API directory
- API directory
- Defaults for bonds and eurobonds
get_emission_default
Data transfer format
wsdl
https://ws.cbonds.info/services/wsdl/demo/ sample url: https://ws.cbonds.info/services/wsdl/get_emission_default/?lang=eng
json
https://ws.cbonds.info/services/json/demo/ sample url: https://ws.cbonds.info/services/json/get_emission_default/?lang=eng
Main fields
Name | Data type | Commentary | |
---|---|---|---|
id filtration sorting | ID | int | |
emission_id filtration sorting | Issue (id) | int | get_emissions |
actual_date | Actual payment date | date | The date is filled in the case of fulfillment of the obligation by the issuer after the planned date of performance of the obligation |
default_date filtration sorting | End of grace period | date | Date is calculated according to the issue documentation |
status_id | Default status (id) | int | 1 - Default, 2 - Technical default, 3 - Repurchase technical default, 4 - Non-execution of put option |
type_id | Obligation type (id) | int | get_default_types |
Additional fields
Name | Data type | Commentary | |
---|---|---|---|
emission_isin_code filtration | ISIN code | string | |
estimated_date filtration sorting | Scheduled payment date | date | The end date of the coupon period, the maturity date or the date of the offer (depending on the type of event for which the obligation was not fulfilled) |
more_info_rus | Additional information (rus) | string | |
more_info_eng | Additional information (eng) | string | |
more_info_pol | Additional information (pol) | string | |
more_info_ita | Additional information (ita) | string |