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Fund summary

Fund summary provides the key statistics of an individual fund vehicle as of a selected date

API Reference : Get fund summary

Definition

Fund summary consists of standard fieldsets of output calculation from Quantium CORE.

Output is fund vehicle specific as of a selected date.

The following is a list of standard fieldsets returned from Quantium API.

Output

Description

commitment

Total commitments of a fund vehicle

totalContribution

Total cumulative capital contribution or paid-in capital of a fund vehicle

remainingAvailableforDrawdown

Total uncalled capital or remaining capital available (including recallable portion) for drawdown of a fund vehicle

totalDistribution

Total cumulative capital distribution (including recallable portion) of a fund vehicle

recallableDistribution

Total capital distribution that remains recallable of a fund vehicle

cumulativeManagementFees

Total cumulative and accrued management fees of a fund vehicle

cumulativeRealized

Total cumulative realized gain / (loss) from investments of a fund vehicle

cumulativeUnrealized

Total cumulative unrealized gain / (loss) from investments of a fund vehicle

cumulativeFundOp

Total cumulative operating income and expenses other than investment gains / (losses) of a fund vehicle

cumulativeCarriedInterest

Total cumulative and accrued carried interest of a fund vehicle

nav

Total NAV before deduction of carried interest of a fund vehicle

navNetOfCarry

Total NAV after deduction of carried interest of a fund vehicle

fmv

Total fair market value from investments of a fund vehicle

otherAssetLiab

Total assets and liabilities (excluding total fair market value from investments) of a fund vehicle

cashBalance

Total cash balance of all bank accounts of a fund vehicle

remainingAvailableForInvestment

Cash balance + remaining available for drawdown - committed investment - total forecasted management fees of a fund vehicle

managementFeeForecastAmount

Total forecasted management fee based on user estimate and fund policy settings of a fund vehicle

Generating fund summary output

HTTP Method

GET

Path

/api/summary/fund/{scopeId}/{fundVehicleId}/{asOfDate}

Request parameters

scopeId: unique ID of scope
fundVehicleId: unique ID of fund vehicle
asOfDate: "YYYY-MM'DD"

Reference

API Reference : Get fund summary

Output example:

{
  "fundVehicleId": 8,
  "fundVehicleName": "Fund I - USD",
  "asOfDate": "2020-09-30",
  "currencyCode": "USD",
  "commitment": 50000000,
  "totalContribution": 0,
  "remainingAvailableforDrawdown": 50000000,
  "totalDistribution": 0,
  "recallableDistribution": 0,
  "cumulativeManagementFees": 0,
  "cumulativeRealized": 0,
  "cumulativeUnrealized": 0,
  "cumulativeFundOp": 0,
  "cumulativeCarriedInterest": 0,
  "totalFundCarry": 0,
  "nav": 0,
  "navNetOfCarry": 0,
  "fmv": 2000000,
  "otherAssetLiab": -2000000,
  "cashBalance": -2000000,
  "remainingAvailableForInvestment": 48000000,
  "managementFeeForecastAmount": 0
}