GET api/market/securities/quotes/v2?codes[0]={codes[0]}&codes[1]={codes[1]}
Gets quote information for a list of security codes
Request Information
URI Parameters
Name | Description | Type | Additional information |
---|---|---|---|
codes |
List of security codes including ASX, ChiX and Managed Funds |
Collection of string |
Required |
Body Parameters
None.
Response Information
Resource Description
AllQuotes object which includes a list of quote and managed fund quote objects. For the quote objects, the details may be 20 mins delayed or live depending on your access level.
AllQuotesName | Description | Type | Additional information |
---|---|---|---|
Quotes |
List of quote objects |
Collection of CombineQuote |
None. |
ManagedFunds |
List of managed fund objects |
Collection of ManagedFundQuote |
None. |
Response Formats
application/json, text/json
Sample:
{ "Quotes": [ { "SecurityCode": "ANZ", "Ask": 33.1, "AskAmountTop": 0, "AskCount": 2, "AskTotalShares": 0, "Bid": 26.85, "BidAmountTop": 0, "BidCount": 18, "BidTotalShares": 0, "Change": -0.14, "ChangeIAP": -0.14, "Close": 27.0, "ContractSize": 1, "CorporateActions": [], "Description": "AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED ORDINARY FULLY PAID", "EquilibriumPrice": 0.0, "EquilibriumQuantity": 0, "ExDate": null, "High": 27.68, "IsIndex": false, "Last": 26.86, "LastPriceUpdate": "2015-10-06T10:28:47", "Low": 26.6, "MarketStatus": "Open", "Open": 26.95, "OpenInterest": 0, "PctChange": -0.51851851851851849, "PctChangeIAP": -0.51851851851851849, "ShortName": "ANZ BANK FPO", "SurplusVolume": 0, "Trades": 61.0, "TurnOver": 22370.0, "TurnoverValue": 610043980, "UnitPrice": 26.86, "Volume": 356.0, "VWAP": 0.0, "TotalClassIssue": 2756583456, "ShortSold": null, "ExercisePrice": null, "SharesPerContract": 0.0, "Report": null, "DateTimeLastTrading": "2014-07-21T17:00:10", "DateTimeLastUpdate": "2015-10-05T16:49:20", "SecurityExchange": "ASX", "SecurityClassType": 1, "FiftyTwoWeekHigh": 27.68, "FiftyTwoWeekLow": 26.47, "DetailBids": [ { "Level": 1, "Priority": 0, "NumberOrder": 1, "Quantity": 1917, "Price": 26.85 }, { "Level": 2, "Priority": 1, "NumberOrder": 1, "Quantity": 3000, "Price": 26.74 }, { "Level": 3, "Priority": 2, "NumberOrder": 1, "Quantity": 100, "Price": 26.7 }, { "Level": 4, "Priority": 3, "NumberOrder": 1, "Quantity": 100, "Price": 26.6 }, { "Level": 5, "Priority": 4, "NumberOrder": 1, "Quantity": 100, "Price": 26.5 }, { "Level": 5, "Priority": 5, "NumberOrder": 1, "Quantity": 100, "Price": 26.5 }, { "Level": 5, "Priority": 6, "NumberOrder": 1, "Quantity": 100, "Price": 26.5 }, { "Level": 5, "Priority": 7, "NumberOrder": 1, "Quantity": 100, "Price": 26.5 } ], "DetailAsks": [ { "Level": 1, "Priority": 0, "NumberOrder": 1, "Quantity": 60, "Price": 33.1 }, { "Level": 1, "Priority": 1, "NumberOrder": 1, "Quantity": 25, "Price": 33.1 } ], "DataDeliveryType": 2, "Dividend": null, "IsETOIndex": false, "DMLApproved": true, "Entry": 0.0, "GICS": null, "IsQDBManagedFund": false, "IsQBMarket": false, "LVR": 0.0, "NumberOfRecentAnnouncements": 0, "NumberOfRecentNewsArticles": 0, "NumberOfTodayAnnouncements": 0, "Scale": null, "DividendExDate": null, "SettlementPrice": 0.0, "StatusNotes": null, "MktTurnover": 0, "MktTurnoverValue": 0.0, "GICSSector": null, "GICSIndustryGroup": null, "GICSIndustry": null, "ExtendedPrice": null, "PctShortSold": null, "PayableDate": null, "Logo": null, "MktCap": null, "EPS": null, "PE": null, "MarketCondition": null, "PreviousClose": 0.0 } ], "ManagedFunds": [ { "SecurityCode": "ACY01", "CommencementDate": "2025-4-4", "PDSIssueDate": "2025-4-4", "PDSLink": "http://www.asx.com.au/asxpdf/20170921/pdf/43mj8qxvkglmf7.pdf", "ProfileLink": "http://www.asx.com.au/asxpdf/20170921/pdf/43mj8m80cr7mvz.pdf", "ApplicationPrice": 0.8031, "RedemptionPrice": 0.7991, "PriceDate": "2025-4-4", "PricingFrequency": 0, "ApplicationSettlementCycle": 0, "RedemptionSettlementCycle": 6 } ] }
application/xml, text/xml
Sample:
<AllQuotes xmlns:i="http://www.w3.org/2001/XMLSchema-instance" xmlns="http://schemas.datacontract.org/2004/07/TPP.B2B.Webservices2.Contract.Market"> <ManagedFunds> <ManagedFundQuote> <ApplicationPrice>0.803100</ApplicationPrice> <ApplicationSettlementCycle>PaymentPlus1Day</ApplicationSettlementCycle> <CommencementDate xmlns:d4p1="http://schemas.datacontract.org/2004/07/TPP.Utilities" /> <PDSIssueDate xmlns:d4p1="http://schemas.datacontract.org/2004/07/TPP.Utilities" /> <PDSLink>http://www.asx.com.au/asxpdf/20170921/pdf/43mj8qxvkglmf7.pdf</PDSLink> <PriceDate xmlns:d4p1="http://schemas.datacontract.org/2004/07/TPP.Utilities" /> <PricingFrequency>Daily</PricingFrequency> <ProfileLink>http://www.asx.com.au/asxpdf/20170921/pdf/43mj8m80cr7mvz.pdf</ProfileLink> <RedemptionPrice>0.799100</RedemptionPrice> <RedemptionSettlementCycle>RedemptionPlus7Days</RedemptionSettlementCycle> <SecurityCode>ACY01</SecurityCode> </ManagedFundQuote> </ManagedFunds> <Quotes> <CombineQuote xmlns=""> <SecurityCode>ANZ</SecurityCode> <Ask>33.1</Ask> <AskAmountTop>0</AskAmountTop> <AskCount>2</AskCount> <AskTotalShares>0</AskTotalShares> <Bid>26.85</Bid> <BidAmountTop>0</BidAmountTop> <BidCount>18</BidCount> <BidTotalShares>0</BidTotalShares> <Change>-0.14</Change> <ChangeIAP>-0.14</ChangeIAP> <Close>27.0</Close> <ContractSize>1</ContractSize> <CorporateActions xmlns:d4p1="http://schemas.microsoft.com/2003/10/Serialization/Arrays" /> <Description>AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED ORDINARY FULLY PAID</Description> <EquilibriumPrice>0.0</EquilibriumPrice> <EquilibriumQuantity>0</EquilibriumQuantity> <ExDate i:nil="true" /> <High>27.68</High> <IsIndex>false</IsIndex> <Last>26.86</Last> <LastPriceUpdate>2015-10-06T10:28:47</LastPriceUpdate> <Low>26.6</Low> <MarketStatus>Open</MarketStatus> <Open>26.95</Open> <OpenInterest>0</OpenInterest> <PctChange>-0.5185185185185185185185185185</PctChange> <PctChangeIAP>-0.5185185185185185185185185185</PctChangeIAP> <ShortName>ANZ BANK FPO</ShortName> <SurplusVolume>0</SurplusVolume> <Trades>61.0</Trades> <TurnOver>22370.0</TurnOver> <TurnoverValue>610043980</TurnoverValue> <UnitPrice>26.86</UnitPrice> <Volume>356.0</Volume> <VWAP>0.0</VWAP> <TotalClassIssue>2756583456</TotalClassIssue> <ShortSold i:nil="true" /> <ExercisePrice i:nil="true" /> <SharesPerContract>0.0</SharesPerContract> <Report i:nil="true" /> <DateTimeLastTrading>2014-07-21T17:00:10</DateTimeLastTrading> <DateTimeLastUpdate>2015-10-05T16:49:20</DateTimeLastUpdate> <SecurityExchange>ASX</SecurityExchange> <SecurityClassType>ASXEquity</SecurityClassType> <FiftyTwoWeekHigh>27.68</FiftyTwoWeekHigh> <FiftyTwoWeekLow>26.4700</FiftyTwoWeekLow> <DetailBids> <MarketDetailSimple> <Level>1</Level> <Priority>0</Priority> <NumberOrder>1</NumberOrder> <Quantity>1917</Quantity> <Price>26.85</Price> </MarketDetailSimple> <MarketDetailSimple> <Level>2</Level> <Priority>1</Priority> <NumberOrder>1</NumberOrder> <Quantity>3000</Quantity> <Price>26.74</Price> </MarketDetailSimple> <MarketDetailSimple> <Level>3</Level> <Priority>2</Priority> <NumberOrder>1</NumberOrder> <Quantity>100</Quantity> <Price>26.7</Price> </MarketDetailSimple> <MarketDetailSimple> <Level>4</Level> <Priority>3</Priority> <NumberOrder>1</NumberOrder> <Quantity>100</Quantity> <Price>26.6</Price> </MarketDetailSimple> <MarketDetailSimple> <Level>5</Level> <Priority>4</Priority> <NumberOrder>1</NumberOrder> <Quantity>100</Quantity> <Price>26.5</Price> </MarketDetailSimple> <MarketDetailSimple> <Level>5</Level> <Priority>5</Priority> <NumberOrder>1</NumberOrder> <Quantity>100</Quantity> <Price>26.5</Price> </MarketDetailSimple> <MarketDetailSimple> <Level>5</Level> <Priority>6</Priority> <NumberOrder>1</NumberOrder> <Quantity>100</Quantity> <Price>26.5</Price> </MarketDetailSimple> <MarketDetailSimple> <Level>5</Level> <Priority>7</Priority> <NumberOrder>1</NumberOrder> <Quantity>100</Quantity> <Price>26.5</Price> </MarketDetailSimple> </DetailBids> <DetailAsks> <MarketDetailSimple> <Level>1</Level> <Priority>0</Priority> <NumberOrder>1</NumberOrder> <Quantity>60</Quantity> <Price>33.1</Price> </MarketDetailSimple> <MarketDetailSimple> <Level>1</Level> <Priority>1</Priority> <NumberOrder>1</NumberOrder> <Quantity>25</Quantity> <Price>33.1</Price> </MarketDetailSimple> </DetailAsks> <DataDeliveryType>Live</DataDeliveryType> <Dividend i:nil="true" /> <IsETOIndex>false</IsETOIndex> <DMLApproved>true</DMLApproved> <Entry>0</Entry> <GICS i:nil="true" /> <IsQDBManagedFund>false</IsQDBManagedFund> <IsQBMarket>false</IsQBMarket> <LVR>0</LVR> <NumberOfRecentAnnouncements>0</NumberOfRecentAnnouncements> <NumberOfRecentNewsArticles>0</NumberOfRecentNewsArticles> <NumberOfTodayAnnouncements>0</NumberOfTodayAnnouncements> <Scale i:nil="true" /> <DividendExDate i:nil="true" /> <SettlementPrice>0</SettlementPrice> <StatusNotes i:nil="true" /> <MktTurnover>0</MktTurnover> <MktTurnoverValue>0</MktTurnoverValue> <GICSSector i:nil="true" /> <GICSIndustryGroup i:nil="true" /> <GICSIndustry i:nil="true" /> <ExtendedPrice i:nil="true" /> <PctShortSold i:nil="true" /> <PayableDate i:nil="true" /> <Logo i:nil="true" /> <MktCap i:nil="true" /> <EPS i:nil="true" /> <PE i:nil="true" /> <MarketCondition i:nil="true" /> <PreviousClose>0</PreviousClose> </CombineQuote> </Quotes> </AllQuotes>
Error Response Information
Resource Description
AllQuotes object which includes a list of quote and managed fund quote objects. For the quote objects, the details may be 20 mins delayed or live depending on your access level.
Collection of stringError Response Formats
application/json, text/json
Sample:
[ "sample string 1", "sample string 2" ]
application/xml, text/xml
Sample:
<ArrayOfstring xmlns:i="http://www.w3.org/2001/XMLSchema-instance" xmlns="http://schemas.microsoft.com/2003/10/Serialization/Arrays"> <string>sample string 1</string> <string>sample string 2</string> </ArrayOfstring>