Toutes les données financières disponibles dans Pine sont énumérées ci-dessous.
Dans la première colonne de chaque tableau figurent les noms des indicateurs. La deuxième colonne indique la fréquence de publication des données correspondantes : TTM - Trailing Twelve Months (douze mois consécutifs), FY - Financial Year (exercice financier), FQ - Financial Quarter (trimestre financier) et FH - Semiannual (semestriel). La troisième colonne énumère les identifiants des données financières.
Pour obtenir la valeur d'une mesure financière donnée, vous devez utiliser la fonction request.financial() :
request.financial(symbol, financial_id, period)
Le premier argument est similaire au premier argument de la fonction request.security(), et est le nom du symbole pour lequel la mesure est demandée. Il s'agit du nom du symbole pour lequel la métrique est demandée : "NASDAQ:AAPL".
Le deuxième argument est l'identifiant de la mesure requise : la valeur de la troisième colonne du tableau.
Le troisième argument indique la fréquence de publication de cette mesure : l'une des valeurs des cellules correspondantes de la deuxième colonne.
La fonction renvoie les valeurs des données financières demandées.
Par exemple :
f = request.financial ("NASDAQ:AAPL", "ACCOUNTS_PAYABLE", "FQ")
JavaPour en savoir plus sur les données financières, cliquez ici.
Notez que lorsque vous demandez des données financières à l'aide des fonctions request.dividends() et request.earnings(), la nouvelle valeur est renvoyée à la barre où le rapport a été publié. En utilisant la fonction financière, vous obtenez une nouvelle valeur sur la barre où commence la prochaine période fiscale.
Ratios basés sur le prix du marché
Certains indicateurs financiers du menu financier ne figurent pas dans le tableau ci-dessous car ils sont calculés à l'aide d'une mesure financière et du prix actuel sur le graphique. Cela signifie que vous ne pouvez pas demander leurs valeurs directement, mais vous pouvez les calculer avec quelques lignes de code Pine.
Capitalisation boursière
La capitalisation boursière est égale au prix de l'action multiplié par le nombre d'actions en circulation (FQ).
TSO = request.financial(syminfo.tickerid, "TOTAL_SHARES_OUTSTANDING", "FQ")MarketCap = TSO * close
JavaRendement des bénéfices
Le rendement des bénéfices est calculé en divisant les bénéfices par action pour les 12 derniers mois par le cours actuel de l'action. En multipliant le résultat par 100, on obtient la valeur du rendement en %.
EPS = request.financial(syminfo.tickerid, "EARNINGS_PER_SHARE", "TTM")EarningsYield = (EPS / close) * 100
JavaRatio cours/comptes
Le Ratio cours/comptes (Price Book Ratio) est calculé en divisant le prix par action par la valeur comptable par action.
BVPS = request.financial(syminfo.tickerid, "BOOK_VALUE_PER_SHARE", "FQ")PriceBookRatio = close / BVPS
JavaRatio cours/cash-flow
Le ratio cours/cash flow est calculé en multipliant le cours actuel par le nombre d'actions diluées en circulation et en divisant le résultat par les liquidités provenant des activités d'exploitation.
DSO = request.financial(syminfo.tickerid, "DILUTED_SHARES_OUTSTANDING", "FQ")CFOA = request.financial(syminfo.tickerid, "CASH_F_OPERATING_ACTIVITIES", "TTM")PriceToCashFlowRatio = close * DSO / CFOAplot(PriceToCashFlowRatio)
JavaRatio cours/bénéfice
Le ratio cours/bénéfice est calculé en divisant le cours actuel de l'action par le bénéfice par action pour les 12 derniers mois.
EPS = request.financial(syminfo.tickerid, "EARNINGS_PER_SHARE", "TTM")PriceEarningsRatio = close / EPS
JavaRatio cours/cash-flow libre
Le ratio cours/cash-flow libre est calculé en divisant le cours actuel par le cash-flow libre par action.
FCFPS = request.financial(syminfo.tickerid, "FREE_CASH_FLOW_PER_SHARE", "TTM")PriceToFreeCashFlowRatio = close / FCFPSplot(PriceToFreeCashFlowRatio)
JavaRatio prix/ventes
Le ratio prix/ventes est calculé en divisant la capitalisation boursière de l'entreprise par son chiffre d'affaires total au cours des douze derniers mois.
TSO = request.financial(syminfo.tickerid, "TOTAL_SHARES_OUTSTANDING", "FQ")TR = request.financial(syminfo.tickerid, "TOTAL_REVENUE", "TTM")MarketCap = TSO * closePriseSalesRatio = MarketCap / TR
JavaRatio prix/valeur comptable tangible
Le ratio prix/valeur comptable tangible est calculé en divisant le prix par action par la valeur comptable tangible par action.
BTPS = request.financial(syminfo.tickerid, "BOOK_TANGIBLE_PER_SHARE", "FQ")PriceToTangibleBookRatio = close / BTPS
Java_TERM_INVES
Financial | Available periods | financial_id |
Accounts payable | FQ, FY | ACCOUNTS_PAYABLE |
Accounts receivable - trade, net | FQ, FY | ACCOUNTS_RECEIVABLES_NET |
Accrued payroll | FQ, FY | ACCRUED_PAYROLL |
Accumulated depreciation, total | FQ, FY | ACCUM_DEPREC_TOTAL |
Additional paid-in capital/Capital surplus | FQ, FY | ADDITIONAL_PAID_IN_CAPITAL |
Book value per share | FQ, FY | BOOK_VALUE_PER_SHARE |
Capital and operating lease obligations | FQ, FY | CAPITAL_OPERATING_LEASE_OBLIGATIONS |
Capitalized lease obligations | FQ, FY | CAPITAL_LEASE_OBLIGATIONS |
Cash & equivalents | FQ, FY | CASH_N_EQUIVALENTS |
Cash and short term investments | FQ, FY | CASH_N_SHORT_TERM_INVEST |
Common equity, total | FQ, FY | COMMON_EQUITY_TOTAL |
Common stock par/Carrying value | FQ, FY | COMMON_STOCK_PAR |
Current portion of LT debt and capital leases | FQ, FY | CURRENT_PORT_DEBT_CAPITAL_LEASES |
Deferred income, current | FQ, FY | DEFERRED_INCOME_CURRENT |
Deferred income, non-current | FQ, FY | DEFERRED_INCOME_NON_CURRENT |
Deferred tax assets | FQ, FY | DEFERRED_TAX_ASSESTS |
Deferred tax liabilities | FQ, FY | DEFERRED_TAX_LIABILITIES |
Dividends payable | FY | DIVIDENDS_PAYABLE |
Goodwill, net | FQ, FY | GOODWILL |
Gross property/plant/equipment | FQ, FY | PPE_TOTAL_GROSS |
Income tax payable | FQ, FY | INCOME_TAX_PAYABLE |
Inventories - finished goods | FQ, FY | INVENTORY_FINISHED_GOODS |
Inventories - progress payments & other | FQ, FY | INVENTORY_PROGRESS_PAYMENTS |
Inventories - raw materials | FQ, FY | INVENTORY_RAW_MATERIALS |
Inventories - work in progress | FQ, FY | INVENTORY_WORK_IN_PROGRESS |
Investments in unconsolidated subsidiaries | FQ, FY | INVESTMENTS_IN_UNCONCSOLIDATE |
Long term debt | FQ, FY | LONG_TERM_DEBT |
Long term debt excl. lease liabilities | FQ, FY | LONG_TERM_DEBT_EXCL_CAPITAL_LEASE |
Long term investments | FQ, FY | LONG_TERM_INVESTMENTS |
Minority interest | FQ, FY | MINORITY_INTEREST |
Net debt | FQ, FY | NET_DEBT |
Net intangible assets | FQ, FY | INTANGIBLES_NET |
Net property/plant/equipment | FQ, FY | PPE_TOTAL_NET |
Note receivable - long term | FQ, FY | LONG_TERM_NOTE_RECEIVABLE |
Notes payable | FY | NOTES_PAYABLE_SHORT_TERM_DEBT |
Operating lease liabilities | FQ, FY | OPERATING_LEASE_LIABILITIES |
Other common equity | FQ, FY | OTHER_COMMON_EQUITY |
Other current assets, total | FQ, FY | OTHER_CURRENT_ASSETS_TOTAL |
Other current liabilities | FQ, FY | OTHER_CURRENT_LIABILITIES |
Other intangibles, net | FQ, FY | OTHER_INTANGIBLES_NET |
Other investments | FQ, FY | OTHER_INVESTMENTS |
Other long term assets, total | FQ, FY | LONG_TERM_OTHER_ASSETS_TOTAL |
Other non-current liabilities, total | FQ, FY | OTHER_LIABILITIES_TOTAL |
Other receivables | FQ, FY | OTHER_RECEIVABLES |
Other short term debt | FY | OTHER_SHORT_TERM_DEBT |
Paid in capital | FQ, FY | PAID_IN_CAPITAL |
Preferred stock, carrying value | FQ, FY | PREFERRED_STOCK_CARRYING_VALUE |
Prepaid expenses | FQ, FY | PREPAID_EXPENSES |
Provision for risks & charge | FQ, FY | PROVISION_F_RISKS |
Retained earnings | FQ, FY | RETAINED_EARNINGS |
Shareholders' equity | FQ, FY | SHRHLDRS_EQUITY |
Short term debt | FQ, FY | SHORT_TERM_DEBT |
Short term debt excl. current portion of LT debt | FQ, FY | SHORT_TERM_DEBT_EXCL_CURRENT_PORT |
Short term investments | FQ, FY | SHORT_TERM_INVEST |
Tangible book value per share | FQ, FY | BOOK_TANGIBLE_PER_SHARE |
Total assets | FQ, FY | TOTAL_ASSETS |
Total current assets | FQ, FY | TOTAL_CURRENT_ASSETS |
Total current liabilities | FQ, FY | TOTAL_CURRENT_LIABILITIES |
Total debt | FQ, FY | TOTAL_DEBT |
Total equity | FQ, FY | TOTAL_EQUITY |
Total inventory | FQ, FY | TOTAL_INVENTORY |
Total liabilities | FQ, FY | TOTAL_LIABILITIES |
Total liabilities & shareholders' equities | FQ, FY | TOTAL_LIABILITIES_SHRHLDRS_EQUITY |
Total non-current assets | FQ, FY | TOTAL_NON_CURRENT_ASSETS |
Total non-current liabilities | FQ, FY | TOTAL_NON_CURRENT_LIABILITIES |
Total receivables, net | FQ, FY | TOTAL_RECEIVABLES_NET |
Treasury stock - common | FQ, FY | TREASURY_STOCK_COMMON |
Financial | Available periods | financial_id |
Amortization | FQ, FY | AMORTIZATION |
Capital expenditures | FQ, FY | CAPITAL_EXPENDITURES |
Capital expenditures - fixed assets | FQ, FY | CAPITAL_EXPENDITURES_FIXED_ASSETS |
Capital expenditures - other assets | FQ, FY | CAPITAL_EXPENDITURES_OTHER_ASSETS |
Cash from financing activities | FQ, FY, TTM | CASH_F_FINANCING_ACTIVITIES |
Cash from investing activities | FQ, FY, TTM | CASH_F_INVESTING_ACTIVITIES |
Cash from operating activities | FQ, FY, TTM | CASH_F_OPERATING_ACTIVITIES |
Change in accounts payable | FQ, FY | CHANGE_IN_ACCOUNTS_PAYABLE |
Change in accounts receivable | FQ, FY | CHANGE_IN_ACCOUNTS_RECEIVABLE |
Change in accrued expenses | FQ, FY | CHANGE_IN_ACCRUED_EXPENSES |
Change in inventories | FQ, FY | CHANGE_IN_INVENTORIES |
Change in other assets/liabilities | FQ, FY | CHANGE_IN_OTHER_ASSETS |
Change in taxes payable | FQ, FY | CHANGE_IN_TAXES_PAYABLE |
Changes in working capital | FQ, FY | CHANGES_IN_WORKING_CAPITAL |
Common dividends paid | FQ, FY | COMMON_DIVIDENDS_CASH_FLOW |
Deferred taxes (cash flow) | FQ, FY | CASH_FLOW_DEFERRED_TAXES |
Depreciation & amortization (cash flow) | FQ, FY | CASH_FLOW_DEPRECATION_N_AMORTIZATION |
Depreciation/depletion | FQ, FY | DEPRECIATION_DEPLETION |
Financing activities – other sources | FQ, FY | OTHER_FINANCING_CASH_FLOW_SOURCES |
Financing activities – other uses | FQ, FY | OTHER_FINANCING_CASH_FLOW_USES |
Free cash flow | FQ, FY, TTM | FREE_CASH_FLOW |
Funds from operations | FQ, FY | FUNDS_F_OPERATIONS |
Investing activities – other sources | FQ, FY | OTHER_INVESTING_CASH_FLOW_SOURCES |
Investing activities – other uses | FQ, FY | OTHER_INVESTING_CASH_FLOW_USES |
Issuance of long term debt | FQ, FY | SUPPLYING_OF_LONG_TERM_DEBT |
Issuance/retirement of debt, net | FQ, FY | ISSUANCE_OF_DEBT_NET |
Issuance/retirement of long term debt | FQ, FY | ISSUANCE_OF_LONG_TERM_DEBT |
Issuance/retirement of other debt | FQ, FY | ISSUANCE_OF_OTHER_DEBT |
Issuance/retirement of short term debt | FQ, FY | ISSUANCE_OF_SHORT_TERM_DEBT |
Issuance/retirement of stock, net | FQ, FY | ISSUANCE_OF_STOCK_NET |
Net income (cash flow) | FQ, FY | NET_INCOME_STARTING_LINE |
Non-cash items | FQ, FY | NON_CASH_ITEMS |
Other financing cash flow items, total | FQ, FY | OTHER_FINANCING_CASH_FLOW_ITEMS_TOTAL |
Other investing cash flow items, total | FQ, FY | OTHER_INVESTING_CASH_FLOW_ITEMS_TOTAL |
Preferred dividends paid | FQ, FY | PREFERRED_DIVIDENDS_CASH_FLOW |
Purchase of investments | FQ, FY | PURCHASE_OF_INVESTMENTS |
Purchase/acquisition of business | FQ, FY | PURCHASE_OF_BUSINESS |
Purchase/sale of business, net | FQ, FY | PURCHASE_SALE_BUSINESS |
Purchase/sale of investments, net | FQ, FY | PURCHASE_SALE_INVESTMENTS |
Reduction of long term debt | FQ, FY | REDUCTION_OF_LONG_TERM_DEBT |
Repurchase of common & preferred stock | FQ, FY | PURCHASE_OF_STOCK |
Sale of common & preferred stock | FQ, FY | SALE_OF_STOCK |
Sale of fixed assets & businesses | FQ, FY | SALES_OF_BUSINESS |
Sale/maturity of investments | FQ, FY | SALES_OF_INVESTMENTS |
Total cash dividends paid | FQ, FY | TOTAL_CASH_DIVIDENDS_PAID |
Financial | Available periods | financial_id |
After tax other income/expense | FQ, FY | AFTER_TAX_OTHER_INCOME |
Average basic shares outstanding | FQ, FY | BASIC_SHARES_OUTSTANDING |
Basic earnings per share (Basic EPS) | FQ, FY, TTM | EARNINGS_PER_SHARE_BASIC |
Cost of goods sold | FQ, FY, TTM | COST_OF_GOODS |
Deprecation and amortization | FQ, FY, TTM | DEP_AMORT_EXP_INCOME_S |
Diluted earnings per share (Diluted EPS) | FQ, FY, TTM | EARNINGS_PER_SHARE_DILUTED |
Diluted net income available to common stockholders | FQ, FY | DILUTED_NET_INCOME |
Diluted shares outstanding | FQ, FY | DILUTED_SHARES_OUTSTANDING |
Dilution adjustment | FQ, FY | DILUTION_ADJUSTMENT |
Discontinued operations | FQ, FY | DISCONTINUED_OPERATIONS |
EBIT | FQ, FY, TTM | EBIT |
EBITDA | FQ, FY, TTM | EBITDA |
Equity in earnings | FQ, FY | EQUITY_IN_EARNINGS |
Gross profit | FQ, FY, TTM | GROSS_PROFIT |
Interest capitalized | FQ, FY | INTEREST_CAPITALIZED |
Interest expense on debt | FQ, FY | INTEREST_EXPENSE_ON_DEBT |
Interest expense, net of interest capitalized | FQ, FY | NON_OPER_INTEREST_EXP |
Miscellaneous non-operating expense | FQ, FY | OTHER_INCOME |
Net income | FQ, FY, TTM | NET_INCOME |
Net income before discontinued operations | FQ, FY | NET_INCOME_BEF_DISC_OPER |
Non-controlling/minority interest | FQ, FY | MINORITY_INTEREST_EXP |
Non-operating income, excl. interest expenses | FQ, FY | NON_OPER_INCOME |
Non-operating income, total | FQ, FY, TTM | TOTAL_NON_OPER_INCOME |
Non-operating interest income | FQ, FY | NON_OPER_INTEREST_INCOME |
Operating expenses (excl. COGS) | FQ, FY | OPERATING_EXPENSES |
Operating income | FQ, FY, TTM | OPER_INCOME |
Other cost of goods sold | FQ, FY | COST_OF_GOODS_EXCL_DEP_AMORT |
Other operating expenses, total | FQ, FY | OTHER_OPER_EXPENSE_TOTAL |
Preferred dividends | FQ, FY | PREFERRED_DIVIDENDS |
Pretax equity in earnings | FQ, FY | PRETAX_EQUITY_IN_EARNINGS |
Pretax income | FQ, FY, TTM | PRETAX_INCOME |
Research & development | FQ, FY | RESEARCH_AND_DEV |
Selling/general/admin expenses, other | FQ, FY | SELL_GEN_ADMIN_EXP_OTHER |
Selling/general/admin expenses, total | FQ, FY | SELL_GEN_ADMIN_EXP_TOTAL |
Taxes | FQ, FY, TTM | INCOME_TAX |
Total operating expenses | FQ, FY, TTM | TOTAL_OPER_EXPENSE |
Total revenue | FQ, FY, TTM | TOTAL_REVENUE |
Unusual income/expense | FQ, FY | UNUSUAL_EXPENSE_INC |
Financial | Available periods | financial_id |
Accruals | FQ, FY | ACCRUALS_RATIO |
Altman Z-score | FQ, FY | ALTMAN_Z_SCORE |
Asset turnover | FQ, FY | ASSET_TURNOVER |
Beneish M-score | FQ, FY | BENEISH_M_SCORE |
Buyback yield % | FQ, FY | BUYBACK_YIELD |
COGS to revenue ratio | FQ, FY | COGS_TO_REVENUE |
Cash conversion cycle | FQ, FY | CASH_CONVERSION_CYCLE |
Cash to debt ratio | FQ, FY | CASH_TO_DEBT |
Current ratio | FQ, FY | CURRENT_RATIO |
Days inventory | FQ, FY | DAYS_INVENT |
Days payable | FQ, FY | DAYS_PAY |
Days sales outstanding | FQ, FY | DAY_SALES_OUT |
Debt to EBITDA ratio | FQ, FY | DEBT_TO_EBITDA |
Debt to assets ratio | FQ, FY | DEBT_TO_ASSET |
Debt to equity ratio | FQ, FY | DEBT_TO_EQUITY |
Debt to revenue ratio | FQ, FY | DEBT_TO_REVENUE |
Dividend payout ratio % | FQ, FY | DIVIDEND_PAYOUT_RATIO |
Dividend yield % | FQ, FY | DIVIDENDS_YIELD |
Dividends per share - common stock primary issue | FQ, FY | DPS_COMMON_STOCK_PRIM_ISSUE |
EBITDA margin % | FQ, FY, TTM | EBITDA_MARGIN |
EPS basic one year growth | FQ, FY | EARNINGS_PER_SHARE_BASIC_ONE_YEAR_GROWTH |
EPS diluted one year growth | FQ, FY | EARNINGS_PER_SHARE_DILUTED_ONE_YEAR_GROWTH |
EPS estimates | FQ, FY | EARNINGS_ESTIMATE |
Effective interest rate on debt % | FQ, FY | EFFECTIVE_INTEREST_RATE_ON_DEBT |
Enterprise value | FQ, FY | ENTERPRISE_VALUE |
Enterprise value to EBIT ratio | FQ, FY | EV_EBIT |
Enterprise value to EBITDA ratio | FQ, FY | ENTERPRISE_VALUE_EBITDA |
Enterprise value to revenue ratio | FQ, FY | EV_REVENUE |
Equity to assets ratio | FQ, FY | EQUITY_TO_ASSET |
Float shares outstanding | FY | FLOAT_SHARES_OUTSTANDING |
Free cash flow margin % | FQ, FY | FREE_CASH_FLOW_MARGIN |
Fulmer H factor | FQ, FY | FULMER_H_FACTOR |
Goodwill to assets ratio | FQ, FY | GOODWILL_TO_ASSET |
Graham's number | FQ, FY | GRAHAM_NUMBERS |
Gross margin % | FQ, FY, TTM | GROSS_MARGIN |
Gross profit to assets ratio | FQ, FY | GROSS_PROFIT_TO_ASSET |
Interest coverage | FQ, FY | INTERST_COVER |
Inventory to revenue ratio | FQ, FY | INVENT_TO_REVENUE |
Inventory turnover | FQ, FY | INVENT_TURNOVER |
KZ index | FY | KZ_INDEX |
Long term debt to total assets ratio | FQ, FY | LONG_TERM_DEBT_TO_ASSETS |
Net current asset value per share | FQ, FY | NCAVPS_RATIO |
Net income per employee | FY | NET_INCOME_PER_EMPLOYEE |
Net margin % | FQ, FY, TTM | NET_MARGIN |
Number of employees | FY | NUMBER_OF_EMPLOYEES |
Operating earnings yield % | FQ, FY | OPERATING_EARNINGS_YIELD |
Operating margin % | FQ, FY | OPERATING_MARGIN |
PEG ratio | FQ, FY | PEG_RATIO |
Piotroski F-score | FQ, FY | PIOTROSKI_F_SCORE |
Price earnings ratio forward | FQ, FY | PRICE_EARNINGS_FORWARD |
Price sales ratio forward | FQ, FY | PRICE_SALES_FORWARD |
Quality ratio | FQ, FY | QUALITY_RATIO |
Quick ratio | FQ, FY | QUICK_RATIO |
Research & development to revenue ratio | FQ, FY | RESEARCH_AND_DEVELOP_TO_REVENUE |
Return on assets % | FQ, FY | RETURN_ON_ASSETS |
Return on common equity % | FQ, FY | RETURN_ON_COMMON_EQUITY |
Return on equity % | FQ, FY | RETURN_ON_EQUITY |
Return on equity adjusted to book value % | FQ, FY | RETURN_ON_EQUITY_ADJUST_TO_BOOK |
Return on invested capital % | FQ, FY | RETURN_ON_INVESTED_CAPITAL |
Return on tangible assets % | FQ, FY | RETURN_ON_TANG_ASSETS |
Return on tangible equity % | FQ, FY | RETURN_ON_TANG_EQUITY |
Revenue estimates | FQ, FY | SALES_ESTIMATES |
Revenue one year growth | FQ, FY | REVENUE_ONE_YEAR_GROWTH |
Revenue per employee | FY | REVENUE_PER_EMPLOYEE |
Shares buyback ratio % | FQ, FY | SHARE_BUYBACK_RATIO |
Sloan ratio % | FQ, FY | SLOAN_RATIO |
Springate score | FQ, FY | SPRINGATE_SCORE |
Sustainable growth rate | FQ, FY | SUSTAINABLE_GROWTH_RATE |
Tangible common equity ratio | FQ, FY | TANGIBLE_COMMON_EQUITY_RATIO |
Tobin's Q (approximate) | FQ, FY | TOBIN_Q_RATIO |
Total common shares outstanding | FQ, FY | TOTAL_SHARES_OUTSTANDING |
Zmijewski score | FQ, FY | ZMIJEWSKI_SCORE |