v1

latestOpenAPI 3.0.22026-08-061464031.4 MB
Investments Brazil

Get an investment's details

Get the details of a specific investment.

get/api/br/investments/{id}/

Path parameters

idstring uuid required

The investment.id you want to get detailed information about.

Query parameters

omitstring

Omit certain fields from being returned in the response. For more information, see our <a href="https://developers.belvo.com/docs/searching-and-filtering" target="_blank">Filtering responses</a> DevPortal article.

fieldsstring

Return only the specified fields in the response. For more information, see our <a href="https://developers.belvo.com/docs/searching-and-filtering" target="_blank">Filtering responses</a> DevPortal article.

Response

Ok

idstring uuid

The unique identifier created by Belvo used to reference the current investment.

typestring

The type of investment: Can be either

  • FIXED_INCOME_BANKING (Renda Fixa Bancária)
  • FIXED_INCOME_CREDIT (Renda Fixa Crédito)
  • VARIABLE_INCOME (Renda Variável)
  • TREASURY_BOND (Tesouro Direto)
  • INVESTMENT_FUND (Fundos de Investimento)
issuer_id_numberstring nullable

The CNPJ number of the issuing institution. For Investment Funds, this is the CNPJ of the fund.

🚧 Not applicable for TREASURY_BOND investments.

isin_numberstring nullable

The ISO-6166 International Securities Identification Number (ISIN) for the financial instrument.

currencystring

The three-letter currency code (ISO-4217) of the investment. For example, BRL for Brazilian Real.

product_namestring

The name of the investment product.

  • For FIXED_INCOME_BANKING, this can be: CDB, RDB, LCI, or LCA.
  • For FIXED_INCOME_CREDIT, this can be: DEBENTURES, CRI, or CRA.
  • For INVESTMENT_FUND, this will be the name of the fund. For example: CONSTELLATION MASTER FIA
  • For TREASURY_BOND, this will be the name of the bond. For example: Tesouro Selic 2025.
  • For VARIABLE_INCOME_INCOME, this will be the name of the stock. For example AAPL.
is_tax_exemptboolean

Indicates if the investment is exempt from taxes.

🚧 Only applicable for FIXED_INCOME_CREDIT investments.

clearing_codestring nullable

The clearing code of the investment.

🚧 Only applicable for FIXED_INCOME_BANKING and FIXED_INCOME_CREDIT.

due_datestring date nullable

The maturity date of the financial instrument.

🚧 Only applicable for FIXED_INCOME_BANKING, FIXED_INCOME_CREDIT, and TREASURY_BOND investments.

issue_datestring date nullable

The date the financial instrument was issued.

🚧 Only applicable for FIXED_INCOME_BANKING and FIXED_INCOME_CREDIT.

purchase_datestring date nullable

The date the financial instrument was purchased.

🚧 Only applicable for FIXED_INCOME_BANKING, FIXED_INCOME_CREDIT, and TREASURY_BOND investments.

grace_period_datestring date nullable

The grace period date of the financial instrument.

🚧 Only applicable for FIXED_INCOME_BANKING and FIXED_INCOME_CREDIT.

issue_unit_pricenumber float nullable

The unit price of the financial instrument at the time of issuance.

🚧 Only applicable for FIXED_INCOME_BANKING and FIXED_INCOME_CREDIT.

Example response

{
  "id": "5359ddc5-31fc-4346-934b-cc24630a8d06",
  "type": "FIXED_INCOME_BANKING",
  "issuer_id_number": "10187609364567",
  "isin_number": "BRCST4CTF001",
  "currency": "BRL",
  "product_name": "CONSTELLATION MASTER FIA",
  "clearing_code": "CDB421GPXXX",
  "due_date": "2022-01-01",
  "issue_date": "2021-01-01",
  "purchase_date": "2021-01-01",
  "grace_period_date": "2021-01-01",
  "issue_unit_price": 1000,
  "balance": {
    "reference_date": "2022-07-21T17:32:00Z",
    "gross_value": 1000,
    "blocked_amount": 100,
    "quantity": 100,
    "gross_unit_price": 10,
    "net_value": 900,
    "withheld_amount": 10,
    "transaction_fee": 5,
    "purchase_unit_price": 10,
    "pre_fixed_rate": 0.05,
    "post_fixed_rate": 0.05,
    "penalty_fee": 10,
    "late_payment_fee": 10,
    "closing_price": 10,
    "unit_price_factor": 1
  },
  "remuneration": {
    "pre_fixed_rate": 0.05,
    "post_fixed_rate": 0.05,
    "rate_type": "LINEAR",
    "rate_periodicity": "MENSAL",
    "calculation_base": "DIAS_CORRIDOS",
    "indexer": "CDI",
    "indexer_additional_info": "IPCA + 5%"
  },
  "classification_details": {
    "category": "ACOES",
    "class": "Ações Livre",
    "subclass": "Ações Livre"
  },
  "voucher_payment_details": {
    "is_voucher_payment": true,
    "periodicity": "MENSAL",
    "periodicity_additional_info": "30/360"
  },
  "debtor_details": {
    "name": "Roberto Marino"
  }
}