(3) | a (129) | A (11) | b (64) | B (3) | c (132) | C (41) | d (52) | D (5) | e (81) | E (1) | f (92) | F (11) | g (59) | G (2) | h (10) | i (100) | I (11) | j (8) | J (2) | k (4) | K (1) | l (46) | L (5) | m (37) | M (8) | n (49) | N (1) | o (47) | O (1) | p (132) | P (12) | q (12) | r (99) | R (2) | s (140) | S (11) | t (120) | T (3) | u (34) | U (8) | v (8) | V (3) | w (9) | x (5) | X (1) | y (8) | Y (1)
Titlesort ascending Data Type (L)
rvpi Ratio Residual Value to Paid in Capital life to date. Residual Value is Book Capital. string
rule5131Percent

Conditionally required field when the FINRA_5131 flag is enabled.

number
rule5131CompanyName

Company adhering to FINRA Rule 5131.

string(100)
rule5131

FINRA 5131 Status for the Investor as indicated on the subscription document. Value options are &#039 Yes&#039 , &#039 No&#039 , &#039 N/A&#039 or blank. The percentage of investor&#039 s assets that are subject to FINRA regulation.

string(30)
rule5130Percent

Investor&#039 s Percentage of beneficial Interest in regard to FINRA 5130. FINRA rule 5130 prohibits FINRA members from selling new issues to any account in which “restricted persons” have a beneficial interest. 

number(8)
rule51305131ExemptedStatus

FINRA 5130/5131 exempted entity status. Value options are: &#039 Yes&#039 , &#039 No&#039 , &#039 N/A&#039 or blank.

string
rule5130

FINRA 5130 Status for the Investor as indicated on the subscription document. A full list of FINRA Rule 5130 types can be obtained through the Lists API.

string(30)
rule45Required

CFTC Rule 4.7 Classification: Relies upon the exclusion under CFTC Rule 4.5 and has filed a notice claiming this exclusion with the NFA.* (For example, registered investment companies may rely upon this exclusion.).

boolean
rule45NotRequired

CFTC Rule 4.7 Classification: Relies upon the exclusion under CFTC Rule 4.5 and is not required to file a notice claiming this exclusion with the NFA. (For example, certain pension plans may rely upon this exclusion.).

boolean
rule413Exempt

CFTC Rule 4.7 Classification: Relies upon an exemption from registration under CFTC Rule 4.13 (e.g., the 4.13(a)(3) &quot de minimis exemption&quot ) and has filed a notice claiming this exemption with the NFA.

boolean
rule310Exempt

Each of the Investor, its operator and each direct and indirect beneficial owner of the Investor is a person located outside the United States and the Investor is exempt from registering with the CFTC under CFTC Rule 3.10(c)(3).&quot

boolean
ror

Net or Gross rate of return, depending on the calculation style.

number
rollingRateOfReturn

The Rate of return as per rolling time periods

object
roles

The name and description of the roles assigned to the user in the SEI application.

object
roles

The name and description of the roles assigned to the user in the SEI application.

object
rolePermissions

An enumerated list where values are 'true' or 'false'.

object
rolePermissions

An enumerated list where values are &#039 true&#039 or &#039 false&#039 .

object
roleName

The role name(s) associated with the user.

string
riskRating

Indicates the investment risk rating of the account. It can be a value from 0 to 99. A value of 0 means the risk is not rated or specified. Value 1 is the lowest risk (most conservative) and value 99 is the highest risk (most aggressive).

string
riskCurrencyIsoCode

The issue currency of an international investment repackaged for trade in a local currency.

string
riskCounrtryIsoCode

Client specific Country whose credit rating would impact the risk rating of the security.

string
reviewApprove

An enumerated list where values are 'true' or 'false'.

boolean
reviewApprove

An enumerated list where values are &#039 true&#039 or &#039 false&#039 .

boolean
reverseSolicitCert

Indicates the investor&#039 s AIFMD reverse solicitation status. Value options are &#039 Yes&#039 , &#039 No&#039 or blank.

string
returnType

The type of performance (gross, net, etc.) which is being returned based on the return type parameter.

string
resultCount

Total results returned on the page.

string
result

Delete confirmation message.

string
result

Delete confirmation message.

string
responseObject

Where the API response is dynamic, the fields and objects in the response may vary based on your request parameters.

string
required

This represents whether a particular parameter is mandatory or not.

string
requestType

One of three values that determine the kit which drives the process and form details that will need to be completed (i.e., 'New Subscription'). The other fields are channel and productName.

string
requestType

One of three values that determine the kit which drives the process and form details that will need to be completed (i.e., 'New Subscription'). The other fields are channel and productName.

string
requestParameters

Pre configured report parameters are preset. 

string
requestor

A person or system who initiated the request (aka user, systemUser etc)

string
requestname

Name of the report as desired by the requester

string
requestId

The unique identifer generated by the system to identify each request uniquely. 

string
requestDescTypeId string
reports

This represents the list of all the reports and the associated parameters that are accessible to the requestor for making a report request

string
reportName

The name of the report

string
reportingPeriod

The reporting period with valid values Daily, Weekly, Monthly and Quarterly. This mandatory query parameter is used only in a request to retrieve a limited set of positions data.

string
reportingPeriod

The reporting period with valid values Daily, Weekly, Monthly and Quarterly. This mandatory query parameter is used only in a request to retrieve a limited set of positions data.

string
reportId

The SEI code that identifies a report uniquely

string
reportFileExtension

The format in which the report response will be delivered. This will depend on the requested format made by the user. 

string
reportDataTypeName

Report data type for investment positions, such as Closed or Daily.

string
reportDataType

Report data type for investment positions, such as Closed or Daily.

string
repatriateIncome

Indicates whether income is repatriated.

string
releaseInvestCashImmediately

This flag accepts either true or false value to release invested cash.

string
relationshipType

Identifies the relationship between the investor and a particular contact.

string
relationshipType

Identifies the relationship between the investor and a particular contact.

string
relationshipStatus string
relationshipExternalId

Business identifier for the third party relationship recognized by an external system or application. Many times the relationship external id is used to synchronize SEI sourced data with another data source for the same record. This field is not required to be unique.

string(30)
relationshipAccountNumber

Unique identifier for Third Party Relationship

varchar
relatedSecurityIdentifier

Identifies security instruments (2=ISIN, 4= Ticker, 5=CUSIP, 11=SEDOL, 22=Firm_Asset_Id).

string
relatedSecurityDetails

This node comes under OptionalInstructions and is optional and its eligible for Memo Post , Ad-hoc and some scenario in recurring.

RelatedSecurityDetails
relatedSecurity

The security identifier code of an asset. It must be of the type specified in above relatedSecurityIdentifier.

string
relatedRelationshipType

Identifies the relationship between the investor and this particular third party

string
relatedContactRelationshipTypeValue

Type of related contact relationship.

string
relatedBroker

Name of the broker the financial advisor is associated with. A relatedBroker is optional.

string (200)
rel

The name of a link returned by the href URL. This is immutable.

string
regularBreakPeriodFrequency

Accounting period valuation frequency for the product. Typically monthly or quarterly. A full list can be obtained through the Lists API.

string
registration

Identifies the product is subject to FATCA/CRS registration.

boolean
registeredFundName

Identifies the name of the registered fund.

string(100)
registeredFundAffiliatedPerson

Indicates if investor is a registered fund affiliated person. Value options are &#039 Yes&#039 , &#039 No&#039 or blank.

string(1)
registeredFundAck

Indicates if investor is a registered fund. Value options are &#039 Yes&#039 , &#039 No&#039 or blank.

string(1)
region

The region of the world associated with the calendar with the options being (Africa, Americas, Asia, Europe, Global and Middle East).

string
regExemptCpo

Status of the CPO as indicated on the subscription document. Value options are &#039 Exempt&#039 , &#039 Registered&#039 or blank.

string(30)
regDDesc

Describes the nature of the Regulation D status.

string(250)
regDBadActor

Indicates if the investor qualifies for Regulation D Bad Actor status. Value options are &#039 Yes&#039 , &#039 No&#039 or blank.

string(3)
refundedDate

Date on which the bond will be refunded. The date of refunding will usually be the first callable date of the bonds.

string
refresh_token_expires_in

This is the expiration in seconds of the refresh token.

string
refresh_count

The number of times the token has been refreshed.

string
referredAccount

Indicates if this is a referred account.

string
referenceId

Reference Id is optional and its eligible for Memo Post , Ad –hoc and some scenario in recurring

string
referenceComment

Reference Comment is optional and its eligible for Memo Post , Ad –hoc and some scenario in recurring

string
referenceCode

The Reference Entity Database code of the investment (MARKIT RED Code).

string
reference

Free text notes on a payment, used for any purpose, but does not impact workflow

string
reference

Free text notes on a payment, used for any purpose, but does not impact workflow

string
redemptions

The total redemptions for the reporting period.

number
redemptionFee

Redemption fee amount.

number(9)
recurring

The recurring having scheduled recurring event which can occur daily, weekly or monthly.

Recurring
recordDate

Transactional date of record

string
reclaim

The reclaim amount of a particular transaction.

number
receivedDateStart

Received date for the record in ISO 8601 UTC format. Can be used to target records received on, since or between specified datetime.

string
receivedDateEnd

Received date for the record in ISO 8601 UTC format. Can be used to target records received on, since or between specified datetime.

string
receivedDate

Date an opportunity was received in SEI Trade workflow.

string
receiptType

Receipt Type – For BACS[Direct Debit =2 , Direct Credit = 1] For ACH[Direct Deposit = 1, Direct Payment = 2]

string
receiptPpmCountryIsoCode

Identifies the country the Private Placement Memorandum &quot PPM&quot was received in ISO 3166-1 alpha-2 code format.

string
receiptMethod

The code associated with payment method in cash receipt (ACH=1, Wire=2, CHECK=3, BACS=5, CHAPS via SWIFT = 6, SWIFT = 7)

string
receiptInstructions

Receipt Instructions for the cash receipt input details.

ReceiptInstructions
receiptAmountType

Receipt amount type can be “Gross Value = 1, Unknown = 4”.

string
receiptAmount

The receipt amount is received into the portfolio. And this can take decimal value.

string
rebalancePrice

Actual price used to generate the trade in APL

string
reasonCodeComments

Reason Code Comments is optional and its eligible for Memo Post , Ad –hoc and some scenario in recurring.

string
reasonCode

Reason Code is optional and its eligible for Memo Post , Ad –hoc and some scenario in recurring. Possible values[SEI-Transfer - Nostro Err = 84, SEI-System Issue = 10, SEI-Reebook Original Posted on Time = 15, SEI-Other = 13, SEI-Account Closure = 86, Firm-Rebook Original Posted on Time = 16, Firm-Other = 14, FIRM-RSKMGT = 83, FIRM-LATEAPP = 81, FIMR-FIRM REQUEST = 85, CA processing of an ADR Fee. Not reflective of the disbursement Process = 82]

string
realizedGainLossPrice

Gain or loss due to changes in the price of the asset realized on the portion of the position that has been closed, expressed in system currency

number
realizedGainLossFx

Gain or loss due to changes in FX realized on the portion of the position that has been closed, expressed in system currency

number
realizedGainLoss

The investment gain realized when an investment is disposed expressed in base and local currency.

number
realizedCarryInterest

Realized Incentive Carried Interest for the period

string
rating

Industry standard Credit Ratings

object