XigniteFunds v1 ProductOverview
This is a legacy product. A newer version of this service is now available.
U.S. Mutual Funds Net Asset Value (NAV) API
This API offers Net Asset Value (NAV) data for U.S. mutual funds. NAV data is updated on a daily end-of-day basis. Use XigniteFunds to get accurate daily mutual fund prices and mutual fund values for the pricing of investment portfolios and research and analysis of mutual fund performances.
Key Features
- Historical mutual fund values (NAV) data going back to 1994
- Mutual fund identification by symbol, CIK, CUSIP, ISIN, or Valoren (where available)
- Mutual fund NAV data for one or more mutual funds per request
- Dividend-adjusted or unadjusted mutual fund values (NAV)
- Daily, historical time series or period (weeks, months, years) mutual fund NAV data
- Dividend history by mutual fund
- Market statistics such as mutual fund top gainers and top losers
Key Benefits
- Easy-to-use API to obtain historical and end-of-day mutual fund values (NAV) data
- Access institutional quality, curated data from a trusted source
- Use a single easy-to-use API to obtain comprehensive mutual fund prices
- Easily embed mutual fund (NAV) and prices in your applications--including spreadsheets, websites, mobile apps and other corporate applications
- Dramatically reduce time to market for apps that need mutual fund prices
- Eliminate the pains and complexity of legacy mutual fund feeds by using cloud API
Data Coverage At-A-Glance
- Asset Classes: U.S. Open Ended Mutual Funds
- Exchange Covered: As reported in the NASDAQ OMX MFDS service
Key Data Points
- Security: Name, CIK, symbol, ISIN, Valoren, market, Industry
- Mutual Fund data: Last, last close, open, change from open, percent change from open, change from last close, percent change from last close
- Periods: Day, week, month, quarter, year