Class: Plaid::AssetReportAccountBalance
- Inherits:
-
Object
- Object
- Plaid::AssetReportAccountBalance
- Defined in:
- lib/plaid/models/asset_report_account_balance.rb
Overview
A set of fields describing the balance for an account. Balance information may be cached unless the balance object was returned by ‘/accounts/balance/get`.
Instance Attribute Summary collapse
-
#available ⇒ Object
The amount of funds available to be withdrawn from the account, as determined by the financial institution.
-
#current ⇒ Object
The total amount of funds in or owed by the account.
-
#iso_currency_code ⇒ Object
The ISO-4217 currency code of the balance.
-
#last_updated_datetime ⇒ Object
Timestamp in [ISO 8601](en.wikipedia.org/wiki/ISO_8601) format (‘YYYY-MM-DDTHH:mm:ssZ`) indicating the oldest acceptable balance when making a request to `/accounts/balance/get`.
-
#limit ⇒ Object
For ‘credit`-type accounts, this represents the credit limit.
-
#margin_loan_amount ⇒ Object
The total amount of borrowed funds in the account, as determined by the financial institution.
-
#unofficial_currency_code ⇒ Object
The unofficial currency code associated with the balance.
Class Method Summary collapse
-
.acceptable_attributes ⇒ Object
Returns all the JSON keys this model knows about.
-
.attribute_map ⇒ Object
Attribute mapping from ruby-style variable name to JSON key.
-
.build_from_hash(attributes) ⇒ Object
Builds the object from hash.
-
.openapi_nullable ⇒ Object
List of attributes with nullable: true.
-
.openapi_types ⇒ Object
Attribute type mapping.
Instance Method Summary collapse
-
#==(o) ⇒ Object
Checks equality by comparing each attribute.
-
#_deserialize(type, value) ⇒ Object
Deserializes the data based on type.
-
#_to_hash(value) ⇒ Hash
Outputs non-array value in the form of hash For object, use to_hash.
-
#build_from_hash(attributes) ⇒ Object
Builds the object from hash.
- #eql?(o) ⇒ Boolean
-
#hash ⇒ Integer
Calculates hash code according to all attributes.
-
#initialize(attributes = {}) ⇒ AssetReportAccountBalance
constructor
Initializes the object.
-
#list_invalid_properties ⇒ Object
Show invalid properties with the reasons.
-
#to_body ⇒ Hash
to_body is an alias to to_hash (backward compatibility).
-
#to_hash ⇒ Hash
Returns the object in the form of hash.
-
#to_s ⇒ String
Returns the string representation of the object.
-
#valid? ⇒ Boolean
Check to see if the all the properties in the model are valid.
Constructor Details
#initialize(attributes = {}) ⇒ AssetReportAccountBalance
Initializes the object
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 86 def initialize(attributes = {}) if (!attributes.is_a?(Hash)) fail ArgumentError, "The input argument (attributes) must be a hash in `Plaid::AssetReportAccountBalance` initialize method" end # check to see if the attribute exists and convert string to symbol for hash key attributes = attributes.each_with_object({}) { |(k, v), h| if (!self.class.attribute_map.key?(k.to_sym)) fail ArgumentError, "`#{k}` is not a valid attribute in `Plaid::AssetReportAccountBalance`. Please check the name to make sure it's valid. List of attributes: " + self.class.attribute_map.keys.inspect end h[k.to_sym] = v } if attributes.key?(:'available') self.available = attributes[:'available'] end if attributes.key?(:'current') self.current = attributes[:'current'] end if attributes.key?(:'limit') self.limit = attributes[:'limit'] end if attributes.key?(:'margin_loan_amount') self.margin_loan_amount = attributes[:'margin_loan_amount'] end if attributes.key?(:'iso_currency_code') self.iso_currency_code = attributes[:'iso_currency_code'] end if attributes.key?(:'unofficial_currency_code') self.unofficial_currency_code = attributes[:'unofficial_currency_code'] end if attributes.key?(:'last_updated_datetime') self.last_updated_datetime = attributes[:'last_updated_datetime'] end end |
Instance Attribute Details
#available ⇒ Object
The amount of funds available to be withdrawn from the account, as determined by the financial institution. For ‘credit`-type accounts, the `available` balance typically equals the `limit` less the `current` balance, less any pending outflows plus any pending inflows. For `depository`-type accounts, the `available` balance typically equals the `current` balance less any pending outflows plus any pending inflows. For `depository`-type accounts, the `available` balance does not include the overdraft limit. For `investment`-type accounts (or `brokerage`-type accounts for API versions 2018-05-22 and earlier), the `available` balance is the total cash available to withdraw as presented by the institution. Note that not all institutions calculate the `available` balance. In the event that `available` balance is unavailable, Plaid will return an `available` balance value of `null`. Available balance may be cached and is not guaranteed to be up-to-date in realtime unless the value was returned by `/accounts/balance/get`. If `current` is `null` this field is guaranteed not to be `null`.
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 20 def available @available end |
#current ⇒ Object
The total amount of funds in or owed by the account. For ‘credit`-type accounts, a positive balance indicates the amount owed; a negative amount indicates the lender owing the account holder. For `loan`-type accounts, the current balance is the principal remaining on the loan, except in the case of student loan accounts at Sallie Mae (`ins_116944`). For Sallie Mae student loans, the account’s balance includes both principal and any outstanding interest. For ‘investment`-type accounts (or `brokerage`-type accounts for API versions 2018-05-22 and earlier), the current balance is the total value of assets as presented by the institution. Note that balance information may be cached unless the value was returned by `/accounts/balance/get`; if the Item is enabled for Transactions, the balance will be at least as recent as the most recent Transaction update. If you require realtime balance information, use the `available` balance as provided by `/accounts/balance/get`. When returned by `/accounts/balance/get`, this field may be `null`. When this happens, `available` is guaranteed not to be `null`.
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 23 def current @current end |
#iso_currency_code ⇒ Object
The ISO-4217 currency code of the balance. Always null if ‘unofficial_currency_code` is non-null.
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 32 def iso_currency_code @iso_currency_code end |
#last_updated_datetime ⇒ Object
Timestamp in [ISO 8601](en.wikipedia.org/wiki/ISO_8601) format (‘YYYY-MM-DDTHH:mm:ssZ`) indicating the oldest acceptable balance when making a request to `/accounts/balance/get`. This field is only used and expected when the institution is `ins_128026` (Capital One) and the Item contains one or more accounts with a non-depository account type, in which case a value must be provided or an `INVALID_REQUEST` error with the code of `INVALID_FIELD` will be returned. For Capital One depository accounts as well as all other account types on all other institutions, this field is ignored. See [account type schema](plaid.com/docs/api/accounts/#account-type-schema) for a full list of account types. If the balance that is pulled is older than the given timestamp for Items with this field required, an `INVALID_REQUEST` error with the code of `LAST_UPDATED_DATETIME_OUT_OF_RANGE` will be returned with the most recent timestamp for the requested account contained in the response.
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 38 def last_updated_datetime @last_updated_datetime end |
#limit ⇒ Object
For ‘credit`-type accounts, this represents the credit limit. For `depository`-type accounts, this represents the pre-arranged overdraft limit, which is common for current (checking) accounts in Europe. In North America, this field is typically only available for `credit`-type accounts.
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 26 def limit @limit end |
#margin_loan_amount ⇒ Object
The total amount of borrowed funds in the account, as determined by the financial institution. For investment-type accounts, the margin balance is the total value of borrowed assets in the account, as presented by the institution. This is commonly referred to as margin or a loan.
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 29 def margin_loan_amount @margin_loan_amount end |
#unofficial_currency_code ⇒ Object
The unofficial currency code associated with the balance. Always null if ‘iso_currency_code` is non-null. Unofficial currency codes are used for currencies that do not have official ISO currency codes, such as cryptocurrencies and the currencies of certain countries. See the [currency code schema](plaid.com/docs/api/accounts#currency-code-schema) for a full listing of supported `unofficial_currency_code`s.
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 35 def unofficial_currency_code @unofficial_currency_code end |
Class Method Details
.acceptable_attributes ⇒ Object
Returns all the JSON keys this model knows about
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 54 def self.acceptable_attributes attribute_map.values end |
.attribute_map ⇒ Object
Attribute mapping from ruby-style variable name to JSON key.
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 41 def self.attribute_map { :'available' => :'available', :'current' => :'current', :'limit' => :'limit', :'margin_loan_amount' => :'margin_loan_amount', :'iso_currency_code' => :'iso_currency_code', :'unofficial_currency_code' => :'unofficial_currency_code', :'last_updated_datetime' => :'last_updated_datetime' } end |
.build_from_hash(attributes) ⇒ Object
Builds the object from hash
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 170 def self.build_from_hash(attributes) new.build_from_hash(attributes) end |
.openapi_nullable ⇒ Object
List of attributes with nullable: true
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 72 def self.openapi_nullable Set.new([ :'available', :'current', :'limit', :'margin_loan_amount', :'iso_currency_code', :'unofficial_currency_code', :'last_updated_datetime' ]) end |
.openapi_types ⇒ Object
Attribute type mapping.
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 59 def self.openapi_types { :'available' => :'Float', :'current' => :'Float', :'limit' => :'Float', :'margin_loan_amount' => :'Float', :'iso_currency_code' => :'String', :'unofficial_currency_code' => :'String', :'last_updated_datetime' => :'Time' } end |
Instance Method Details
#==(o) ⇒ Object
Checks equality by comparing each attribute.
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 143 def ==(o) return true if self.equal?(o) self.class == o.class && available == o.available && current == o.current && limit == o.limit && margin_loan_amount == o.margin_loan_amount && iso_currency_code == o.iso_currency_code && unofficial_currency_code == o.unofficial_currency_code && last_updated_datetime == o.last_updated_datetime end |
#_deserialize(type, value) ⇒ Object
Deserializes the data based on type
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 201 def _deserialize(type, value) case type.to_sym when :Time Time.parse(value) when :Date Date.parse(value) when :String value.to_s when :Integer value.to_i when :Float value.to_f when :Boolean if value.to_s =~ /\A(true|t|yes|y|1)\z/i true else false end when :Object # generic object (usually a Hash), return directly value when /\AArray<(?<inner_type>.+)>\z/ inner_type = Regexp.last_match[:inner_type] value.map { |v| _deserialize(inner_type, v) } when /\AHash<(?<k_type>.+?), (?<v_type>.+)>\z/ k_type = Regexp.last_match[:k_type] v_type = Regexp.last_match[:v_type] {}.tap do |hash| value.each do |k, v| hash[_deserialize(k_type, k)] = _deserialize(v_type, v) end end else # model # models (e.g. Pet) or oneOf klass = Plaid.const_get(type) klass.respond_to?(:openapi_one_of) ? klass.build(value) : klass.build_from_hash(value) end end |
#_to_hash(value) ⇒ Hash
Outputs non-array value in the form of hash For object, use to_hash. Otherwise, just return the value
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 272 def _to_hash(value) if value.is_a?(Array) value.compact.map { |v| _to_hash(v) } elsif value.is_a?(Hash) {}.tap do |hash| value.each { |k, v| hash[k] = _to_hash(v) } end elsif value.respond_to? :to_hash value.to_hash else value end end |
#build_from_hash(attributes) ⇒ Object
Builds the object from hash
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 177 def build_from_hash(attributes) return nil unless attributes.is_a?(Hash) attributes = attributes.transform_keys(&:to_sym) self.class.openapi_types.each_pair do |key, type| if attributes[self.class.attribute_map[key]].nil? && self.class.openapi_nullable.include?(key) self.send("#{key}=", nil) elsif type =~ /\AArray<(.*)>/i # check to ensure the input is an array given that the attribute # is documented as an array but the input is not if attributes[self.class.attribute_map[key]].is_a?(Array) self.send("#{key}=", attributes[self.class.attribute_map[key]].map { |v| _deserialize($1, v) }) end elsif !attributes[self.class.attribute_map[key]].nil? self.send("#{key}=", _deserialize(type, attributes[self.class.attribute_map[key]])) end end self end |
#eql?(o) ⇒ Boolean
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 157 def eql?(o) self == o end |
#hash ⇒ Integer
Calculates hash code according to all attributes.
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 163 def hash [available, current, limit, margin_loan_amount, iso_currency_code, unofficial_currency_code, last_updated_datetime].hash end |
#list_invalid_properties ⇒ Object
Show invalid properties with the reasons. Usually used together with valid?
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 130 def list_invalid_properties invalid_properties = Array.new invalid_properties end |
#to_body ⇒ Hash
to_body is an alias to to_hash (backward compatibility)
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 248 def to_body to_hash end |
#to_hash ⇒ Hash
Returns the object in the form of hash
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 254 def to_hash hash = {} self.class.attribute_map.each_pair do |attr, param| value = self.send(attr) if value.nil? is_nullable = self.class.openapi_nullable.include?(attr) next if !is_nullable || (is_nullable && !instance_variable_defined?(:"@#{attr}")) end hash[param] = _to_hash(value) end hash end |
#to_s ⇒ String
Returns the string representation of the object
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 242 def to_s to_hash.to_s end |
#valid? ⇒ Boolean
Check to see if the all the properties in the model are valid
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# File 'lib/plaid/models/asset_report_account_balance.rb', line 137 def valid? true end |