generated: '2026-07-20' method: derived status: candidate source: llms/moment-llms.txt description: 'Candidate MCP tool list DERIVED from Moment''s documented API operations (no official hosted MCP server was found). operationIds are the ReadMe reference slugs published in Moment''s docs/llms.txt; tools should be validated against the production OpenAPI before use. status: candidate.' server: name: moment transport: http url: null tools: - name: list_instruments description: List and filter reference data for all instruments. source_operation: listinstruments - name: retrieve_instrument description: Retrieve reference data for a single instrument. source_operation: retrieveinstrument - name: bulk_download_reference description: Download all reference data for all securities as a zipped CSV. source_operation: bulkdownloadreference - name: get_security_by_id description: Get a single security record by ISIN across all asset classes. source_operation: getsecuritybyid - name: get_marks description: Retrieve the most recently observed price for each ISIN (up to 100). source_operation: getmarks - name: get_prices description: Price Chart API — historical aggregate price data for a bond over a period. source_operation: getprices - name: get_top_of_order_book description: Return the current best bid and offer for a specified bond. source_operation: gettopoforderbook-1 - name: get_full_order_book description: Return the current full order book for a specified bond. source_operation: getfullorderbook-1 - name: get_unified_market description: Cumulative market info (order book, evaluated price, yields, fees) for a bond. source_operation: getunifiedmarket-1 - name: price_to_yield description: Calculate yield to maturity and yield to worst for a given price. source_operation: pricetoyield-1 - name: get_yield_grid description: Compute YTW/YTM across a representative sample of prices in a range. source_operation: getyieldgrid - name: get_markup_calculator description: Markup-adjusted prices and yields per trade leg and risk group. source_operation: getmarkupcalculator-1 - name: post_portfolio_stats description: Calculate aggregate statistics for a portfolio's holdings. source_operation: postportfoliostats - name: get_trade_price description: Principal, accrued interest, fees, and total trade cost for a trade. source_operation: gettradeprice-1 - name: post_live_inventory description: Filter for bonds available to trade by reference/live-inventory criteria. source_operation: postliveinventory - name: get_tradeable_universe description: Get the tradable universe for a specified risk group (paginated). source_operation: gettradeableuniverse-1 - name: post_order description: Place a new order for the given account. source_operation: postorder-1 - name: get_all_orders description: Retrieve a list of orders for the account filtered by query params. source_operation: getallorders-1 - name: get_order_by_order_id description: Retrieve a single order by id. source_operation: getorderbyorderid-1 - name: delete_order_by_order_id description: Attempt to cancel an open order. source_operation: deleteorderbyorderid-1 - name: allocate_order_by_order_id description: Allocate a block order to one or more customer accounts. source_operation: allocateorderbyorderid - name: get_events description: List order-related events from the past two days. source_operation: getevents-1 - name: create_rfq description: Create a new RFQ. source_operation: createrfq - name: list_rfqs description: Retrieve a list of RFQs for the authenticated organization. source_operation: listrfqs - name: list_corporate_actions description: List corporate actions in a time period, optionally filtered. source_operation: listcorporateactions - name: post_optimization description: Submit accounts and strategies to generate an optimized portfolio. source_operation: postoptimization-1 - name: get_optimization_status description: Return the status of a specific optimization. source_operation: getoptimizationstatus - name: get_optimizations_orders description: Return the orders generated by a specific optimization. source_operation: getoptimizationsorders - name: get_trading_calendar description: Return trading/half/holiday/weekend day classifications. source_operation: gettradingcalendar-1 notes: This is a curated, representative subset of Moment's ~150 documented operations. Reference-data, pricing, analytics, order/execution, RFQ, corporate-action, and portfolio-optimization families are all covered. deployment: mode: none verified: derived tools: 29 checked: '2026-08-12' source: catalog MCP census