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4.0.1.68

  • Libra API - changes record cash transfer to add GUID to new parameter in Libra spinsert_cash_transfer stored procedure

4.0.1.67

  • Libra API - Ext ref id is not anymore int, not parsing to int

4.0.1.66

  • Libra sql - Instrument Ext id is not necessary anymore only sending with the allocation if the instrument has the Libra ext id

4.0.1.651

  • Only send FxRate = 1 when the settlment currency is ISK in the new Libra Interface

  • Added null check to a return value that is used from the libra services

4.0.1.64

  • Fixed unit tests

4.0.1.63

  • Added perfomance properties to PortfolioPosition & PortfolioOverview

4.0.1.62

  • Updated portfolio overview/position request and response to include Start date and end date

4.0.1.61

  • Change backoffice status to: “Sent to backoffice” when allocating

4.0.1.60

  • Updated the Libra API Client to verison 3

  • Updated comments for Broker leg class

  • Updated precision to 9 when rounding prices for Libra

  • Update the request to Libra API with the new version 3

4.0.1.59

  • Throw exception if Accountbalance external service throws exceptions

4.0.1.58

  • Send the trader username in the broker_name parameter when allocating not the user that performs the allocation.

4.0.1.57

  • Revert changes for enabling internal funds

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