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QuantConnect.Data.Fundamental.GainLossOnSaleOfPPECashFlowStatement Class Reference

The difference between the sale price or salvage price and the book value of the property, plant and equipment that was sold or retired during the reporting PeriodAsByte. Includes the amount received from selling any fixed assets such as property, plant and equipment. Usually this section also includes any retirement of equipment. Such as Sale of business segments; Sale of credit and receivables; Property disposition; Proceeds from sale or disposition of business or investment; Decrease in excess of purchase price over acquired net assets; Abandoned project (expenditures) credit; Allowances for other funds during construction. More...

Inheritance diagram for QuantConnect.Data.Fundamental.GainLossOnSaleOfPPECashFlowStatement:
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Public Member Functions

override IReadOnlyDictionary< string, double > GetPeriodValues ()
 Gets a dictionary of period names and values for the field More...
 
override double GetPeriodValue (string period)
 Gets the value of the field for the requested period More...
 
 GainLossOnSaleOfPPECashFlowStatement ()
 Creates a new empty instance More...
 
 GainLossOnSaleOfPPECashFlowStatement (ITimeProvider timeProvider, SecurityIdentifier securityIdentifier)
 Creates a new instance for the given time and security More...
 
- Public Member Functions inherited from QuantConnect.Data.Fundamental.MultiPeriodField< T >
virtual bool HasPeriodValue (string period)
 Returns true if the field contains a value for the requested period More...
 
IEnumerable< string > GetPeriodNames ()
 Gets the list of available period names for the field More...
 
bool HasValues ()
 Returns true if the field has at least one value for one period More...
 
override string ToString ()
 Returns a string that represents the current object. More...
 

Public Attributes

double OneMonth => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_CashFlowStatement_GainLossOnSaleOfPPE_OneMonth)
 Gets/sets the OneMonth period value for the field More...
 
double TwoMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_CashFlowStatement_GainLossOnSaleOfPPE_TwoMonths)
 Gets/sets the TwoMonths period value for the field More...
 
double ThreeMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_CashFlowStatement_GainLossOnSaleOfPPE_ThreeMonths)
 Gets/sets the ThreeMonths period value for the field More...
 
double SixMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_CashFlowStatement_GainLossOnSaleOfPPE_SixMonths)
 Gets/sets the SixMonths period value for the field More...
 
double NineMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_CashFlowStatement_GainLossOnSaleOfPPE_NineMonths)
 Gets/sets the NineMonths period value for the field More...
 
double TwelveMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_CashFlowStatement_GainLossOnSaleOfPPE_TwelveMonths)
 Gets/sets the TwelveMonths period value for the field More...
 
override bool HasValue => !BaseFundamentalDataProvider.IsNone(typeof(double), FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_CashFlowStatement_GainLossOnSaleOfPPE_TwelveMonths))
 Returns true if the field contains a value for the default period More...
 
- Public Attributes inherited from QuantConnect.Data.Fundamental.MultiPeriodField< T >
virtual T Value => GetPeriodValues().Select(x => x.Value).DefaultIfEmpty(NoValue).FirstOrDefault()
 Returns the default value for the field More...
 

Protected Attributes

override string DefaultPeriod => "TwelveMonths"
 The default period More...
 

Properties

override double Value [get]
 Returns the default value for the field More...
 
- Properties inherited from QuantConnect.Data.Fundamental.MultiPeriodField< T >
static T NoValue = BaseFundamentalDataProvider.GetDefault<T>() [get]
 No Value More...
 
ITimeProvider TimeProvider [get]
 The time provider instance to use More...
 
abstract string DefaultPeriod [get]
 The default period More...
 
SecurityIdentifier SecurityIdentifier [get, set]
 The target security identifier More...
 
abstract bool HasValue [get]
 Returns true if the field contains a value for the default period More...
 

Additional Inherited Members

- Static Public Member Functions inherited from QuantConnect.Data.Fundamental.MultiPeriodField< T >
static implicit operator T (MultiPeriodField< T > instance)
 Returns the default value for the field More...
 
static implicit operator decimal (MultiPeriodField instance)
 Returns the default value for the field More...
 
- Protected Member Functions inherited from QuantConnect.Data.Fundamental.MultiPeriodField< T >
 MultiPeriodField ()
 Creates an empty instance More...
 
 MultiPeriodField (ITimeProvider timeProvider, SecurityIdentifier securityIdentifier)
 Creates a new instance More...
 
string ConvertPeriod (string period)
 Returns a string that represents the current object. More...
 
 MultiPeriodField ()
 Creates an empty instance More...
 
 MultiPeriodField (ITimeProvider timeProvider, SecurityIdentifier securityIdentifier)
 Creates a new instance More...
 

Detailed Description

The difference between the sale price or salvage price and the book value of the property, plant and equipment that was sold or retired during the reporting PeriodAsByte. Includes the amount received from selling any fixed assets such as property, plant and equipment. Usually this section also includes any retirement of equipment. Such as Sale of business segments; Sale of credit and receivables; Property disposition; Proceeds from sale or disposition of business or investment; Decrease in excess of purchase price over acquired net assets; Abandoned project (expenditures) credit; Allowances for other funds during construction.

Definition at line 29 of file GainLossOnSaleOfPPECashFlowStatement.cs.

Constructor & Destructor Documentation

◆ GainLossOnSaleOfPPECashFlowStatement() [1/2]

QuantConnect.Data.Fundamental.GainLossOnSaleOfPPECashFlowStatement.GainLossOnSaleOfPPECashFlowStatement ( )

Creates a new empty instance

Definition at line 120 of file GainLossOnSaleOfPPECashFlowStatement.cs.

◆ GainLossOnSaleOfPPECashFlowStatement() [2/2]

QuantConnect.Data.Fundamental.GainLossOnSaleOfPPECashFlowStatement.GainLossOnSaleOfPPECashFlowStatement ( ITimeProvider  timeProvider,
SecurityIdentifier  securityIdentifier 
)

Creates a new instance for the given time and security

Definition at line 127 of file GainLossOnSaleOfPPECashFlowStatement.cs.

Member Function Documentation

◆ GetPeriodValues()

override IReadOnlyDictionary<string, double> QuantConnect.Data.Fundamental.GainLossOnSaleOfPPECashFlowStatement.GetPeriodValues ( )
virtual

Gets a dictionary of period names and values for the field

Returns
The dictionary of period names and values

Implements QuantConnect.Data.Fundamental.MultiPeriodField< T >.

Definition at line 97 of file GainLossOnSaleOfPPECashFlowStatement.cs.

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◆ GetPeriodValue()

override double QuantConnect.Data.Fundamental.GainLossOnSaleOfPPECashFlowStatement.GetPeriodValue ( string  period)
virtual

Gets the value of the field for the requested period

Parameters
periodThe requested period
Returns
The value for the period

Implements QuantConnect.Data.Fundamental.MultiPeriodField< T >.

Member Data Documentation

◆ DefaultPeriod

override string QuantConnect.Data.Fundamental.GainLossOnSaleOfPPECashFlowStatement.DefaultPeriod => "TwelveMonths"
protected

The default period

Definition at line 34 of file GainLossOnSaleOfPPECashFlowStatement.cs.

◆ OneMonth

double QuantConnect.Data.Fundamental.GainLossOnSaleOfPPECashFlowStatement.OneMonth => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_CashFlowStatement_GainLossOnSaleOfPPE_OneMonth)

Gets/sets the OneMonth period value for the field

Definition at line 40 of file GainLossOnSaleOfPPECashFlowStatement.cs.

◆ TwoMonths

double QuantConnect.Data.Fundamental.GainLossOnSaleOfPPECashFlowStatement.TwoMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_CashFlowStatement_GainLossOnSaleOfPPE_TwoMonths)

Gets/sets the TwoMonths period value for the field

Definition at line 46 of file GainLossOnSaleOfPPECashFlowStatement.cs.

◆ ThreeMonths

double QuantConnect.Data.Fundamental.GainLossOnSaleOfPPECashFlowStatement.ThreeMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_CashFlowStatement_GainLossOnSaleOfPPE_ThreeMonths)

Gets/sets the ThreeMonths period value for the field

Definition at line 52 of file GainLossOnSaleOfPPECashFlowStatement.cs.

◆ SixMonths

double QuantConnect.Data.Fundamental.GainLossOnSaleOfPPECashFlowStatement.SixMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_CashFlowStatement_GainLossOnSaleOfPPE_SixMonths)

Gets/sets the SixMonths period value for the field

Definition at line 58 of file GainLossOnSaleOfPPECashFlowStatement.cs.

◆ NineMonths

double QuantConnect.Data.Fundamental.GainLossOnSaleOfPPECashFlowStatement.NineMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_CashFlowStatement_GainLossOnSaleOfPPE_NineMonths)

Gets/sets the NineMonths period value for the field

Definition at line 64 of file GainLossOnSaleOfPPECashFlowStatement.cs.

◆ TwelveMonths

double QuantConnect.Data.Fundamental.GainLossOnSaleOfPPECashFlowStatement.TwelveMonths => FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_CashFlowStatement_GainLossOnSaleOfPPE_TwelveMonths)

Gets/sets the TwelveMonths period value for the field

Definition at line 70 of file GainLossOnSaleOfPPECashFlowStatement.cs.

◆ HasValue

override bool QuantConnect.Data.Fundamental.GainLossOnSaleOfPPECashFlowStatement.HasValue => !BaseFundamentalDataProvider.IsNone(typeof(double), FundamentalService.Get<double>(TimeProvider.GetUtcNow(), SecurityIdentifier, FundamentalProperty.FinancialStatements_CashFlowStatement_GainLossOnSaleOfPPE_TwelveMonths))

Returns true if the field contains a value for the default period

Definition at line 75 of file GainLossOnSaleOfPPECashFlowStatement.cs.

Property Documentation

◆ Value

override double QuantConnect.Data.Fundamental.GainLossOnSaleOfPPECashFlowStatement.Value
get

Returns the default value for the field

Definition at line 81 of file GainLossOnSaleOfPPECashFlowStatement.cs.


The documentation for this class was generated from the following file: