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Listagem de Títulos Públicos


Listagem de títulos públicos

Request

ENDPOINT
/trade_treasury/fund_class/FUND_CLASS_KEY/operations
MÉTODO
GET

Response

STATUS
200
Response Body
{
"data":[
{
"operation_key":"e96ff035-e0bc-4819-931a-6a9f7fc1c597",
"fund_class":{
"fund_class_key":"9b6145dc-2207-428d-84c1-2f949461891a",
"manager_key":"73a21e11-0ab7-461d-a93f-1e90c0a5dc0d",
"name":"FUNDO DE INVESTIMENTO TESTE",
"document_number":"41.202.838/0001-45",
"accounting_date":"2025-04-14",
"custodian":{
"name":"QI DISTRIBUIDORA DE TITULOS E VALORES MOBILIARIOS LTDA",
"document_number":"46.955.383/0001-52",
"iselic_number":"46955383"
},
"selic_account_number":"000216832",
"target_account_key":"d3dcbf3c-1bbf-495b-b792-ac448ee20ac4"
},
"status":"pending_registration",
"operation_part":"assignee",
"operation_type":{
"enumerator":"outright_operation",
"code":"1052"
},
"treasury":{
"enumerator":"ntn_b",
"code":"760199"
},
"operation_date":"2025-04-14",
"payment_date":"2025-04-14",
"maturity_date":"2025-05-15",
"total_operation_value":250.0,
"units":5,
"unit_price":50.0,
"counterparty":{
"iselic_number":"20824264",
"document_number":"20.824.264/0001-77",
"selic_account_number":"123456789"
},
"isin_code":"BRSTNCNTB633",
"issue_date":"2000-07-15",
"operation_data":{
"units":5,
"unit_price":50,
"counterparty":{
"iselic_number":"20824264",
"document_number":"20.824.264/0001-77",
"selic_account_number":"123456789"
},
"payment_date":"2025-04-14",
"maturity_date":"2025-05-15",
"treasury_type":"ntn_b",
"operation_date":"2025-04-14",
"operation_part":"assignee",
"operation_type":"outright_operation"
}
}
],
"limit":100,
"page":0,
"is_last_page":true
}