package ofxgo import ( "errors" "github.com/aclindsa/xml" ) // InvStatementRequest allows a customer to request transactions, positions, // open orders, and balances. It specifies what types of information to include // in hte InvStatementResponse and which account to include it for. type InvStatementRequest struct { XMLName xml.Name `xml:"INVSTMTTRNRQ"` TrnUID UID `xml:"TRNUID"` CltCookie String `xml:"CLTCOOKIE,omitempty"` TAN String `xml:"TAN,omitempty"` // Transaction authorization number // TODO `xml:"OFXEXTENSION,omitempty"` InvAcctFrom InvAcct `xml:"INVSTMTRQ>INVACCTFROM"` DtStart *Date `xml:"INVSTMTRQ>INCTRAN>DTSTART,omitempty"` DtEnd *Date `xml:"INVSTMTRQ>INCTRAN>DTEND,omitempty"` Include Boolean `xml:"INVSTMTRQ>INCTRAN>INCLUDE"` // Include transactions (instead of just balance) IncludeOO Boolean `xml:"INVSTMTRQ>INCOO"` // Include open orders PosDtAsOf *Date `xml:"INVSTMTRQ>INCPOS>DTASOF,omitempty"` // Date that positions should be sent down for, if present IncludePos Boolean `xml:"INVSTMTRQ>INCPOS>INCLUDE"` // Include position data in response IncludeBalance Boolean `xml:"INVSTMTRQ>INCBAL"` // Include investment balance in response Include401K Boolean `xml:"INVSTMTRQ>INC401K,omitempty"` // Include 401k information Include401KBal Boolean `xml:"INVSTMTRQ>INC401KBAL,omitempty"` // Include 401k balance information IncludeTranImage Boolean `xml:"INVSTMTRQ>INCTRANIMAGE,omitempty"` // Include transaction images } // Name returns the name of the top-level transaction XML/SGML element func (r *InvStatementRequest) Name() string { return "INVSTMTTRNRQ" } // Valid returns (true, nil) if this struct would be valid OFX if marshalled // into XML/SGML func (r *InvStatementRequest) Valid(version ofxVersion) (bool, error) { if ok, err := r.TrnUID.Valid(); !ok { return false, err } // TODO implement return true, nil } // Type returns which message set this message belongs to (which Request // element of type []Message it should appended to) func (r *InvStatementRequest) Type() messageType { return InvStmtRq } // InvTran represents generic investment transaction. It is included in both // InvBuy and InvSell as well as many of the more specific transaction // aggregates. type InvTran struct { XMLName xml.Name `xml:"INVTRAN"` FiTID String `xml:"FITID"` // Unique FI-assigned transaction ID. This ID is used to detect duplicate downloads SrvrTID String `xml:"SRVRTID,omitempty"` // Server assigned transaction ID DtTrade Date `xml:"DTTRADE"` // trade date; for stock splits, day of record DtSettle *Date `xml:"DTSETTLE,omitempty"` // settlement date; for stock splits, execution date ReversalFiTID String `xml:"REVERSALFITID,omitempty"` // For a reversal transaction, the FITID of the transaction that is being reversed. Memo String `xml:"MEMO,omitempty"` } // InvBuy represents generic investment purchase transaction. It is included // in many of the more specific transaction Buy* aggregates below. type InvBuy struct { XMLName xml.Name `xml:"INVBUY"` InvTran InvTran `xml:"INVTRAN"` SecID SecurityID `xml:"SECID"` Units Amount `xml:"UNITS"` // For stocks, MFs, other, number of shares held. Bonds = face value. Options = number of contracts UnitPrice Amount `xml:"UNITPRICE"` // For stocks, MFs, other, price per share. Bonds = percentage of par. Option = premium per share of underlying security Markup Amount `xml:"MARKUP,omitempty"` // Portion of UNITPRICE that is attributed to the dealer markup Commission Amount `xml:"COMMISSION,omitempty"` Taxes Amount `xml:"TAXES,omitempty"` Fees Amount `xml:"FEES,omitempty"` Load Amount `xml:"LOAD,omitempty"` Total Amount `xml:"TOTAL"` // Transaction total. Buys, sells, etc.:((quan. * (price +/- markup/markdown)) +/-(commission + fees + load + taxes + penalty + withholding + statewithholding)). Distributions, interest, margin interest, misc. expense, etc.: amount. Return of cap: cost basis Currency Currency `xml:"CURRENCY,omitempty"` // Represents the currency this transaction is in (instead of CURDEF in INVSTMTRS) if Valid() OrigCurrency Currency `xml:"ORIGCURRENCY,omitempty"` // Represents the currency this transaction was converted to INVSTMTRS' CURDEF from if Valid SubAcctSec subAcctType `xml:"SUBACCTSEC"` // Sub-account type for this security. One of CASH, MARGIN, SHORT, OTHER SubAcctFund subAcctType `xml:"SUBACCTFUND"` // Where did the money for the transaction come from or go to? CASH, MARGIN, SHORT, OTHER // The next three elements must either all be provided, or none of them LoanID String `xml:"LOANID,omitempty"` // For 401(k) accounts only. Indicates that the transaction was due to a loan or a loan repayment, and which loan it was LoanPrincipal Amount `xml:"LOANPRINCIPAL,omitempty"` // For 401(k) accounts only. Indicates how much of the loan repayment was principal LoanInterest Amount `xml:"LOANINTEREST,omitempty"` // For 401(k) accounts only. Indicates how much of the loan repayment was interest Inv401kSource inv401kSource `xml:"INV401KSOURCE,omitempty"` // Source of money for this transaction. One of PRETAX, AFTERTAX, MATCH, PROFITSHARING, ROLLOVER, OTHERVEST, OTHERNONVEST for 401(k) accounts. Default if not present is OTHERNONVEST. The following cash source types are subject to vesting: MATCH, PROFITSHARING, and OTHERVEST DtPayroll *Date `xml:"DTPAYROLL,omitempty"` // For 401(k)accounts, date the funds for this transaction was obtained via payroll deduction PriorYearContrib Boolean `xml:"PRIORYEARCONTRIB,omitempty"` // For 401(k) accounts, indicates that this Buy was made with a prior year contribution } // InvSell represents generic investment sale transaction. It is included in // many of the more specific transaction Sell* aggregates below. type InvSell struct { XMLName xml.Name `xml:"INVSELL"` InvTran InvTran `xml:"INVTRAN"` SecID SecurityID `xml:"SECID"` Units Amount `xml:"UNITS"` // For stocks, MFs, other, number of shares held. Bonds = face value. Options = number of contracts UnitPrice Amount `xml:"UNITPRICE"` // For stocks, MFs, other, price per share. Bonds = percentage of par. Option = premium per share of underlying security Markdown Amount `xml:"MARKDOWN,omitempty"` // Portion of UNITPRICE that is attributed to the dealer markdown Commission Amount `xml:"COMMISSION,omitempty"` Taxes Amount `xml:"TAXES,omitempty"` Fees Amount `xml:"FEES,omitempty"` Load Amount `xml:"LOAD,omitempty"` Witholding Amount `xml:"WITHHOLDING,omitempty"` // Federal tax witholdings TaxExempt Boolean `xml:"TAXEXEMPT,omitempty"` // Tax-exempt transaction Total Amount `xml:"TOTAL"` // Transaction total. Buys, sells, etc.:((quan. * (price +/- markup/markdown)) +/-(commission + fees + load + taxes + penalty + withholding + statewithholding)). Distributions, interest, margin interest, misc. expense, etc.: amount. Return of cap: cost basis Gain Amount `xml:"GAIN,omitempty"` // Total gain Currency Currency `xml:"CURRENCY,omitempty"` // Represents the currency this transaction is in (instead of CURDEF in INVSTMTRS) if Valid() OrigCurrency Currency `xml:"ORIGCURRENCY,omitempty"` // Represents the currency this transaction was converted to INVSTMTRS' CURDEF from if Valid SubAcctSec subAcctType `xml:"SUBACCTSEC"` // Sub-account type for this security. One of CASH, MARGIN, SHORT, OTHER SubAcctFund subAcctType `xml:"SUBACCTFUND"` // Where did the money for the transaction come from or go to? CASH, MARGIN, SHORT, OTHER LoanID String `xml:"LOANID,omitempty"` // For 401(k) accounts only. Indicates that the transaction was due to a loan or a loan repayment, and which loan it was StateWitholding Amount `xml:"STATEWITHHOLDING,omitempty"` // State tax witholdings Penalty Amount `xml:"PENALTY,omitempty"` // Amount withheld due to penalty Inv401kSource inv401kSource `xml:"INV401KSOURCE,omitempty"` // Source of money for this transaction. One of PRETAX, AFTERTAX, MATCH, PROFITSHARING, ROLLOVER, OTHERVEST, OTHERNONVEST for 401(k) accounts. Default if not present is OTHERNONVEST. The following cash source types are subject to vesting: MATCH, PROFITSHARING, and OTHERVEST } // BuyDebt represents a transaction purchasing a debt security type BuyDebt struct { XMLName xml.Name `xml:"BUYDEBT"` InvBuy InvBuy `xml:"INVBUY"` AccrdInt Amount `xml:"ACCRDINT,omitempty"` // Accrued interest. This amount is not reflected in the field of a containing aggregate. } // TransactionType returns a string representation of this transaction's type func (t BuyDebt) TransactionType() string { return "BUYDEBT" } // BuyMF represents a transaction purchasing a mutual fund type BuyMF struct { XMLName xml.Name `xml:"BUYMF"` InvBuy InvBuy `xml:"INVBUY"` BuyType buyType `xml:"BUYTYPE"` // One of BUY, BUYTOCOVER (BUYTOCOVER used to close short sales.) RelFiTID String `xml:"RELFITID,omitempty"` // used to relate transactions associated with mutual fund exchanges } // TransactionType returns a string representation of this transaction's type func (t BuyMF) TransactionType() string { return "BUYMF" } // BuyOpt represents a transaction purchasing an option type BuyOpt struct { XMLName xml.Name `xml:"BUYOPT"` InvBuy InvBuy `xml:"INVBUY"` OptBuyType optBuyType `xml:"OPTBUYTYPE"` // type of purchase: BUYTOOPEN, BUYTOCLOSE (The BUYTOOPEN buy type is like “ordinary” buying of option and works like stocks.) ShPerCtrct Int `xml:"SHPERCTRCT"` // Shares per contract } // TransactionType returns a string representation of this transaction's type func (t BuyOpt) TransactionType() string { return "BUYOPT" } // BuyOther represents a transaction purchasing a type of security not covered // by the other Buy* structs type BuyOther struct { XMLName xml.Name `xml:"BUYOTHER"` InvBuy InvBuy `xml:"INVBUY"` } // TransactionType returns a string representation of this transaction's type func (t BuyOther) TransactionType() string { return "BUYOTHER" } // BuyStock represents a transaction purchasing stock type BuyStock struct { XMLName xml.Name `xml:"BUYSTOCK"` InvBuy InvBuy `xml:"INVBUY"` BuyType buyType `xml:"BUYTYPE"` // One of BUY, BUYTOCOVER (BUYTOCOVER used to close short sales.) } // TransactionType returns a string representation of this transaction's type func (t BuyStock) TransactionType() string { return "BUYSTOCK" } // ClosureOpt represents a transaction closing a position for an option type ClosureOpt struct { XMLName xml.Name `xml:"CLOSUREOPT"` InvTran InvTran `xml:"INVTRAN"` SecID SecurityID `xml:"SECID"` OptAction optAction `xml:"OPTACTION"` // One of EXERCISE, ASSIGN, EXPIRE. The EXERCISE action is used to close out an option that is exercised. The ASSIGN action is used when an option writer is assigned. The EXPIRE action is used when the option’s expired date is reached Units Amount `xml:"UNITS"` // For stocks, MFs, other, number of shares held. Bonds = face value. Options = number of contracts ShPerCtrct Int `xml:"SHPERCTRCT"` // Shares per contract SubAcctSec subAcctType `xml:"SUBACCTSEC"` // Sub-account type for this security. One of CASH, MARGIN, SHORT, OTHER RelFiTID String `xml:"RELFITID,omitempty"` // used to relate transactions associated with mutual fund exchanges Gain Amount `xml:"GAIN,omitempty"` // Total gain } // TransactionType returns a string representation of this transaction's type func (t ClosureOpt) TransactionType() string { return "CLOSUREOPT" } // Income represents a transaction where investment income is being realized as // cash into the investment account type Income struct { XMLName xml.Name `xml:"INCOME"` InvTran InvTran `xml:"INVTRAN"` SecID SecurityID `xml:"SECID"` IncomeType incomeType `xml:"INCOMETYPE"` // Type of investment income: CGLONG (capital gains-long term), CGSHORT (capital gains-short term), DIV (dividend), INTEREST, MISC Total Amount `xml:"TOTAL"` SubAcctSec subAcctType `xml:"SUBACCTSEC"` // Sub-account type for this security. One of CASH, MARGIN, SHORT, OTHER SubAcctFund subAcctType `xml:"SUBACCTFUND"` // Where did the money for the transaction come from or go to? CASH, MARGIN, SHORT, OTHER TaxExempt Boolean `xml:"TAXEXEMPT,omitempty"` // Tax-exempt transaction Witholding Amount `xml:"WITHHOLDING,omitempty"` // Federal tax witholdings Currency Currency `xml:"CURRENCY,omitempty"` // Represents the currency this transaction is in (instead of CURDEF in INVSTMTRS) if Valid() OrigCurrency Currency `xml:"ORIGCURRENCY,omitempty"` // Represents the currency this transaction was converted to INVSTMTRS' CURDEF from if Valid Inv401kSource inv401kSource `xml:"INV401KSOURCE,omitempty"` // Source of money for this transaction. One of PRETAX, AFTERTAX, MATCH, PROFITSHARING, ROLLOVER, OTHERVEST, OTHERNONVEST for 401(k) accounts. Default if not present is OTHERNONVEST. The following cash source types are subject to vesting: MATCH, PROFITSHARING, and OTHERVEST } // TransactionType returns a string representation of this transaction's type func (t Income) TransactionType() string { return "INCOME" } // InvExpense represents a transaction realizing an expense associated with an // investment type InvExpense struct { XMLName xml.Name `xml:"INVEXPENSE"` InvTran InvTran `xml:"INVTRAN"` SecID SecurityID `xml:"SECID"` Total Amount `xml:"TOTAL"` SubAcctSec subAcctType `xml:"SUBACCTSEC"` // Sub-account type for this security. One of CASH, MARGIN, SHORT, OTHER SubAcctFund subAcctType `xml:"SUBACCTFUND"` // Where did the money for the transaction come from or go to? CASH, MARGIN, SHORT, OTHER Currency Currency `xml:"CURRENCY,omitempty"` // Represents the currency this transaction is in (instead of CURDEF in INVSTMTRS) if Valid() OrigCurrency Currency `xml:"ORIGCURRENCY,omitempty"` // Represents the currency this transaction was converted to INVSTMTRS' CURDEF from if Valid Inv401kSource inv401kSource `xml:"INV401KSOURCE,omitempty"` // Source of money for this transaction. One of PRETAX, AFTERTAX, MATCH, PROFITSHARING, ROLLOVER, OTHERVEST, OTHERNONVEST for 401(k) accounts. Default if not present is OTHERNONVEST. The following cash source types are subject to vesting: MATCH, PROFITSHARING, and OTHERVEST } // TransactionType returns a string representation of this transaction's type func (t InvExpense) TransactionType() string { return "INVEXPENSE" } // JrnlFund represents a transaction journaling cash holdings between // sub-accounts within the same investment account type JrnlFund struct { XMLName xml.Name `xml:"JRNLFUND"` InvTran InvTran `xml:"INVTRAN"` Total Amount `xml:"TOTAL"` SubAcctFrom subAcctType `xml:"SUBACCTFROM"` // Sub-account cash is being transferred from: CASH, MARGIN, SHORT, OTHER SubAcctTo subAcctType `xml:"SUBACCTTO"` // Sub-account cash is being transferred to: CASH, MARGIN, SHORT, OTHER } // TransactionType returns a string representation of this transaction's type func (t JrnlFund) TransactionType() string { return "JRNLFUND" } // JrnlSec represents a transaction journaling security holdings between // sub-accounts within the same investment account type JrnlSec struct { XMLName xml.Name `xml:"JRNLSEC"` InvTran InvTran `xml:"INVTRAN"` SecID SecurityID `xml:"SECID"` SubAcctFrom subAcctType `xml:"SUBACCTFROM"` // Sub-account cash is being transferred from: CASH, MARGIN, SHORT, OTHER SubAcctTo subAcctType `xml:"SUBACCTTO"` // Sub-account cash is being transferred to: CASH, MARGIN, SHORT, OTHER Units Amount `xml:"UNITS"` // For stocks, MFs, other, number of shares held. Bonds = face value. Options = number of contracts } // TransactionType returns a string representation of this transaction's type func (t JrnlSec) TransactionType() string { return "JRNLSEC" } // MarginInterest represents a transaction realizing a margin interest expense type MarginInterest struct { XMLName xml.Name `xml:"MARGININTEREST"` InvTran InvTran `xml:"INVTRAN"` Total Amount `xml:"TOTAL"` SubAcctFund subAcctType `xml:"SUBACCTFUND"` // Where did the money for the transaction come from or go to? CASH, MARGIN, SHORT, OTHER Currency Currency `xml:"CURRENCY,omitempty"` // Represents the currency this transaction is in (instead of CURDEF in INVSTMTRS) if Valid() OrigCurrency Currency `xml:"ORIGCURRENCY,omitempty"` // Represents the currency this transaction was converted to INVSTMTRS' CURDEF from if Valid } // TransactionType returns a string representation of this transaction's type func (t MarginInterest) TransactionType() string { return "MARGININTEREST" } // Reinvest is a single transaction that contains both income and an investment // transaction. If servers can’t track this as a single transaction they should // return an Income transaction and an InvTran. type Reinvest struct { XMLName xml.Name `xml:"REINVEST"` InvTran InvTran `xml:"INVTRAN"` SecID SecurityID `xml:"SECID"` IncomeType incomeType `xml:"INCOMETYPE"` // Type of investment income: CGLONG (capital gains-long term), CGSHORT (capital gains-short term), DIV (dividend), INTEREST, MISC Total Amount `xml:"TOTAL"` // Transaction total. Buys, sells, etc.:((quan. * (price +/- markup/markdown)) +/-(commission + fees + load + taxes + penalty + withholding + statewithholding)). Distributions, interest, margin interest, misc. expense, etc.: amount. Return of cap: cost basis SubAcctSec subAcctType `xml:"SUBACCTSEC"` // Sub-account type for this security. One of CASH, MARGIN, SHORT, OTHER Units Amount `xml:"UNITS"` // For stocks, MFs, other, number of shares held. Bonds = face value. Options = number of contracts UnitPrice Amount `xml:"UNITPRICE"` // For stocks, MFs, other, price per share. Bonds = percentage of par. Option = premium per share of underlying security Commission Amount `xml:"COMMISSION,omitempty"` Taxes Amount `xml:"TAXES,omitempty"` Fees Amount `xml:"FEES,omitempty"` Load Amount `xml:"LOAD,omitempty"` TaxExempt Boolean `xml:"TAXEXEMPT,omitempty"` // Tax-exempt transaction Currency Currency `xml:"CURRENCY,omitempty"` // Represents the currency this transaction is in (instead of CURDEF in INVSTMTRS) if Valid() OrigCurrency Currency `xml:"ORIGCURRENCY,omitempty"` // Represents the currency this transaction was converted to INVSTMTRS' CURDEF from if Valid Inv401kSource inv401kSource `xml:"INV401KSOURCE,omitempty"` // Source of money for this transaction. One of PRETAX, AFTERTAX, MATCH, PROFITSHARING, ROLLOVER, OTHERVEST, OTHERNONVEST for 401(k) accounts. Default if not present is OTHERNONVEST. The following cash source types are subject to vesting: MATCH, PROFITSHARING, and OTHERVEST } // TransactionType returns a string representation of this transaction's type func (t Reinvest) TransactionType() string { return "REINVEST" } // RetOfCap represents a transaction where capital is being returned to the // account holder type RetOfCap struct { XMLName xml.Name `xml:"RETOFCAP"` InvTran InvTran `xml:"INVTRAN"` SecID SecurityID `xml:"SECID"` Total Amount `xml:"TOTAL"` SubAcctSec subAcctType `xml:"SUBACCTSEC"` // Sub-account type for this security. One of CASH, MARGIN, SHORT, OTHER SubAcctFund subAcctType `xml:"SUBACCTFUND"` // Where did the money for the transaction come from or go to? CASH, MARGIN, SHORT, OTHER Currency Currency `xml:"CURRENCY,omitempty"` // Represents the currency this transaction is in (instead of CURDEF in INVSTMTRS) if Valid() OrigCurrency Currency `xml:"ORIGCURRENCY,omitempty"` // Represents the currency this transaction was converted to INVSTMTRS' CURDEF from if Valid Inv401kSource inv401kSource `xml:"INV401KSOURCE,omitempty"` // Source of money for this transaction. One of PRETAX, AFTERTAX, MATCH, PROFITSHARING, ROLLOVER, OTHERVEST, OTHERNONVEST for 401(k) accounts. Default if not present is OTHERNONVEST. The following cash source types are subject to vesting: MATCH, PROFITSHARING, and OTHERVEST } // TransactionType returns a string representation of this transaction's type func (t RetOfCap) TransactionType() string { return "RETOFCAP" } // SellDebt represents the sale of a debt security. Used when debt is sold, // called, or reaches maturity. type SellDebt struct { XMLName xml.Name `xml:"SELLDEBT"` InvSell InvSell `xml:"INVSELL"` SellReason sellReason `xml:"SELLREASON"` // CALL (the debt was called), SELL (the debt was sold), MATURITY (the debt reached maturity) AccrdInt Amount `xml:"ACCRDINT,omitempty"` // Accrued interest } // TransactionType returns a string representation of this transaction's type func (t SellDebt) TransactionType() string { return "SELLDEBT" } // SellMF represents a transaction selling a mutual fund type SellMF struct { XMLName xml.Name `xml:"SELLMF"` InvSell InvSell `xml:"INVSELL"` SellType sellType `xml:"SELLTYPE"` // Type of sell. SELL, SELLSHORT AvgCostBasis Amount `xml:"AVGCOSTBASIS"` RelFiTID String `xml:"RELFITID,omitempty"` // used to relate transactions associated with mutual fund exchanges } // TransactionType returns a string representation of this transaction's type func (t SellMF) TransactionType() string { return "SELLMF" } // SellOpt represents a transaction selling an option. Depending on the value // of OptSellType, can be used to sell a previously bought option or write a // new option. type SellOpt struct { XMLName xml.Name `xml:"SELLOPT"` InvSell InvSell `xml:"INVSELL"` OptSellType optSellType `xml:"OPTSELLTYPE"` // For options, type of sell: SELLTOCLOSE, SELLTOOPEN. The SELLTOCLOSE action is selling a previously bought option. The SELLTOOPEN action is writing an option ShPerCtrct Int `xml:"SHPERCTRCT"` // Shares per contract RelFiTID String `xml:"RELFITID,omitempty"` // used to relate transactions associated with mutual fund exchanges RelType relType `xml:"RELTYPE,omitempty"` // Related option transaction type: SPREAD, STRADDLE, NONE, OTHER Secured secured `xml:"SECURED,omitempty"` // NAKED, COVERED } // TransactionType returns a string representation of this transaction's type func (t SellOpt) TransactionType() string { return "SELLOPT" } // SellOther represents a transaction selling a security type not covered by // the other Sell* structs type SellOther struct { XMLName xml.Name `xml:"SELLOTHER"` InvSell InvSell `xml:"INVSELL"` } // TransactionType returns a string representation of this transaction's type func (t SellOther) TransactionType() string { return "SELLOTHER" } // SellStock represents a transaction selling stock type SellStock struct { XMLName xml.Name `xml:"SELLSTOCK"` InvSell InvSell `xml:"INVSELL"` SellType sellType `xml:"SELLTYPE"` // Type of sell. SELL, SELLSHORT } // TransactionType returns a string representation of this transaction's type func (t SellStock) TransactionType() string { return "SELLSTOCK" } // Split represents a stock or mutual fund split type Split struct { XMLName xml.Name `xml:"SPLIT"` InvTran InvTran `xml:"INVTRAN"` SecID SecurityID `xml:"SECID"` SubAcctSec subAcctType `xml:"SUBACCTSEC"` // Sub-account type for this security. One of CASH, MARGIN, SHORT, OTHER OldUnits Amount `xml:"OLDUNITS"` // number of shares before the split NewUnits Amount `xml:"NEWUNITS"` // number of shares after the split Numerator Int `xml:"NUMERATOR"` // split ratio numerator Denominator Int `xml:"DENOMINATOR"` // split ratio denominator Currency Currency `xml:"CURRENCY,omitempty"` // Represents the currency this transaction is in (instead of CURDEF in INVSTMTRS) if Valid() OrigCurrency Currency `xml:"ORIGCURRENCY,omitempty"` // Represents the currency this transaction was converted to INVSTMTRS' CURDEF from if Valid FracCash Amount `xml:"FRACCASH,omitempty"` // cash for fractional units SubAcctFund subAcctType `xml:"SUBACCTFUND,omitempty"` // Where did the money for the transaction come from or go to? CASH, MARGIN, SHORT, OTHER Inv401kSource inv401kSource `xml:"INV401KSOURCE,omitempty"` // Source of money for this transaction. One of PRETAX, AFTERTAX, MATCH, PROFITSHARING, ROLLOVER, OTHERVEST, OTHERNONVEST for 401(k) accounts. Default if not present is OTHERNONVEST. The following cash source types are subject to vesting: MATCH, PROFITSHARING, and OTHERVEST } // TransactionType returns a string representation of this transaction's type func (t Split) TransactionType() string { return "SPLIT" } // Transfer represents the transfer of securities into or out of an account type Transfer struct { XMLName xml.Name `xml:"TRANSFER"` InvTran InvTran `xml:"INVTRAN"` SecID SecurityID `xml:"SECID"` SubAcctSec subAcctType `xml:"SUBACCTSEC"` // Sub-account type for this security. One of CASH, MARGIN, SHORT, OTHER Units Amount `xml:"UNITS"` // For stocks, MFs, other, number of shares held. Bonds = face value. Options = number of contracts TferAction tferAction `xml:"TFERACTION"` // One of IN, OUT PosType posType `xml:"POSTYPE"` // Position type. One of LONG, SHORT InvAcctFrom InvAcct `xml:"INVACCTFROM,omitempty"` AvgCostBasis Amount `xml:"AVGCOSTBASIS,omitempty"` UnitPrice Amount `xml:"UNITPRICE,omitempty"` // For stocks, MFs, other, price per share. Bonds = percentage of par. Option = premium per share of underlying security DtPurchase *Date `xml:"DTPURCHASE,omitempty"` Inv401kSource inv401kSource `xml:"INV401KSOURCE,omitempty"` // Source of money for this transaction. One of PRETAX, AFTERTAX, MATCH, PROFITSHARING, ROLLOVER, OTHERVEST, OTHERNONVEST for 401(k) accounts. Default if not present is OTHERNONVEST. The following cash source types are subject to vesting: MATCH, PROFITSHARING, and OTHERVEST } // TransactionType returns a string representation of this transaction's type func (t Transfer) TransactionType() string { return "TRANSFER" } // InvTransaction is a generic interface met by all investment transactions // (Buy*, Sell*, & co.) type InvTransaction interface { TransactionType() string } // InvBankTransaction is a banking transaction performed in an investment // account. This represents all transactions not related to securities - for // instance, funding the account using cash from another bank. type InvBankTransaction struct { XMLName xml.Name `xml:"INVBANKTRAN"` Transactions []Transaction `xml:"STMTTRN,omitempty"` SubAcctFund subAcctType `xml:"SUBACCTFUND"` // Where did the money for the transaction come from or go to? CASH, MARGIN, SHORT, OTHER } // InvTranList represents a list of investment account transactions. It // includes the date range its transactions cover, as well as the bank- and // security-related transactions themselves. It must be unmarshalled manually // due to the structure (don't know what kind of InvTransaction is coming next) type InvTranList struct { DtStart Date DtEnd Date // This is the value that should be sent as in the next InvStatementRequest to ensure that no transactions are missed InvTransactions []InvTransaction BankTransactions []InvBankTransaction } // UnmarshalXML handles unmarshalling an InvTranList element from an SGML/XML // string func (l *InvTranList) UnmarshalXML(d *xml.Decoder, start xml.StartElement) error { for { tok, err := nextNonWhitespaceToken(d) if err != nil { return err } else if end, ok := tok.(xml.EndElement); ok && end.Name.Local == start.Name.Local { // If we found the end of our starting element, we're done parsing return nil } else if startElement, ok := tok.(xml.StartElement); ok { switch startElement.Name.Local { case "DTSTART": var dtstart Date if err := d.DecodeElement(&dtstart, &startElement); err != nil { return err } l.DtStart = dtstart case "DTEND": var dtend Date if err := d.DecodeElement(&dtend, &startElement); err != nil { return err } l.DtEnd = dtend case "BUYDEBT": var tran BuyDebt if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "BUYMF": var tran BuyMF if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "BUYOPT": var tran BuyOpt if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "BUYOTHER": var tran BuyOther if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "BUYSTOCK": var tran BuyStock if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "CLOSUREOPT": var tran ClosureOpt if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "INCOME": var tran Income if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "INVEXPENSE": var tran InvExpense if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "JRNLFUND": var tran JrnlFund if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "JRNLSEC": var tran JrnlSec if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "MARGININTEREST": var tran MarginInterest if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "REINVEST": var tran Reinvest if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "RETOFCAP": var tran RetOfCap if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "SELLDEBT": var tran SellDebt if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "SELLMF": var tran SellMF if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "SELLOPT": var tran SellOpt if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "SELLOTHER": var tran SellOther if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "SELLSTOCK": var tran SellStock if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "SPLIT": var tran Split if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "TRANSFER": var tran Transfer if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.InvTransactions = append(l.InvTransactions, InvTransaction(tran)) case "INVBANKTRAN": var tran InvBankTransaction if err := d.DecodeElement(&tran, &startElement); err != nil { return err } l.BankTransactions = append(l.BankTransactions, tran) default: return errors.New("Invalid INVTRANLIST child tag: " + startElement.Name.Local) } } else { return errors.New("Didn't find an opening element") } } } // InvPosition contains generic position information included in each of the // other *Position types type InvPosition struct { XMLName xml.Name `xml:"INVPOS"` SecID SecurityID `xml:"SECID"` HeldInAcct subAcctType `xml:"HELDINACCT"` // Sub-account type, one of CASH, MARGIN, SHORT, OTHER PosType posType `xml:"POSTYPE"` // SHORT = Writer for options, Short for all others; LONG = Holder for options, Long for all others. Units Amount `xml:"UNITS"` // For stocks, MFs, other, number of shares held. Bonds = face value. Options = number of contracts UnitPrice Amount `xml:"UNITPRICE"` // For stocks, MFs, other, price per share. Bonds = percentage of par. Option = premium per share of underlying security MktVal Amount `xml:"MKTVAL"` // Market value of this position AvgCostBasis Amount `xml:"AVGCOSTBASIS,omitempty"` // DtPriceAsOf Date `xml:"DTPRICEASOF"` // Date and time of unit price and market value, and cost basis. If this date is unknown, use 19900101 as the placeholder; do not use 0, Currency *Currency `xml:"CURRENCY,omitempty"` // Overriding currency for UNITPRICE Memo String `xml:"MEMO,omitempty"` Inv401kSource inv401kSource `xml:"INV401KSOURCE,omitempty"` // One of PRETAX, AFTERTAX, MATCH, PROFITSHARING, ROLLOVER, OTHERVEST, OTHERNONVEST for 401(k) accounts. Default if not present is OTHERNONVEST. The following cash source types are subject to vesting: MATCH, PROFITSHARING, and OTHERVEST } // Position is an interface satisfied by all the other *Position types type Position interface { PositionType() string } // DebtPosition represents a position held in a debt security type DebtPosition struct { XMLName xml.Name `xml:"POSDEBT"` InvPos InvPosition `xml:"INVPOS"` } // PositionType returns a string representation of this position's type func (p DebtPosition) PositionType() string { return "POSDEBT" } // MFPosition represents a position held in a mutual fund type MFPosition struct { XMLName xml.Name `xml:"POSMF"` InvPos InvPosition `xml:"INVPOS"` UnitsStreet Amount `xml:"UNITSSTREET,omitempty"` // Units in the FI’s street name UnitsUser Amount `xml:"UNITSUSER,omitempty"` // Units in the user's name directly ReinvDiv Boolean `xml:"REINVDIV,omitempty"` // Reinvest dividends ReinvCG Boolean `xml:"REINVCG,omitempty"` // Reinvest capital gains } // PositionType returns a string representation of this position's type func (p MFPosition) PositionType() string { return "POSMF" } // OptPosition represents a position held in an option type OptPosition struct { XMLName xml.Name `xml:"POSOPT"` InvPos InvPosition `xml:"INVPOS"` Secured secured `xml:"SECURED,omitempty"` // One of NAKED, COVERED } // PositionType returns a string representation of this position's type func (p OptPosition) PositionType() string { return "POSOPT" } // OtherPosition represents a position held in a security type not covered by // the other *Position elements type OtherPosition struct { XMLName xml.Name `xml:"POSOTHER"` InvPos InvPosition `xml:"INVPOS"` } // PositionType returns a string representation of this position's type func (p OtherPosition) PositionType() string { return "POSOTHER" } // StockPosition represents a position held in a stock type StockPosition struct { XMLName xml.Name `xml:"POSSTOCK"` InvPos InvPosition `xml:"INVPOS"` UnitsStreet Amount `xml:"UNITSSTREET,omitempty"` // Units in the FI’s street name UnitsUser Amount `xml:"UNITSUSER,omitempty"` // Units in the user's name directly ReinvDiv Boolean `xml:"REINVDIV,omitempty"` // Reinvest dividends } // PositionType returns a string representation of this position's type func (p StockPosition) PositionType() string { return "POSSTOCK" } // PositionList represents a list of positions held in securities in an // investment account type PositionList []Position // UnmarshalXML handles unmarshalling a PositionList from an XML string func (p *PositionList) UnmarshalXML(d *xml.Decoder, start xml.StartElement) error { for { tok, err := nextNonWhitespaceToken(d) if err != nil { return err } else if end, ok := tok.(xml.EndElement); ok && end.Name.Local == start.Name.Local { // If we found the end of our starting element, we're done parsing return nil } else if startElement, ok := tok.(xml.StartElement); ok { switch startElement.Name.Local { case "POSDEBT": var position DebtPosition if err := d.DecodeElement(&position, &startElement); err != nil { return err } *p = append(*p, Position(position)) case "POSMF": var position MFPosition if err := d.DecodeElement(&position, &startElement); err != nil { return err } *p = append(*p, Position(position)) case "POSOPT": var position OptPosition if err := d.DecodeElement(&position, &startElement); err != nil { return err } *p = append(*p, Position(position)) case "POSOTHER": var position OtherPosition if err := d.DecodeElement(&position, &startElement); err != nil { return err } *p = append(*p, Position(position)) case "POSSTOCK": var position StockPosition if err := d.DecodeElement(&position, &startElement); err != nil { return err } *p = append(*p, Position(position)) default: return errors.New("Invalid INVPOSLIST child tag: " + startElement.Name.Local) } } else { return errors.New("Didn't find an opening element") } } } // InvBalance contains three (or optionally four) specified balances as well as // a free-form list of generic balance information which may be provided by an // FI. type InvBalance struct { XMLName xml.Name `xml:"INVBAL"` AvailCash Amount `xml:"AVAILCASH"` // Available cash across all sub-accounts, including sweep funds MarginBalance Amount `xml:"MARGINBALANCE"` // Negative means customer has borrowed funds ShortBalance Amount `xml:"SHORTBALANCE"` // Always positive, market value of all short positions BuyPower Amount `xml:"BUYPOWER, omitempty"` BalList []Balance `xml:"BALLIST>BAL,omitempty"` } // OO represents a generic open investment order. It is included in the other // OO* elements. type OO struct { XMLName xml.Name `xml:"OO"` FiTID String `xml:"FITID"` SrvrTID String `xml:"SRVRTID,omitempty"` SecID SecurityID `xml:"SECID"` DtPlaced Date `xml:"DTPLACED"` // Date the order was placed Units Amount `xml:"UNITS"` // Quantity of the security the open order is for SubAcct subAcctType `xml:"SUBACCT"` // One of CASH, MARGIN, SHORT, OTHER Duration duration `xml:"DURATION"` // How long the order is good for. One of DAY, GOODTILCANCEL, IMMEDIATE Restriction restriction `xml:"RESTRICTION"` // Special restriction on the order: One of ALLORNONE, MINUNITS, NONE MinUnits Amount `xml:"MINUNITS,omitempty"` // Minimum number of units that must be filled for the order LimitPrice Amount `xml:"LIMITPRICE,omitempty"` StopPrice Amount `xml:"STOPPRICE,omitempty"` Memo String `xml:"MEMO,omitempty"` Currency *Currency `xml:"CURRENCY,omitempty"` // Overriding currency for UNITPRICE Inv401kSource inv401kSource `xml:"INV401KSOURCE,omitempty"` // One of PRETAX, AFTERTAX, MATCH, PROFITSHARING, ROLLOVER, OTHERVEST, OTHERNONVEST for 401(k) accounts. Default if not present is OTHERNONVEST. The following cash source types are subject to vesting: MATCH, PROFITSHARING, and OTHERVEST } // OpenOrder is an interface satisfied by all the OO* elements. type OpenOrder interface { OrderType() string } // OOBuyDebt represents an open order to purchase a debt security type OOBuyDebt struct { XMLName xml.Name `xml:"OOBUYDEBT"` OO OO `xml:"OO"` Auction Boolean `xml:"AUCTION"` // whether the debt should be purchased at the auction DtAuction *Date `xml:"DTAUCTION,omitempty"` } // OrderType returns a string representation of this order's type func (o OOBuyDebt) OrderType() string { return "OOBUYDEBT" } // OOBuyMF represents an open order to purchase a mutual fund type OOBuyMF struct { XMLName xml.Name `xml:"OOBUYMF"` OO OO `xml:"OO"` BuyType buyType `xml:"BUYTYPE"` // One of BUY, BUYTOCOVER UnitType unitType `xml:"UNITTYPE"` // What the units represent: one of SHARES, CURRENCY } // OrderType returns a string representation of this order's type func (o OOBuyMF) OrderType() string { return "OOBUYMF" } // OOBuyOpt represents an open order to purchase an option type OOBuyOpt struct { XMLName xml.Name `xml:"OOBUYOPT"` OO OO `xml:"OO"` OptBuyType optBuyType `xml:"OPTBUYTYPE"` // One of BUYTOOPEN, BUYTOCLOSE } // OrderType returns a string representation of this order's type func (o OOBuyOpt) OrderType() string { return "OOBUYOPT" } // OOBuyOther represents an open order to purchase a security type not covered // by the other OOBuy* elements type OOBuyOther struct { XMLName xml.Name `xml:"OOBUYOTHER"` OO OO `xml:"OO"` UnitType unitType `xml:"UNITTYPE"` // What the units represent: one of SHARES, CURRENCY } // OrderType returns a string representation of this order's type func (o OOBuyOther) OrderType() string { return "OOBUYOTHER" } // OOBuyStock represents an open order to purchase stock type OOBuyStock struct { XMLName xml.Name `xml:"OOBUYSTOCK"` OO OO `xml:"OO"` BuyType buyType `xml:"BUYTYPE"` // One of BUY, BUYTOCOVER } // OrderType returns a string representation of this order's type func (o OOBuyStock) OrderType() string { return "OOBUYSTOCK" } // OOSellDebt represents an open order to sell a debt security type OOSellDebt struct { XMLName xml.Name `xml:"OOSELLDEBT"` OO OO `xml:"OO"` } // OrderType returns a string representation of this order's type func (o OOSellDebt) OrderType() string { return "OOSELLDEBT" } // OOSellMF represents an open order to sell a mutual fund type OOSellMF struct { XMLName xml.Name `xml:"OOSELLMF"` OO OO `xml:"OO"` SellType sellType `xml:"SELLTYPE"` // One of SELL, SELLSHORT UnitType unitType `xml:"UNITTYPE"` // What the units represent: one of SHARES, CURRENCY SellAll Boolean `xml:"SELLALL"` // Sell entire holding } // OrderType returns a string representation of this order's type func (o OOSellMF) OrderType() string { return "OOSELLMF" } // OOSellOpt represents an open order to sell an option type OOSellOpt struct { XMLName xml.Name `xml:"OOSELLOPT"` OO OO `xml:"OO"` OptSellType optSellType `xml:"OPTSELLTYPE"` // One of SELLTOOPEN, SELLTOCLOSE } // OrderType returns a string representation of this order's type func (o OOSellOpt) OrderType() string { return "OOSELLOPT" } // OOSellOther represents an open order to sell a security type not covered by // the other OOSell* elements type OOSellOther struct { XMLName xml.Name `xml:"OOSELLOTHER"` OO OO `xml:"OO"` UnitType unitType `xml:"UNITTYPE"` // What the units represent: one of SHARES, CURRENCY } // OrderType returns a string representation of this order's type func (o OOSellOther) OrderType() string { return "OOSELLOTHER" } // OOSellStock represents an open order to sell stock type OOSellStock struct { XMLName xml.Name `xml:"OOSELLSTOCK"` OO OO `xml:"OO"` SellType sellType `xml:"SELLTYPE"` // One of SELL, SELLSHORT } // OrderType returns a string representation of this order's type func (o OOSellStock) OrderType() string { return "OOSELLSTOCK" } // OOSwitchMF represents an open order to switch to or purchase a different // mutual fund type OOSwitchMF struct { XMLName xml.Name `xml:"SWITCHMF"` OO OO `xml:"OO"` SecID SecurityID `xml:"SECID"` // Security ID of the fund to switch to or purchase UnitType unitType `xml:"UNITTYPE"` // What the units represent: one of SHARES, CURRENCY SwitchAll Boolean `xml:"SWITCHALL"` // Switch entire holding } // OrderType returns a string representation of this order's type func (o OOSwitchMF) OrderType() string { return "SWITCHMF" } // OOList represents a list of open orders (OO* elements) type OOList []OpenOrder // UnmarshalXML handles unmarshalling an OOList element from an XML string func (o *OOList) UnmarshalXML(d *xml.Decoder, start xml.StartElement) error { for { tok, err := nextNonWhitespaceToken(d) if err != nil { return err } else if end, ok := tok.(xml.EndElement); ok && end.Name.Local == start.Name.Local { // If we found the end of our starting element, we're done parsing return nil } else if startElement, ok := tok.(xml.StartElement); ok { switch startElement.Name.Local { case "OOBUYDEBT": var oo OOBuyDebt if err := d.DecodeElement(&oo, &startElement); err != nil { return err } *o = append(*o, OpenOrder(oo)) case "OOBUYMF": var oo OOBuyMF if err := d.DecodeElement(&oo, &startElement); err != nil { return err } *o = append(*o, OpenOrder(oo)) case "OOBUYOPT": var oo OOBuyOpt if err := d.DecodeElement(&oo, &startElement); err != nil { return err } *o = append(*o, OpenOrder(oo)) case "OOBUYOTHER": var oo OOBuyOther if err := d.DecodeElement(&oo, &startElement); err != nil { return err } *o = append(*o, OpenOrder(oo)) case "OOBUYSTOCK": var oo OOBuyStock if err := d.DecodeElement(&oo, &startElement); err != nil { return err } *o = append(*o, OpenOrder(oo)) case "OOSELLDEBT": var oo OOSellDebt if err := d.DecodeElement(&oo, &startElement); err != nil { return err } *o = append(*o, OpenOrder(oo)) case "OOSELLMF": var oo OOSellMF if err := d.DecodeElement(&oo, &startElement); err != nil { return err } *o = append(*o, OpenOrder(oo)) case "OOSELLOPT": var oo OOSellOpt if err := d.DecodeElement(&oo, &startElement); err != nil { return err } *o = append(*o, OpenOrder(oo)) case "OOSELLOTHER": var oo OOSellOther if err := d.DecodeElement(&oo, &startElement); err != nil { return err } *o = append(*o, OpenOrder(oo)) case "OOSELLSTOCK": var oo OOSellStock if err := d.DecodeElement(&oo, &startElement); err != nil { return err } *o = append(*o, OpenOrder(oo)) case "SWITCHMF": var oo OOSwitchMF if err := d.DecodeElement(&oo, &startElement); err != nil { return err } *o = append(*o, OpenOrder(oo)) default: return errors.New("Invalid OOList child tag: " + startElement.Name.Local) } } else { return errors.New("Didn't find an opening element") } } } // ContribSecurity identifies current contribution allocation for a security in // a 401(k) account type ContribSecurity struct { XMLName xml.Name `xml:"CONTRIBSECURITY"` SecID SecurityID `xml:"SECID"` PreTaxContribPct Amount `xml:"PRETAXCONTRIBPCT,omitempty"` // Percentage of each new employee pretax contribution allocated to this security, rate. PreTaxContribAmt Amount `xml:"PRETAXCONTRIBAMT,omitempty"` // Fixed amount of each new employee pretax contribution allocated to this security, amount AfterTaxContribPct Amount `xml:"AFTERTAXCONTRIBPCT,omitempty"` // Percentage of each new employee after tax contribution allocated to this security, rate. AfterTaxContribAmt Amount `xml:"AFTERTAXCONTRIBAMT,omitempty"` // Fixed amount of each new employee pretax contribution allocated to this security, amount. MatchContribPct Amount `xml:"MATCHCONTRIBPCT,omitempty"` // Percentage of each new employer match contribution allocated to this security, rate. MatchContribAmt Amount `xml:"MATCHCONTRIBAMT,omitempty"` // Fixed amount of each new employer match contribution allocated to this security, amount. ProfitSharingContribPct Amount `xml:"PROFITSHARINGCONTRIBPCT,omitempty"` // Percentage of each new employer profit sharing contribution allocated to this security, rate. ProfitSharingContribAmt Amount `xml:"PROFITSHARINGCONTRIBAMT,omitempty"` // Fixed amount of each new employer profit sharing contribution allocated to this security, amount. RolloverContribPct Amount `xml:"ROLLOVERCONTRIBPCT,omitempty"` // Percentage of new rollover contributions allocated to this security, rate. RolloverContribAmt Amount `xml:"ROLLOVERCONTRIBAMT,omitempty"` // Fixed amount of new rollover contributions allocated to this security, amount. OtherVestPct Amount `xml:"OTHERVESTPCT,omitempty"` // Percentage of each new other employer contribution allocated to this security, rate. OtherVestAmt Amount `xml:"OTHERVESTAMT,omitempty"` // Fixed amount of each new other employer contribution allocated to this security, amount. OtherNonVestPct Amount `xml:"OTHERNONVESTPCT,omitempty"` // Percentage of each new other employee contribution allocated to this security, rate. OtherNonVestAmt Amount `xml:"OTHERNONVESTAMT,omitempty"` // Fixed amount of each new other employee contribution allocated to this security, amount } // VestInfo provides the vesting percentage of a 401(k) account as of a // particular date (past, present, or future) type VestInfo struct { XMLName xml.Name `xml:"VESTINFO"` VestDate *Date `xml:"VESTDATE,omitempty"` // Date at which vesting percentage changes. Default (if empty) is that the vesting percentage below applies to the current date VestPct Amount `xml:"VESTPCT"` } // LoanInfo represents a loan outstanding against this 401(k) account type LoanInfo struct { XMLName xml.Name `xml:"VESTINFO"` LoanID String `xml:"LOANID"` // Identifier of this loan LoanDesc String `xml:"LOANDESC,omitempty"` // Loan description InitialLoanBal Amount `xml:"INITIALLOANBAL,omitempty"` // Initial loan balance LoanStartDate *Date `xml:"LOANSTARTDATE,omitempty"` // Start date of loan CurrentLoanBal Amount `xml:"CURRENTLOANBAL"` // Current loan principal balance DtAsOf *Date `xml:"DTASOF"` // Date and time of the current loan balance LoanRate Amount `xml:"LOANRATE,omitempty"` // Loan annual interest rate LoanPmtAmt Amount `xml:"LOANPMTAMT,omitempty"` // Loan payment amount LoanPmtFreq loanPmtFreq `xml:"LOANPMTFREQ,omitempty"` // Frequency of loan repayments: WEEKLY, BIWEEKLY, TWICEMONTHLY, MONTHLY, FOURWEEKS, BIMONTHLY, QUARTERLY, SEMIANNUALLY, ANNUALLY, OTHER. See section 10.2.1 for calculation rules. LoanPmtsInitial Int `xml:"LOANPMTSINITIAL,omitempty"` // Initial number of loan payments. LoanPmtsRemaining Int `xml:"LOANPMTSREMAINING,omitempty"` // Remaining number of loan payments LoanMaturityDate *Date `xml:"LOANMATURITYDATE,omitempty"` // Expected loan end date LoanTotalProjInterest Amount `xml:"LOANTOTALPROJINTEREST,omitempty"` // Total projected interest to be paid on this loan LoanInterestToDate Amount `xml:"LOANINTERESTTODATE,omitempty"` // Total interested paid to date on this loan LoanExtPmtDate *Date `xml:"LOANNEXTPMTDATE,omitempty"` // Next payment due date } // Inv401KSummaryAggregate represents the total of either contributions, // withdrawals, or earnings made in each contribution type in a given period // (dates specified in a containing Inv401KSummaryPeriod) type Inv401KSummaryAggregate struct { XMLName xml.Name // One of CONTRIBUTIONS, WITHDRAWALS, EARNINGS PreTax Amount `xml:"PRETAX,omitempty"` // Pretax contributions, withdrawals, or earlings. AfterTax Amount `xml:"AFTERTAX,omitempty"` // After tax contributions, withdrawals, or earlings. Match Amount `xml:"MATCH,omitempty"` // Employer matching contributions, withdrawals, or earlings. ProfitSharing Amount `xml:"PROFITSHARING,omitempty"` // Profit sharing contributions, withdrawals, or earlings. Rollover Amount `xml:"ROLLOVER,omitempty"` // Rollover contributions, withdrawals, or earlings. OtherVest Amount `xml:"OTHERVEST,omitempty"` // Other vesting contributions, withdrawals, or earlings. OtherNonVest Amount `xml:"OTHERNONVEST,omitempty"` // Other non-vesting contributions, withdrawals, or earlings. Total Amount `xml:"TOTAL"` // Sum of contributions, withdrawals, or earlings from all fund sources. } // Inv401KSummaryPeriod contains the total contributions, withdrawals, and // earnings made in the given date range type Inv401KSummaryPeriod struct { XMLName xml.Name // One of YEARTODATE, INCEPTODATE, or PERIODTODATE DtStart Date `xml:"DTSTART"` DtEnd Date `xml:"DTEND"` Contributions *Inv401KSummaryAggregate `xml:"CONTRIBUTIONS,omitempty"` // 401(k) contribution aggregate. Note: this includes loan payments. Withdrawls *Inv401KSummaryAggregate `xml:"WITHDRAWLS,omitempty"` // 401(k) withdrawals aggregate. Note: this includes loan withdrawals. Earnings *Inv401KSummaryAggregate `xml:"EARNINGS,omitempty"` // 401(k) earnings aggregate. This is the market value change. It includes dividends/interest, and capital gains - realized and unrealized. } // Inv401K is included in InvStatementResponse for 401(k) accounts and provides // a summary of the 401(k) specific information about the user's account. type Inv401K struct { XMLName xml.Name `xml:"INV401K"` EmployerName String `xml:"EMPLOYERNAME"` PlanID String `xml:"PLANID,omitempty"` // Plan number PlanJoinDate *Date `xml:"PLANJOINDATE,omitempty"` // Date the employee joined the plan EmployerContactInfo String `xml:"EMPLOYERCONTACTINFO,omitempty"` // Name of contact person at employer, plus any available contact information, such as phone number BrokerContactInfo String `xml:"BROKERCONTACTINFO,omitempty"` // Name of contact person at broker, plus any available contact information, such as phone number DeferPctPreTax Amount `xml:"DEFERPCTPRETAX,omitempty"` // Percent of employee salary deferred before tax DeferPctAfterTax Amount `xml:"DEFERPCTAFTERTAX,omitempty"` // Percent of employee salary deferred after tax // Aggregate containing employer match information. Absent if employer does not contribute matching funds. MatchPct Amount `xml:"MATCHINFO>MATCHPCT,omitempty"` // Percent of employee contribution matched, e.g., 75% if contribution rate is $0.75/$1.00 MaxMatchAmt Amount `xml:"MATCHINFO>MAXMATCHAMT,omitempty"` // Maximum employer contribution amount in any year MaxMatchPct Amount `xml:"MATCHINFO>MAXMATCHPCT,omitempty"` // Current maximum employer contribution percentage. Maximum match in a year is MAXMATCHPCT up to the MAXMATCHAMT, if provided StartOfYear *Date `xml:"MATCHINFO>STARTOFYEAR,omitempty"` // Specifies when the employer contribution max is reset. Some plans have a maximum based on the company fiscal year rather than calendar year. Assume calendar year if omitted. Only the month and day (MMDD) are used; year (YYYY) and time are ignored BaseMatchAmt Amount `xml:"MATCHINFO>BASEMATCHAMT"` // Specifies a fixed dollar amount contributed by the employer if the employee participates in the plan at all. This may be present in addition to the . $0 if omitted BaseMatchPct Amount `xml:"MATCHINFO>BASEMATCHPCT"` // Specifies a fixed percent of employee salary matched if the employee participates in the plan at all. This may be present in addition to the MATCHPCT>. 0% if omitted. Base match in a year is BASEMATCHPCT up to the BASEMATCHAMT,if provided ContribInfo []ContribSecurity `xml:"CONTRIBINTO>CONTRIBSECURITY"` // Aggregate to describe how new contributions are distributed among the available securities. CurrentVestPct Amount `xml:"CURRENTVESTPCT,omitempty"` // Estimated percentage of employer contributions vested as of the current date. If omitted, assume 100% VestInfo []VestInfo `xml:"VESTINFO,omitempty"` // Vest change dates. Provides the vesting percentage as of any particular past, current, or future date. 0 or more. LoanInfo []LoanInfo `xml:"LOANINFO,omitempty"` // List of any loans outstanding against this account YearToDateSummary Inv401KSummaryPeriod `xml:"INV401KSUMMARY>YEARTODATE"` // Contributions to date for this calendar year. InceptToDateSummary *Inv401KSummaryPeriod `xml:"INV401KSUMMARY>INCEPTODATE,omitempty"` // Total contributions to date (since inception) PeriodToDate *Inv401KSummaryPeriod `xml:"INV401KSUMMARY>PERIODTODATE,omitempty"` // Total contributions this contribution period } // Inv401KBal provides the balances for different 401(k) subaccount types, as // well as the total cash value of the securities held type Inv401KBal struct { XMLName xml.Name `xml:"INV401KBAL"` CashBal Amount `xml:"CASHBAL,omitempty"` // Available cash balance PreTax Amount `xml:"PRETAX,omitempty"` // Current value of all securities purchased with Before Tax Employee contributions AfterTax Amount `xml:"AFTERTAX,omitempty"` // Current value of all securities purchased with After Tax Employee contributions Match Amount `xml:"MATCH,omitempty"` // Current value of all securities purchased with Employer Match contributions ProfitSharing Amount `xml:"PROFITSHARING,omitempty"` // Current value of all securities purchased with Employer Profit Sharing contributions Rollover Amount `xml:"ROLLOVER,omitempty"` // Current value of all securities purchased with Rollover contributions OtherVest Amount `xml:"OTHERVEST,omitempty"` // Current value of all securities purchased with Other (vesting) Employer contributions OtherNonVest Amount `xml:"OTHERNONVEST,omitempty"` // Current value of all securities purchased with Other (non-vesting) Employer contributions Total Amount `xml:"TOTAL"` // Current value of all securities purchased with all contributions BalList []Balance `xml:"BALLIST>BAL,omitempty"` } // InvStatementResponse includes requested transaction, position, open order, // and balance information for an investment account. It is in response to an // InvStatementRequest or sometimes provided as part of an OFX file downloaded // manually from an FI. type InvStatementResponse struct { XMLName xml.Name `xml:"INVSTMTTRNRS"` TrnUID UID `xml:"TRNUID"` Status Status `xml:"STATUS"` CltCookie String `xml:"CLTCOOKIE,omitempty"` // TODO `xml:"OFXEXTENSION,omitempty"` DtAsOf Date `xml:"INVSTMTRS>DTASOF"` CurDef CurrSymbol `xml:"INVSTMTRS>CURDEF"` InvAcctFrom InvAcct `xml:"INVSTMTRS>INVACCTFROM"` InvTranList *InvTranList `xml:"INVSTMTRS>INVTRANLIST,omitempty"` InvPosList PositionList `xml:"INVSTMTRS>INVPOSLIST,omitempty"` InvBal *InvBalance `xml:"INVSTMTRS>INVBAL,omitempty"` InvOOList OOList `xml:"INVSTMTRS>INVOOLIST,omitempty"` MktgInfo String `xml:"INVSTMTRS>MKTGINFO,omitempty"` // Marketing information Inv401K *Inv401K `xml:"INVSTMTRS>INV401K,omitempty"` Inv401KBal *Inv401KBal `xml:"INVSTMTRS>INV401KBAL,omitempty"` } // Name returns the name of the top-level transaction XML/SGML element func (sr *InvStatementResponse) Name() string { return "INVSTMTTRNRS" } // Valid returns (true, nil) if this struct was valid OFX when unmarshalled func (sr *InvStatementResponse) Valid(version ofxVersion) (bool, error) { if ok, err := sr.TrnUID.Valid(); !ok { return false, err } //TODO implement return true, nil } // Type returns which message set this message belongs to (which Response // element of type []Message it belongs to) func (sr *InvStatementResponse) Type() messageType { return InvStmtRs }