Global ETF Object

    {
      "AgriculturalType": "Not Applicable",
      "AsiaSubGroup": "Not Applicable",
      "AssetClass": "Commodities & Metals",
      "AverageMaturity": "Not Applicable",
      "BaseCurrency": "USD",
      "BloombergSymbol": "2OIL:IM",
      "BondCurrencyDenomination": "Not Applicable",
      "BondTaxStatus": "Not Applicable",
      "BondType": "Not Applicable",
      "BroaderIndexFamily": "Nasdaq Index Family",
      "BuildAmericaBonds": "Not Applicable",
      "CUSIP": "",
      "ChinaListingLocation": "Not Applicable",
      "CleanEnergyType": "Not Applicable",
      "CommodityTypes": "Energy",
      "CompositeName": "Boost WTI Oil 2x Leverage Daily ETP",
      "CompositeTicker": "2OIL",
      "Continent": "Not Applicable",
      "CreditQuality": "Not Applicable",
      "CrossSectorTheme": "Not Applicable",
      "CurrencyHedged": "No",
      "CurrencyPair": "Not Applicable",
      "DerivativesBased": "Derivatives Based",
      "DevelopedEmerging": "Funds Combining Developed & Emerging Exposure",
      "DistributionFees": "",
      "DistributionFrequency": "",
      "DividendType": "Not Applicable",
      "DividendWeightingType": "Not Applicable",
      "Domicile": "Ireland",
      "DynamicFuturesRoll": "Not Applicable",
      "ETFDescription": "Boost WTI Oil 2x Leverage Daily ETP is a fully collateralised, UCITS eligible ETC. The ETC provides a total return comprised of two times the daily performance of the NASDAQ Commodity Crude Oil ER index, which reflects an investment in front-month WTI oil futures, plus the interest revenue earned on the collateralised amount.",
      "ETFPortfolioTurnover": "",
      "ETFType": "",
      "ETNIssuingBank": "Not Applicable",
      "ETNMaturityDate": "",
      "ETPStructureType": "ETC",
      "EnergyType": "Crude Oil",
      "EuropeSubGroup": "Not Applicable",
      "ExFinancials": "No",
      "ExSP500": "",
      "ExTechnology": "No",
      "ExchangeCode": "XMIL",
      "ExchangeName": "BORSA ITALIANA S.P.A.",
      "FeeWaivers": "",
      "FloatingRate": "Not Applicable",
      "FundFamily": "Boost ETFs",
      "FundListingDate": "04/09/2015",
      "FundamentalWeightingType": "Not Applicable",
      "GovernmentBondTypes": "Not Applicable",
      "GrossExpenseRatio": "",
      "GrowthType": "Not Applicable",
      "GrowthValueTilt": "Not Applicable",
      "HedgeFundType": "Not Applicable",
      "HoldsADRs": "",
      "HoldsClosedEndFunds": "",
      "HoldsMLPs": "",
      "HoldsOnlyNYSEStocks": "",
      "HoldsOnlyNasdaqStocks": "",
      "HoldsPreferredStock": "",
      "ISIN": "IE00BVFZGG42",
      "InceptionDate": "04/09/2015",
      "IncludesShortExposure": "No",
      "IncomeETFCategory": "Not Applicable",
      "IndexFamily": "NASDAQ Commodity Indices",
      "IndexLinked": "Passive",
      "IndexName": "NASDAQ Commodity Crude Oil Index ER",
      "IndexProvider": "Nasdaq",
      "IndexProviderCode": "NASDAQIDX",
      "IndexTicker": "NQCICLER",
      "IndexWeightingScheme": "Other Weighting",
      "Industry": "Not Applicable",
      "IndustryGroup": "",
      "InterestRateHedged": "",
      "IntradayNAVTicker": "",
      "InverseLeveraged": "Leveraged (2x)",
      "IssuingEntity": "Boost Issuer PLC",
      "IssuingEntityCountryCode": "IE",
      "Laddered": "Not Applicable",
      "LatinAmericaSubGroup": "Not Applicable",
      "LegalStructure": "SPV issued ETC (Ireland)",
      "ListingCountryCode": "IT",
      "ListingCurrency": "EUR",
      "ListingRegion": "Europe",
      "Livestock": "Not Applicable",
      "ManagementFees": "",
      "MarketCapRange": "Not Applicable",
      "MarketCapWeightingType": "Not Applicable",
      "MetalType": "Not Applicable",
      "MonthEndAssets": "0.7823",
      "MortgageBondTypes": "Not Applicable",
      "MunicipalBondRegion": "Not Applicable",
      "MunicipalVRDO": "Not Applicable",
      "NaturalResourcesType": "Not Applicable",
      "NetExpenseRatio": "0.0065",
      "OtherAssetTypes": "Not Applicable",
      "OtherFundExpenses": "",
      "OtherQuantModels": "Not Applicable",
      "ParentIndex": "Not Applicable",
      "PrimaryListingRegion": "Europe",
      "PrimaryTicker": "2OIL:IM",
      "PrimaryTickerCountryCode": "IT",
      "QuantStrategiesType": "Not Applicable",
      "RIC": "2OIL.MI",
      "RealEstate": "Not Applicable",
      "RegisteredCountries": "Ireland, Italy, United Kingdom",
      "RegularDividendPayorType": "Not Applicable",
      "ReplicationStructure": "Swap",
      "SEDOL": "BVFZGG4",
      "Sector": "Not Applicable",
      "Share_Class_FIGI": "BBG008F55Z01",
      "SingleCategoryDesignation": "Leveraged / Inverse",
      "SmartvsTraditionalBeta": "Leveraged/Inverse",
      "SmartvsTraditionalBetaLevel2": "Leveraged/Inverse",
      "SocialEnvironmentalType": "Not Applicable",
      "SpecializedRegion": "Not Applicable",
      "SpecificCountry": "Not Applicable",
      "SpecificMaturityYear": "Not Applicable",
      "Sponsor": "BOOST",
      "SubIndustry": "Not Applicable",
      "TBD3": "",
      "TBD4": "",
      "TBD5": "",
      "TargetDateMultiAssetType": "Not Applicable",
      "UCITS": "Yes",
      "USMarketCapCoverage": "",
      "USState": "Not Applicable",
      "USorExUS": "",
      "ValueType": "Not Applicable",
      "ZeroCoupon": "Not Applicable"
    }


Listing APIs

This API returns the possible values taken by a query-able field in the Global ETF Object. For example, querying the 'sponsor' field will return a list of all sponsors. The Filter API specifies which fields can be queried.

Request:
GET /api/v1.0/global/list?field=Sponsor


Response:
{
  "data": [
    "BOOST",
    "Blackrock (iShares)",
    "China Asset Management",
    "Source Holdings",
    "ETF Securities",
    "KSM",
    "Barclays iPath",
    "Van Eck Associates Corporation",
    "DBX Strategic Advisors",
    "UBS",
    "Amundi",
    "First Trust"
  ],
  "message": null,
  "status": true
}


Filter API

This API returns all the fields in the Global ETF Object for specified input values. The input values must be from one of the query-able fields specified below. The possible input values for the query-able fields can be got using the Listing APIs .

CompositeTicker

Sponsor

BloombergSymbol

LegalStructure

ExchangeName

ExchangeCode

AssetClass

The default value for count is 100 and offset is 0.

The max value for count is 100.

Request:
GET /api/v1.0/global/filter?field=ExchangeCode&value=XMIL&count=100&offset=0


Response:
{
	"data" : [List of Global ETF objects],
	"status" : true,
	"message" : null
}

Search API

The Search API does a simple text search on the CompositeTicker, CompositeName and Sponsor fields.

Request:
GET /api/v1.0/global/search?kw=sca


Response:
{
  "data": [
    {
      "BloombergSymbol": "SCAP:US",
      "CompositeName": "Cornerstone Small Cap ETF",
      "CompositeTicker": "SCAP",
      "ISIN": "US00768Y5868",
      "Sponsor": "Advisor Shares"
    },
    {
      "BloombergSymbol": "SCAD:LN",
      "CompositeName": "ETFS Short CAD Long USD",
      "CompositeTicker": "SCAD",
      "ISIN": "JE00B68GS291",
      "Sponsor": "ETF Securities"
    }
  ],
  "message": null,
  "status": true
}

If the keyword is less than 3 characters, the  search will only function on CompositeTicker. For 3 or more characters, the search will work on CompositeTickers, Sponsor and CompositeName.