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Cash equivalents, excluding items classified as marketable securities, include short-term, highly liquid investments that are both readily convertible to known amounts of cash, and so near their maturity that they present insignificant risk of changes in value because of changes in interest rates. Generally, only investments with original maturities of three months or less qualify under this definition. Original maturity means original maturity to the entity holding the investment. For example, both a three-month US Treasury bill and a three-year Treasury note purchased three months from maturity qualify as cash equivalents. However, a Treasury note purchased three years ago does not become a cash equivalent when its remaining maturity is three months. More...
Public Member Functions | |
override IReadOnlyDictionary< string, double > | GetPeriodValues () |
Gets a dictionary of period names and values for the field More... | |
override double | GetPeriodValue (string period) |
Gets the value of the field for the requested period More... | |
CashEquivalentsBalanceSheet () | |
Creates a new empty instance More... | |
CashEquivalentsBalanceSheet (ITimeProvider timeProvider, SecurityIdentifier securityIdentifier) | |
Creates a new instance for the given time and security More... | |
Public Member Functions inherited from QuantConnect.Data.Fundamental.MultiPeriodField< T > | |
virtual bool | HasPeriodValue (string period) |
Returns true if the field contains a value for the requested period More... | |
IEnumerable< string > | GetPeriodNames () |
Gets the list of available period names for the field More... | |
bool | HasValues () |
Returns true if the field has at least one value for one period More... | |
override string | ToString () |
Returns a string that represents the current object. More... | |
Public Attributes | |
double | ThreeMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_BalanceSheet_CashEquivalents_ThreeMonths) |
Gets/sets the ThreeMonths period value for the field More... | |
double | SixMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_BalanceSheet_CashEquivalents_SixMonths) |
Gets/sets the SixMonths period value for the field More... | |
double | NineMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_BalanceSheet_CashEquivalents_NineMonths) |
Gets/sets the NineMonths period value for the field More... | |
double | TwelveMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_BalanceSheet_CashEquivalents_TwelveMonths) |
Gets/sets the TwelveMonths period value for the field More... | |
override bool | HasValue => !BaseFundamentalDataProvider.IsNone(typeof(double), FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_BalanceSheet_CashEquivalents_TwelveMonths)) |
Returns true if the field contains a value for the default period More... | |
Public Attributes inherited from QuantConnect.Data.Fundamental.MultiPeriodField< T > | |
virtual T | Value => GetPeriodValues().Select(x => x.Value).DefaultIfEmpty(NoValue).FirstOrDefault() |
Returns the default value for the field More... | |
Protected Attributes | |
override string | DefaultPeriod => "TwelveMonths" |
The default period More... | |
Properties | |
override double | Value [get] |
Returns the default value for the field More... | |
Properties inherited from QuantConnect.Data.Fundamental.MultiPeriodField< T > | |
static T | NoValue = BaseFundamentalDataProvider.GetDefault<T>() [get] |
No Value More... | |
ITimeProvider | TimeProvider [get] |
The time provider instance to use More... | |
abstract string | DefaultPeriod [get] |
The default period More... | |
SecurityIdentifier | SecurityIdentifier [get, set] |
The target security identifier More... | |
abstract bool | HasValue [get] |
Returns true if the field contains a value for the default period More... | |
Additional Inherited Members | |
Static Public Member Functions inherited from QuantConnect.Data.Fundamental.MultiPeriodField< T > | |
static implicit | operator T (MultiPeriodField< T > instance) |
Returns the default value for the field More... | |
static implicit | operator decimal (MultiPeriodField instance) |
Returns the default value for the field More... | |
Protected Member Functions inherited from QuantConnect.Data.Fundamental.MultiPeriodField< T > | |
MultiPeriodField () | |
Creates an empty instance More... | |
MultiPeriodField (ITimeProvider timeProvider, SecurityIdentifier securityIdentifier) | |
Creates a new instance More... | |
string | ConvertPeriod (string period) |
Returns a string that represents the current object. More... | |
MultiPeriodField () | |
Creates an empty instance More... | |
MultiPeriodField (ITimeProvider timeProvider, SecurityIdentifier securityIdentifier) | |
Creates a new instance More... | |
Cash equivalents, excluding items classified as marketable securities, include short-term, highly liquid investments that are both readily convertible to known amounts of cash, and so near their maturity that they present insignificant risk of changes in value because of changes in interest rates. Generally, only investments with original maturities of three months or less qualify under this definition. Original maturity means original maturity to the entity holding the investment. For example, both a three-month US Treasury bill and a three-year Treasury note purchased three months from maturity qualify as cash equivalents. However, a Treasury note purchased three years ago does not become a cash equivalent when its remaining maturity is three months.
Definition at line 29 of file CashEquivalentsBalanceSheet.cs.
QuantConnect.Data.Fundamental.CashEquivalentsBalanceSheet.CashEquivalentsBalanceSheet | ( | ) |
Creates a new empty instance
Definition at line 108 of file CashEquivalentsBalanceSheet.cs.
QuantConnect.Data.Fundamental.CashEquivalentsBalanceSheet.CashEquivalentsBalanceSheet | ( | ITimeProvider | timeProvider, |
SecurityIdentifier | securityIdentifier | ||
) |
Creates a new instance for the given time and security
Definition at line 115 of file CashEquivalentsBalanceSheet.cs.
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virtual |
Gets a dictionary of period names and values for the field
Implements QuantConnect.Data.Fundamental.MultiPeriodField< T >.
Definition at line 85 of file CashEquivalentsBalanceSheet.cs.
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virtual |
Gets the value of the field for the requested period
period | The requested period |
Implements QuantConnect.Data.Fundamental.MultiPeriodField< T >.
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protected |
The default period
Definition at line 34 of file CashEquivalentsBalanceSheet.cs.
double QuantConnect.Data.Fundamental.CashEquivalentsBalanceSheet.ThreeMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_BalanceSheet_CashEquivalents_ThreeMonths) |
Gets/sets the ThreeMonths period value for the field
Definition at line 40 of file CashEquivalentsBalanceSheet.cs.
double QuantConnect.Data.Fundamental.CashEquivalentsBalanceSheet.SixMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_BalanceSheet_CashEquivalents_SixMonths) |
Gets/sets the SixMonths period value for the field
Definition at line 46 of file CashEquivalentsBalanceSheet.cs.
double QuantConnect.Data.Fundamental.CashEquivalentsBalanceSheet.NineMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_BalanceSheet_CashEquivalents_NineMonths) |
Gets/sets the NineMonths period value for the field
Definition at line 52 of file CashEquivalentsBalanceSheet.cs.
double QuantConnect.Data.Fundamental.CashEquivalentsBalanceSheet.TwelveMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_BalanceSheet_CashEquivalents_TwelveMonths) |
Gets/sets the TwelveMonths period value for the field
Definition at line 58 of file CashEquivalentsBalanceSheet.cs.
override bool QuantConnect.Data.Fundamental.CashEquivalentsBalanceSheet.HasValue => !BaseFundamentalDataProvider.IsNone(typeof(double), FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_BalanceSheet_CashEquivalents_TwelveMonths)) |
Returns true if the field contains a value for the default period
Definition at line 63 of file CashEquivalentsBalanceSheet.cs.
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get |
Returns the default value for the field
Definition at line 69 of file CashEquivalentsBalanceSheet.cs.