pyocf.objects.transactions.repurchase.stockrepurchase

Object describing a stock repurchase transaction

pydantic model pyocf.objects.transactions.repurchase.stockrepurchase.StockRepurchase

Object describing a stock repurchase transaction

field balance_security_id: Annotated[str, FieldInfo(annotation=NoneType, required=True, description='Identifier for the security that holds the remainder balance (for partialrepurchases)')] | None = None
field comments: Annotated[list[str], FieldInfo(annotation=NoneType, required=True, description='Unstructured text comments related to and stored for the object')] | None = None
field consideration_text: Annotated[str, FieldInfo(annotation=NoneType, required=True, description='Unstructured text description of consideration provided in exchange for securityrepurchase')] | None = None
field date: Annotated[Date, FieldInfo(annotation=NoneType, required=True, description='Date on which the transaction occurred')] [Required]

Date on which the transaction occurred

field id: Annotated[str, FieldInfo(annotation=NoneType, required=True, description='Identifier for the object')] [Required]

Identifier for the object

field object_type: Annotated[Literal['TX_STOCK_REPURCHASE'], FieldInfo(annotation=NoneType, required=True, description='')] = 'TX_STOCK_REPURCHASE'
field price: Annotated[Monetary, FieldInfo(annotation=NoneType, required=True, description='Repurchase price per share of the stock')] [Required]

Repurchase price per share of the stock

field quantity: Annotated[Numeric, FieldInfo(annotation=NoneType, required=True, description='Number of shares of stock repurchased')] [Required]

Number of shares of stock repurchased

field security_id: Annotated[str, FieldInfo(annotation=NoneType, required=True, description="Identifier for the security (stock, plan security, warrant, or convertible) bywhich it can be referenced by other transaction objects. Note that while thisidentifier is created with an issuance object, it should be different than theissuance object's `id` field which identifies the issuance transaction objectitself. All future transactions on the security (e.g. acceptance, transfer,cancel, etc.) must reference this `security_id` to qualify which security thetransaction applies to.")] [Required]

Identifier for the security (stock, plan security, warrant, or convertible) bywhich it can be referenced by other transaction objects. Note that while thisidentifier is created with an issuance object, it should be different than theissuance object’s id field which identifies the issuance transaction objectitself. All future transactions on the security (e.g. acceptance, transfer,cancel, etc.) must reference this security_id to qualify which security thetransaction applies to.