "FundSustainableWaterInvolvement": null,
        "FundSustainableAgricultureInvolvement": null,
        "FundRevenueExposureToSustainableAgriculture": null,
        "ConnectivityDigitalDivideInvolvement": null,
        "RevenueExposureToConnectivityDigitalDivide": null,
        "FundUsesEnergyFromRenewableSources": null,
        "RevenueExposureToEnvironmentalImpact": null,
        "RevenueExposureToEnergyEfficiency": null,
        "RevenueExposureToAlternativeEnergy": null,
        "AlternativeEnergyInvolvement": null,
        "BrownRevenue": null,
        "FundEnvironmentalImpactInvolvement": null,
        "FundGreenBuildingInvolvement": null,
        "FundRevenueExposureToGreenBuilding": null,
        "FundPalmOilInvolvementHighlyRestrictive": null,
        "RevenueExposureToNuclearPower": null,
        "NuclearPowerInvolvement": null,
        "FundNuclearPowerInvolvementHighlyRestrictive": null,
        "FundNuclearPowerInvolvementModeratelyRestrictive": null,
        "FundWeaponsInvolvement": null,
        "SustainableWater": null,
        "FundNuclearPowerInvolvementLeastRestrictive": null,
        "FundWaterStressHighRiskBusinessSegment": null,
        "FundWaterStressHighRiskGeography": null,
        "FundWaterStressExposureModerate": null,
        "FundWaterStressExposureHigh": null,
        "FundWaterStressExposureLow": null,
        "FundSevereEnvironmentalControversies": null,
        "FundVerySevereEnvironmentalControversies": null,
        "HumanRightsPolicy": null,
        "FundImprovingCompanyThreeYearAverageFreshwaterWithdrawalIntensityTrend": null,
        "FundNotDeterminableCompanyThreeYearAverageFreshwaterWithdrawalIntensityTrend": null,
        "FundWorseningCompanyThreeYearAverageFreshwaterWithdrawalIntensityTrend": null,
        "FundStableCompanyThreeYearAverageFreshwaterWithdrawalIntensityTrend": null,
        "FundWeightedAverageFreshwaterWithdrawalIntensity": null,
        "FundWeightedAverageFreshwaterWithdrawalIntensityCoverage": null,
        "FundWeightedAverageTotalWaterWithdrawalIntensity": null,
        "FundWeightedAverageTotalWaterWithdrawalIntensityCoverage": null,
        "PollutionPrevention": null,
        "FundToxicEmissionsWasteManagementScore": null,
        "FundPollutionWasteThemeScore": null,
        "FundPollutionPreventionInvolvement": null,
        "FundRevenueExposureToPollutionPrevention": null,
        "FundRevenueExposureToEnvironmentalImpact": null,
        "SustainableAgriculture": null,
        "FundEnergyEfficiencyInvolvement": null,
        "FundESGPolicy": null,
        "FundLaborNormsViolation": null,
        "FundLaborNormsViolationOrWatchList": null,
        "FundHumanRightsNormsViolation": null,
        "FundHumanRightsNormsViolationOrWatchList": null,
        "FundOffersNonCompensationBenefitsWithMaterialFinancialValue": null,
        "FundCombinedCeoChair": null,
        "FundPayControversy": null,
        "RenewableEnergy": null,
        "FundPolicyAddressingInternationallyRecognizedLaborConventions": null,
        "FundGovernanceMetricsCeoChangeEvent": null,
        "FundMonitorsEmployeeSatisfaction": null,
        "FundProductSafetyQualityControversies": null,
        "FundControversialWorkplaceAccidentsControversies": null,
        "FundHealthSafetyControversies": null,
        "FundProgramsToFacilitateWorkforceDiversity": null,
        "FundProcessesToProtectCustomerPrivacyDataSecurity": null,
        "FundPayFlag": null,
        "Alcohol": null,
        "FundSignificantVotesAgainstPayPractices": null,
        "FundNoPayPerformanceLink": null,
        "FundLackOfInternalPayEquity": null,
        "FundExecutivePayNonDisclosure": null,
        "FundAccountingFlag": null,
        "FundPayLinkedToSustainability": null,
        "FundConventionalWeaponsInvolvementHighlyRestrictive": null,
        "FundConventionalWeaponsInvolvementModeratelyRestrictive": null,
        "AnimalWelfareTesting": null,
        "FundControversialWeaponsInvolvement": null,
        "FundCivilianFirearmsInvolvement": null,
        "FundCivilianFirearmsInvolvementHighlyRestrictive": null,
        "FundCivilianFirearmsInvolvementModeratelyRestrictive": null,
        "FundCivilianFirearmsRetailer": null,
        "FundCivilianFirearmsProducer": null,
        "FundBiologicalChemicalWeaponsInvolvement": null,
        "FundConventionalWeaponsInvolvementLeastRestrictive": null,
        "FundNuclearWeaponsInvolvementHighlyRestrictive": null,
        "Gambling": null,
        "FundNuclearWeaponsInvolvementLeastRestrictive": null,
        "FundNuclearWeaponsInvolvementModeratelyRestrictive": null,
        "FundNuclearWeaponsInvolvement": null,
        "FundFirearmsInvolvementLeastRestrictive": null,
        "FundRevenueExposureToConventionalWeapons": null,
        "FundRevenueExposureToFirearms": null,
        "FundHumanRightsPolicyCommitmentToAnExternalStandard": null,
        "FundMonitorsEffectivenessOfHumanRightsPolicy": null,
        "FundDiversityPolicyForWorkforce": null,
        "Tobacco": null,
        "FundCatholicValuesFail": null,
        "FundIslamicNonCompliant": null,
        "FundGamblingInvolvement": null,
        "FundGamblingInvolvementHighlyRestrictive": null,
        "FundGamblingInvolvementModeratelyRestrictive": null,
        "FundGamblingInvolvementLeastRestrictive": null,
        "FundRevenueExposureToGambling": null,
        "FundSevereChildLaborControversies": null,
        "FundAlcoholInvolvement": null,
        "AdultEntertainment": null,
        "FundAlcoholInvolvementHighlyRestrictive": null,
        "FundAlcoholInvolvementModeratelyRestrictive": null,
        "FundAlcoholInvolvementLeastRestrictive": null,
        "FundRevenueExposureToAlcohol": null,
        "FundRevenueExposureToTobacco": null,
        "FundTobaccoInvolvement": null,
        "FundTobaccoInvolvementHighlyRestrictive": null,
        "FundTobaccoInvolvementModeratelyRestrictive": null,
        "FundTobaccoInvolvementLeastRestrictive": null,
        "FundRevenueExposureToGeneticEngineering": null,
        "FundAnimalWelfareInvolvementHighlyRestrictive": null,
        "FundAnimalWelfareInvolvementModeratelyRestrictive": null,
        "FundAnimalWelfareInvolvement": null,
        "FundRevenueExposureToAdultEntertainment": null,
        "FundAdultEntertainmentInvolvement": null,
        "FundAdultEntertainmentInvolvementHighlyRestrictive": null,
        "FundAdultEntertainmentInvolvementModeratelyRestrictive": null,
        "FundAdultEntertainmentInvolvementLeastRestrictive": null,
        "FundBoardFlag": null,
        "FundLackOfIndependentBoardMajority": null,
        "FundBoardIndependence_0_25": null,
        "FundBoardIndependence_25_50": null,
        "FundBoardIndependence_50_75": null,
        "FundBoardIndependence_75_100": null,
        "FundNoFemaleDirectors": null,
        "FundThreeOrMoreFemaleDirectors": null,
        "FundFemaleRepresent30PercentOfDirectors": null,
        "FundEntrenchedBoard": null,
        "FundOverboarding": null,
        "FundNegativeDirectorVotes": null,
        "FundOwnershipAndControlFlag": null,
        "FundOneShareOneVote": null,
        "FundNoAnnualDirectorElections": null,
        "FundDoesNotUseMajorityVoting": null,
        "FundControllingShareholder": null,
        "FundControllingShareholderConcerns": null,
        "FundCrossShareholdings": null,
        "FundIndependentBoardMajority": null,
        "FundSevereCustomerControversies": null,
        "FundVerySevereCustomerControversies": null,
        "FundSevereGovernanceControversies": null,
        "FundVerySevereGovernanceControversies": null,
        "GreenRevenue": null,
        "FundPollutionWasteThemeWeight": null,
        "FundToxicEmissionsWasteManagementScoreCoverage": null
      },
      "Essentials": {
        "UnitRegistrationDetails": [],
        "BenchmarkDescription": "FTSE Index Linked  (over 5 years) Index",
        "ClassCleanValue": false,
        "IaSector": "UK Index Linked Gilts",
        "AbiSector": null,
        "Objectives": "To provide a return by investing primarily in United Kingdom Government issued index linked securities.  The fund may invest in other transferable securities, money market instruments, derivatives and forward transactions, deposits and units in collective investment schemes.",
        "InvestmentPolicy": null,
        "FundDomicile": "United Kingdom",
        "FundType": "OEIC",
        "IsaQualifying": true,
        "SippQualifying": true,
        "CashIsaQualifying": false,
        "ValuationFrequency": "Daily",
        "ValuationPoint": "12:00:00",
        "CompanySector": null,
        "CompanyIndustry": null,
        "MarketExchange": null,
        "AicSector": null,
        "AicMember": null,
        "AicAssetType": null,
        "PortfolioAssetTypePercentage": null,
        "CompanyIndex": null,
        "DealingDate": null,
        "ShareBuybackPolicy": null,
        "ShareBuybackPolicyDescription": null,
        "MinimumInvestment": null,
        "MaximumInvestment": null,
        "TopUpOffer": null,
        "AmountRaising": null,
        "SubscriptionLinkedToOtherVct": null,
        "OverAllotmentFacility": null,
        "OverAllotmentAmount": null,
        "ShareAllotmentFrequency": null,
        "SubscriptionOpen": null,
        "SubscriptionOpenDate": null,
        "SubscriptionCloseForTaxYear": null,
        "SubscriptionCloseDate": null,
        "FinalDateForReceiptOfApplications": null,
        "ApplicationsAcceptDate": null,
        "SubscriptionExtension": null,
        "SubscriptionExtensionCloseDate": null,
        "StockListingCurrency": null,
        "StockListingCurrencyCode": null,
        "AnnualReportingDate": "2000-06-30T00:00:00+00:00",
        "InterimReportingDate": "2000-12-31T00:00:00+00:00",
        "BenchmarkReplication": null,
        "ReplicationMethod": null,
        "LegalStructure": null,
        "RebalancingStructure": null,
        "CollateralStructure": null,
        "ExchangeProductType": null,
        "MaximumLendPercentage": null,
        "MaximumLendPercentageAccurateDate": null,
        "AverageLoanAmount": null,
        "AverageLoanAmountAccurateDate": null,
        "FundReturn": null,
        "LendingRevenueSplit": null,
        "ReportingStatus": "Does not Apply",
        "AssetUnderManagement": null,
        "RecommendedHoldingPeriod": null
      },
      "Attributes": {
        "MultiManager": false,
        "IndexTracker": true,
        "Property": false,
        "Commodity": false,
        "ProtectedAbsoluteReturn": false,
        "Bric": false,
        "Bond": true,
        "Leverage": null,
        "Cash": null,
        "SingleAssetClass": null,
        "HigherVolatility": null,
        "InternallyManaged": null,
        "WithProfits": null,
        "AssetType": null,
        "ManagementStyle": null,
        "GlobalBond": null,
        "CorporateBonds": null,
        "Equities": null,
        "Gilts": null,
        "GuaranteedFunds": null,
        "MixedAsset": null,
        "SpecialistOther": null,
        "LifeStyle": null,
        "VctType": null,
        "Hedged": null,
        "CurrentlyStockLending": null,
        "PermittedStockLending": "Yes",
        "IsPriip": true,
        "IsEthical": false
      },
      "EtfAttributes": {
        "ProductConstructionMethod": null,
        "StockLendingAbility": false,
        "LegalStructure": null,
        "IndexRebalancingFrequency": null,
        "Leverage": null
      },
      "LaunchDetails": {
        "ClassLaunchDate": null,
        "FundLaunchDate": "1994-02-08T00:00:00+00:00",
        "FundLaunchPrice": 0.0,
        "FundLaunchCurrency": "Pound Sterling",
        "FundLaunchCurrencyCode": "GBP",
        "UnitLaunchCurrency": null,
        "UnitLaunchCurrencyCode": null,
        "UnitLaunchDate": "1994-02-08T00:00:00+00:00",
        "UnitLaunchPrice": null,
        "PriceCurrency": "Pound Sterling",
        "PriceCurrencyCode": "GBP",
        "EstimatedOrdinaryShareLaunchNav": null,
        "AmountRaised": null,
        "AmountRaisedAsAtDate": null,
        "MaximumNumberOfOrdinarySharesOffered": null,
        "MaximumNumberOfOrdinarySharesInIssue": null
      },
      "Identification": {
        "InternalFundCode": "15ceb10c-6ead-4356-ae3a-ff98bf5f9f20",
        "ClassName": "Class A",
        "ClassType": "Retail",
        "ClassMinimalName": null,
        "BaseCurrency": "Pound Sterling",
        "BaseCurrencyCode": "GBP",
        "BloombergCode": null,
        "UnitType": "Income",
        "InternalCode": null,
        "IsinCode": "GB0007460032",
        "MexCode": "HEILA",
        "EpicCode": null,
        "ReutersCode": null,
        "SedolCode": "0746003",
        "Citicode": "HE78",
        "NameAbbreviated": null,
        "Name": "Index Linked Bond",
        "NamePreferred": null,
        "UnitName": null,
        "CompanyRegistrationNumber": null,
        "LocalMarketCode": null,
        "SectorName": null,
        "FullName": "Janus Henderson Investors Index Linked Bond Class A Income",
        "FullNameSearch": "Janus Henderson Investors Index Linked Bond Class A Income",
        "ShortName": "Index Linked Bond Class A Income",
        "ProductId": null,
        "LegalUmbrellaName": null,
        "LegalSubFundName": null,
        "LegalClassName": null
      },
      "Management": {
        "Team": [
          {
            "Id": "a24edd47-29ff-4ba4-b3e6-a3deacb2576a",
            "Name": "Bethany Payne",
            "Photo": "https://www.fundslibrary.co.uk/FundsLibrary.DataRetrieval/Images.ashx/39092b6e-799b-492a-800e-8afb61887e8f",
            "PositionWithinTeam": null,
            "StartDate": "2018-04-09T00:00:00+00:00",
            "Role": "Primary",
            "Bio": "Bethany Payne is a Portfolio Manager on the fixed income team at Janus Henderson Investors, a position she has held since 2011. Bethany joined Henderson in 2006 as an assistant portfolio manager on hedge funds. She subsequently moved on to the role of quantitative analyst before moving into her current role as portfolio manager. Bethany holds a BSc (Hons) degree in economics from the University of Sheffield and holds the Chartered Financial Analyst designation. She has 11 years of financial industry experience.",
            "Location": "TBC"
          }
        ],
        "AdministratorId": "IFDS",
        "AuthorisedCorporateDirector": "Henderson Investment Funds Limited",
        "CustodianId": "BNP Paribas",
        "RegistrarId": "IFDS",
        "TrusteeDepositoryId": "The National Westminster Bank plc",
        "ActivelyManaged": "Active",
        "InternalGroupCode": "991693e0-c03a-4389-afad-28c3804fd24e",
        "AbbreviatedGroupName": null,
        "GroupDealingTelNumber": "0845 608 8703",
        "GroupEnquiriesEmail": "support@henderson.com",
        "GroupFaxNumber": "0870 888 3094",
        "GroupAddress": "PO Box 9023\nChelmsford\nCM99 2WB",
        "GroupHomepage": "www.henderson.com",
        "GroupTelNumber": "0800 832 832",
        "GroupEtf": false,
        "GroupLongName": "Janus Henderson Investors",
        "GroupMenuName": null,
        "GroupShortName": "Janus Henderson Investors",
        "UnderlyingGroupShortName": "Janus Henderson Investors",
        "GroupType": null,
        "GroupLogo": "https://www.fundslibrary.co.uk/FundsLibrary.DataRetrieval/Images.ashx/b61e7195-6aac-4993-bc20-7ddbbe316856",
        "FcaAcdReference": null,
        "ContractConfirmationContact": null,
        "PriceFileContact": null,
        "IssuingCompany": null,
        "FundCommentary": null,
        "IsFundCommentaryRequired": false,
        "FundCommentaryAccurateDate": "2018-09-30T09:00:00+00:00",
        "InvestmentPhilosophy": null,
        "FundDescription": null,
        "UnderlyingFundDescription": null,
        "InvestmentProcess": null
      },
      "Regulatory": {
        "EusdEffectiveDate": null,
        "EusdStatus": "Within scope and exceeds 25% asset test of EU Savings Directive 2003/48/EC",
        "FcaRecognised": true,
        "DerivativesAllowed": "Yes - for both investment purposes and EPM purposes",
        "RegulatoryStatus": "UCITs"
      },
      "Risks": {
        "ChargesToCapital": false,
        "ConcentratedPortfolio": false,
        "DepositorySolvency": false,
        "DerivativeExposure": true,
        "DirectProperty": false,
        "EmergingMarkets": false,
        "EthicalRestrictions": false,
        "ExchangeRate": false,
        "GearedInvestments": false,
        "HighYieldBonds": false,
        "HighRisk": true,
        "IncomeErodingGrowth": false,
        "Inflation": true,
        "LongTermInvestments": true,
        "BondIssuerSolvency": false,
        "Liquidity": false,
        "NewFundCharges": false,
        "Offshore": false,
        "PerformanceCharges": false,
        "ReturnsAreNotGuaranteed": true,
        "SectorSpecific": false,
        "SmallerCompanies": false,
        "TaxationTaxRelief": true,
        "UmbrellaLiabilities": false,
        "ValueOfInvestments": true
      },
      "KiidExtraction": {
        "Kiids": null,
        "Srri": {
          "ValidatedSrri": 5
        }
      },
      "Dealing": {
        "SettlementBuyPeriod": 4,
        "SettlementSellPeriod": 4,
        "DecimalRounding": 4,
        "PricingBasis": "Forward",
        "RoundingUpDown": "Up",
        "ClassMinimumInvestment": 1000,
        "ClassMinimumTopUp": 100,
        "ClassMinimumRegularSavings": 50,
        "ClassRegularSavingsAvailable": true,
        "ClassWrappedRegularSavingsGroup": null,
        "ClassUnwrappedRegularSavingsGroup": null,
        "ClassWrappedRegularSavingsPlatform": null,
        "ClassUnwrappedRegularSavingsPlatform": null,
        "ClassMinimumWithdrawal": null,
        "ClassMinimumHolding": null,
        "MinimumWaived": false,
        "EmxDealing": true,
        "SwiftDealing": true,
        "FaxDealing": true,
        "PhoneDealing": true,
        "ApplicationFormRequired": "First deal only",
        "LowAssumedGrowthRate": 6.0,
        "DeductionEffectLowGrowthRate": 4.44,
        "HighAssumedGrowthRate": null,
        "DeductionEffectHighGrowthRate": null,
        "HasHigherGrowthRate": false,
        "AdvanceRedemptionNotice": false,
        "UnitRedemptionOrder": "Not Applicable",
        "ValuationFrequency": "Daily",
        "ValuationDay": null,
        "ValuationLocalTime": "12:00:00",
        "ValuationCutOffTime": "16:00:00",
        "ValuationTimeZone": "Greenwich Mean Time, (GMT)"
      },
      "BondAttributes": null,
      "Trading": null,
      "UnderlyingFundId": null,
      "AccurateDate": "2024-07-31T14:00:00+00:00"
    },
    "IncomeData": {
      "IncomeDates": {
        "Unit": [],
        "Class": [],
        "Fund": [
          {
            "AccountEndDate": {
              "Day": 1,
              "Month": 10
            },
            "ExDividendDate": {
              "Day": 1,
              "Month": 10
            },
            "IncomePaymentDate": {
              "Day": 30,
              "Month": 11
            },
            "FinalPayment": false
          },
          {
            "AccountEndDate": {
              "Day": 1,
              "Month": 4
            },
            "ExDividendDate": {
              "Day": 1,
              "Month": 4
            },
            "IncomePaymentDate": {
              "Day": 31,
              "Month": 5
            },
            "FinalPayment": false
          },
          {
            "AccountEndDate": {
              "Day": 1,
              "Month": 1
            },
            "ExDividendDate": {
              "Day": 1,
              "Month": 1
            },
            "IncomePaymentDate": {
              "Day": 28,
              "Month": 2
            },
            "FinalPayment": false
          },
          {
            "AccountEndDate": {
              "Day": 1,
              "Month": 7
            },
            "ExDividendDate": {
              "Day": 1,
              "Month": 7
            },
            "IncomePaymentDate": {
              "Day": 31,
              "Month": 8
            },
            "FinalPayment": true
          }
        ],
        "VctDates": [],
        "NextIncomePaymentDate": {
          "Day": 31,
          "Month": 8
        },
        "ClassFirstIncomePaymentDate": null,
        "FundFirstIncomePaymentDate": null
      },
      "IncomeDetails": {
        "UnitBasisXdivDateWkdHol": null,
        "UnitBasisXdivDateWkdHolExplanation": null,
        "UnitIncomeFrequency": null,
        "UnitIncomeTreatment": null,
        "ClassBasisXdivDateWkdHol": null,
        "ClassBasisXdivDateWkdHolExplanation": null,
        "ClassIncomeFrequency": null,
        "ClassIncomeTreatment": null,
        "FundBasisXdivDateWkdHol": "Forward to next working day",
        "FundBasisXdivDateWkdHolExplanation": null,
        "FundIncomeFrequency": "Quarterly",
        "FundIncomeTreatment": "Interest",
        "Guarantee": null,
        "IncomeFrequency": null,
        "ClassPaymentBasis": "Net"
      },
      "Yields": {
        "Bond": {
          "DistributionYield": 0.0,
          "UnderlyingYield": 0.0,
          "YieldDate": null,
          "ChargesToCapital": null,
          "DistributionBasis": null,
          "AccurateDate": "2023-05-31T09:00:00+00:00"
        },
        "Equity": null,
        "RelevantYield": 0.0,
        "Type": "Bond",
        "AccurateDate": "2023-05-31T09:00:00+00:00"
      },
      "IncomeDistributions": {
        "IncomeDistribution": []
      },
      "AccurateDate": "2023-05-31T09:00:00+00:00"
    },
    "PerformanceData": null,
    "MifidData": {
      "EmtData": [],
      "EmtV3Data": [],
      "EmtV31Data": [],
      "EmtV4Data": [],
      "EmtV41Data": [],
      "EmtV42Data": [],
      "AppropriateFundIdentifier": "GB0007460032",
      "AppropriateFundIdentifierType": "1",
      "FinancialInstrumentName": "Index Linked Bond Class A Income",
      "FinancialInstrumentCurrency": "GBP",
      "Complexity": "NC4",
      "ComplexityAccurateDate": "2017-12-29T06:00:00+00:00",
      "ComplexityLastUploadedDate": "2017-12-29T11:28:49.25+00:00"
    },
    "PriipsData": null,
    "AvivaCustomData": null,
    "Id": "e75fc6a8-388b-4d47-adef-d4dbc12cd4d3",
    "Type": null
  }
]

Examples

Securities

The below sections give example queries for the Distribution API.

Schema

Get Access Token

curl --location --request POST "https://identity.fundslibrary.net/connect/token" -u "AE84D509BF3A4847809A27F8D97FE54E:Playground_Secret" --form "grant_type=client_credentials"
Use the generated access-token by the above command. The access-token shall be valid for 1hr and can be reused for all other requests.

Specific units

.../Securities?sedol=B76N7B1
Retrieves the fund unit identified by the given SEDOL code.
curl -H "Authorization: Bearer {access_token}" "https://fcsdata.broadridge.com//Securities/?sedol=B76N7B1" 
.../Securities?isin=GB00B76N7B10
Retrieves the fund unit identified by the given ISIN code.
curl -H "Authorization: Bearer {access_token}" "https://fcsdata.broadridge.com//Securities/?isin=GB00B76N7B10" 

Filter

Data Api provides ability to filter fund units using filter criterias. Below are supported operations and operators for filters.
Supported operations:

  • eq: Filter records on a field with field value equal to input
  • gt: Filter records on a field with field value greater than input
  • ge: Filter records on a field with field value greater than or equal to input
  • lt: Filter records on a field with field value less than input
  • le: Filter records on a field with field value less than or equal to input
Supported operators with examples:
  • AND: ?$filter=StaticData/Risks/ChargesToCapital eq false AND StaticData/Charges/Initial gt 2
  • OR: ?$filter=StaticData/Risks/ChargesToCapital eq false OR StaticData/Risks/ChargesToCapital eq null
  • Combination of AND and OR: ?$filter=StaticData/Charges/OcfCalculated gt 1.5245 AND (StaticData/Charges/AmcPercentage lt 1.5 OR StaticData/Charges/Initial lt 2.3)

Limitations: Combination of AND OR is not fully supported

.../Securities?$filter=StaticData/Risks/ChargesToCapital eq false
Returns fund units that don't have the ChargesToCapital risk factor.
curl -H "Authorization: Bearer {access_token}" "https://fcsdata.broadridge.com//Securities/?%24filter=StaticData/Risks/ChargesToCapital%20eq%20false" 
.../Securities?$filter=StaticData/Essentials/IaSector eq 'Asia Pacific Excluding Japan'
Returns fund units in the Asia Pacific Excluding Japan sector.
curl -H "Authorization: Bearer {access_token}" "https://fcsdata.broadridge.com//Securities/?%24filter=StaticData/Essentials/IaSector%20eq%20'Asia%20Pacific%20Excluding%20Japan'" 
.../Securities?$filter=StaticData/Charges/Initial lt 5 and StaticData/LaunchDetails/UnitLaunchCurrencyCode eq 'GBP'
Returns fund units that price in GBP and whose initial charge is less than five. OData also offers other numerical operators such as gt and eq.
curl -H "Authorization: Bearer {access_token}" "https://fcsdata.broadridge.com//Securities/?%24filter=StaticData/Charges/Initial%20lt%205%20and%20StaticData/LaunchDetails/UnitLaunchCurrencyCode%20eq%20'GBP'" 
.../Securities?$filter=StaticData/Risks/ChargesToCapital eq false OR StaticData/Risks/ChargesToCapital eq null
Returns fund units that don't have the ChargesToCapital risk factor or ChargesToCapital risk is not present at all.
curl -H "Authorization: Bearer {access_token}" "https://fcsdata.broadridge.com//Securities/?%24filter=StaticData/Risks/ChargesToCapital%20eq%20false%20OR%20StaticData/Risks/ChargesToCapital%20eq%20null" 
.../Securities?$filter=StaticData/Charges/OcfCalculated gt 1.5245 AND (StaticData/Charges/AmcPercentage lt 1.5 OR StaticData/Charges/Initial lt 2.3)
Returns fund units that has OcfCalculated greater than 1.5245 and either AmcPercentage is less than 1.5 or Initial charges are less than 2.3
curl -H "Authorization: Bearer {access_token}" "https://fcsdata.broadridge.com//Securities/?%24filter=StaticData/Charges/OcfCalculated%20gt%201.5245%20AND%20(StaticData/Charges/AmcPercentage%20lt%201.5%20OR%20StaticData/Charges/Initial%20lt%202.3)" 

Paging

By default, the API will return at most ten results per request. This default can be overridden to control paging within your application.

.../Securities?$skip=20&$top=20&$count=true
Will skip the first 20 fund units and return the next 20 results. If <code>$count=true</code> is supplied, the response body also has an <code>@odata.count</code> field specifying how many results are in the full set.
curl -H "Authorization: Bearer {access_token}" "https://fcsdata.broadridge.com//Securities/?%24skip=20&%24top=20&%24count=true" 
.../Securities?$filter=StaticData/Risks/ChargesToCapital eq false&$skip=2&$top=2
Filters all fund units to those without the ChargesToCapital risk, and then skips the first 2 results and selects the next 2 results.
curl -H "Authorization: Bearer {access_token}" "https://fcsdata.broadridge.com//Securities/?%24filter=StaticData/Risks/ChargesToCapital%20eq%20false&%24skip=2&%24top=2" 

Search

.../Securities?$search=Australian dollar
Performs a wide-scope search, across all available parameters, and returns any fund units that contain the phrase 'Australian Dollar' anywhere in their data.
curl -H "Authorization: Bearer {access_token}" "https://fcsdata.broadridge.com//Securities/?%24search=Australian%20dollar" 

Custom FL functions

.../Securities/FL.GetSedols(Sedols=['B76N7B1','3049163','B79HRR6','0746003','B71DHL6'])
Will return a set of fund units relating to the sedols provided in the comma separated function parameter.
curl -H "Authorization: Bearer {access_token}" "https://fcsdata.broadridge.com//Securities//FL.GetSedols(Sedols=%5B'B76N7B1','3049163','B79HRR6','0746003','B71DHL6'%5D)" 

MiFID EMT

/api/MifidData/fromIds?id=B76N7B1&id=3049163&id=B79HRR6
Will return a set of fund units with MiFid EMT data relating to the sedols provided in the query parameter.
curl -H "Authorization: Bearer {access_token}" -H "X-FL-EMT-Version : 4.2" "https://fcsdata.broadridge.com//api/MifidData/fromIds?id=B76N7B1&id=3049163&id=B79HRR6" 

ESG EET

/api/EsgData?accurateDate=2022-05-30&pageSize=10&pageNumber=1
Will return a set of ESG EET data relating to the accurate date, page number and page size provided in the query parameters.
All parameters are optional.
Parameter details:
  • accurateDate: Input should be in date format (YYYY-MM-DD), e.g. 2022-05-30. If not provided, current date will be picked.
  • pageSize: Number of records to be returned in the result set. If not provided, pageSize will default to the value configured in API.
  • pageNumber: The current page number for the result set
curl -H "Authorization: Bearer {access_token}" -H "X-FL-EET-Version : 1.1.2" "https://fcsdata.broadridge.com/api/EsgData?accurateDate=2022-05-30&pageSize=10&pageNumber=1" 

PRIIPs Data

/api/PriipsData/fromIds?id=B76N7B1&id=3049163&id=B79HRR6
/api/PriipsData/B76N7B1
Will return a set of fund units with Priips data relating to the sedols or isins provided in the query parameter.
Parameter details:
  • accurateDate: Input should be in date format (YYYY-MM-DD), e.g. 2022-05-30. AccurateDate only applies to the Performance Scenario data.
curl -H "Authorization: Bearer {access_token}" -H "X-FL-EMT-Version : 3.0" "https://fcsdata.broadridge.com/api/PriipsData/fromIds?id=B76N7B1&id=3049163&id=B79HRR6" 
curl -H "Authorization: Bearer {access_token}" -H "X-FL-EMT-Version : 3.0" "https://fcsdata.broadridge.com/api/PriipsData/B76N7B" 
x-

SEDOLs featured in Playground

    • B76N7B1
    • 3049163
    • B79HRR6
    • 0746003
    • B71DHL6
    • BQZJ8G5
    • B8QHFR2
    • 3161926
    • 5598997
    • B7QHZQ4
    • 0019976
    • B39TVG1
    • 0742089
    • 3129623
    • 0041719
    • B6XFMR4
    • 3352032
    • BHB1Y64
    • 0433071
    • 0903574
    • 0454492
    • 3083666
    • B587Y50
    • 0852591
    • B13YXL7
    • 0706762