{ "$schema": "https://json-schema.org/draft/2020-12/schema", "title": "aum", "type": "object", "properties": { "fsymId": { "type": "string", "description": "FactSet Security Identifier. Six alpha-numeric characters, excluding vowels, with a -S suffix (XXXXXX-S), resolved from the requestId of the Fund requested." }, "fundLevelAUM": { "type": "number", "description": "Returns fund-level Assets Under Management (AUM) data. Fund-level AUM is the sum of the market values of the positions in the fund's portfolio. This represents all share classes." }, "shrClassAUMRpt": { "type": "number", "description": "As-Reported AUM. Calculated by using shares outstanding at previous close multiplied by NAV at previous close. This is typically the value seen on fund websites. As Reported AUM = (Shares Outstanding t0 * NAV t0)." }, "shrClassAUMAct": { "type": "number", "description": "Actual AUM. Calculated by using shares outstanding at previous close multiplied by NAV of one day prior to close. This is the value used in calculating fund flows. Actual AUM = (Shares Outstanding t0 * NAV t-1)" }, "currency": { "type": "string", "description": "The Currency of the AUM values. By default it will be in the FUnds Currency, unless otherwise requested via the currency parameter." }, "date": { "type": "string", "description": "The date of the AUM in YYYY-MM-DD format." }, "requestId": { "type": "string", "description": "The requested Id sent as input." } } }