tx_date_settle Property
For other than banking transactions, this is the date when settlement occurred, and for stock splits, this is the execution date.
Syntax
def get_tx_date_settle(tx_index: int) -> str: ...
Default Value
""
Remarks
For other than banking transactions, this is the date when settlement occurred, and for stock splits, this is the execution date.
All input dates should be entered in the format specified by DateFormat. For example, if the DateFormat is set to "MM/dd/yyyy hh:mm:ss" (default value), an input date should look like: 09/30/2009 12:00:00 AM.
This format specifies also how the returned dates are going to get parsed.
This property is always returned with the transaction information if such an information is requested to be included (include_transactions was set to True) in the investment statement download request (when calling the on_get_statement method).
The tx_index parameter specifies the index of the item in the array. The size of the array is controlled by the tx_count property.
This property is read-only.