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Financial MCP Server

fetch_net_worth.json12 kB
{ "netWorthResponse": { "assetValues": [ { "netWorthAttribute": "ASSET_TYPE_MUTUAL_FUND", "value": { "currencyCode": "INR", "units": "169919" } }, { "netWorthAttribute": "ASSET_TYPE_EPF", "value": { "currencyCode": "INR", "units": "635000" } }, { "netWorthAttribute": "ASSET_TYPE_DEPOSITS", "value": { "currencyCode": "INR", "units": "650000" } }, { "netWorthAttribute": "ASSET_TYPE_ETF", "value": { "currencyCode": "INR", "units": "16815" } }, { "netWorthAttribute": "ASSET_TYPE_SAVINGS_ACCOUNTS", "value": { "currencyCode": "INR", "units": "250000" } } ], "totalNetWorthValue": { "currencyCode": "INR", "units": "1721734" } }, "mfSchemeAnalytics": { "schemeAnalytics": [ { "schemeDetail": { "amc": "NIPPON_INDIA_MUTUAL_FUND", "nameData": { "longName": "Nippon India Corporate Bond Fund - Direct Growth" }, "planType": "DIRECT", "investmentType": "OPEN", "optionType": "GROWTH", "divReinvOptionType": "NOT_APPLICABLE", "nav": { "currencyCode": "INR", "units": "21", "nanos": 500000000 }, "assetClass": "DEBT", "isinNumber": "INF179KB1HS3", "categoryName": "CORPORATE_BOND_FUND", "fundhouseDefinedRiskLevel": "MODERATE_RISK" }, "enrichedAnalytics": { "analytics": { "schemeDetails": { "currentValue": { "currencyCode": "INR", "units": "59058" }, "investedValue": { "currencyCode": "INR", "units": "52000" }, "XIRR": 8.15, "absoluteReturns": { "currencyCode": "INR", "units": "7058" }, "unrealisedReturns": { "currencyCode": "INR", "units": "7058" }, "navValue": { "currencyCode": "INR", "units": "21", "nanos": 500000000 }, "units": 2746.92 } } } }, { "schemeDetail": { "amc": "AXIS_MUTUAL_FUND", "nameData": { "longName": "Axis Treasury Advantage Fund - Direct Growth" }, "planType": "DIRECT", "investmentType": "OPEN", "optionType": "GROWTH", "divReinvOptionType": "NOT_APPLICABLE", "nav": { "currencyCode": "INR", "units": "128" }, "assetClass": "DEBT", "isinNumber": "INF174V01BL6", "categoryName": "LOW_DURATION_FUND", "fundhouseDefinedRiskLevel": "LOW_TO_MODERATE_RISK" }, "enrichedAnalytics": { "analytics": { "schemeDetails": { "currentValue": { "currencyCode": "INR", "units": "48326" }, "investedValue": { "currencyCode": "INR", "units": "45000" }, "XIRR": 7.80, "absoluteReturns": { "currencyCode": "INR", "units": "3326" }, "unrealisedReturns": { "currencyCode": "INR", "units": "3326" }, "navValue": { "currencyCode": "INR", "units": "128" }, "units": 377.55 } } } }, { "schemeDetail": { "amc": "UTI_MUTUAL_FUND", "nameData": { "longName": "UTI Money Market Fund - Direct Growth" }, "planType": "DIRECT", "investmentType": "OPEN", "optionType": "GROWTH", "divReinvOptionType": "NOT_APPLICABLE", "nav": { "currencyCode": "INR", "units": "3300" }, "assetClass": "DEBT", "isinNumber": "INF209K01YY1", "categoryName": "MONEY_MARKET_FUND", "fundhouseDefinedRiskLevel": "LOW_TO_MODERATE_RISK" }, "enrichedAnalytics": { "analytics": { "schemeDetails": { "currentValue": { "currencyCode": "INR", "units": "62535" }, "investedValue": { "currencyCode": "INR", "units": "60000" }, "XIRR": 7.10, "absoluteReturns": { "currencyCode": "INR", "units": "2535" }, "unrealisedReturns": { "currencyCode": "INR", "units": "2535" }, "navValue": { "currencyCode": "INR", "units": "3300" }, "units": 18.95 } } } }, { "schemeDetail": { "amc": "HDFC_MUTUAL_FUND", "nameData": { "longName": "HDFC Gold ETF" }, "planType": "DIRECT", "investmentType": "OPEN", "optionType": "GROWTH", "divReinvOptionType": "NOT_APPLICABLE", "nav": { "currencyCode": "INR", "units": "58" }, "assetClass": "COMMODITY", "isinNumber": "INF204KB17I9", "categoryName": "GOLD_ETF", "fundhouseDefinedRiskLevel": "HIGH_RISK" }, "enrichedAnalytics": { "analytics": { "schemeDetails": { "currentValue": { "currencyCode": "INR", "units": "16815" }, "investedValue": { "currencyCode": "INR", "units": "15000" }, "XIRR": 9.92, "absoluteReturns": { "currencyCode": "INR", "units": "1815" }, "unrealisedReturns": { "currencyCode": "INR", "units": "1815" }, "navValue": { "currencyCode": "INR", "units": "58" }, "units": 289.92 } } } } ] }, "accountDetailsBulkResponse": { "accountDetailsMap": { "a1b2c3d4-e5f6-7890-1234-567890abcdef": { "accountDetails": { "fipId": "fip@kfintech", "maskedAccountNumber": "XXXXXX1001", "accInstrumentType": "ACC_INSTRUMENT_TYPE_MUTUAL_FUNDS", "accountType": { "mutualFundAccountType": "MUTUAL_FUND_ACCOUNT_TYPE_FOLIO" }, "fipMeta": { "name": "KFintech", "displayName": "KFintech" } }, "mutualFundSummary": { "accountId": "a1b2c3d4-e5f6-7890-1234-567890abcdef", "currentValue": { "currencyCode": "INR", "units": "169919" }, "holdingsInfo": [ { "isin": "INF179KB1HS3", "folioNumber": "2002011001" }, { "isin": "INF174V01BL6", "folioNumber": "2002011001" }, { "isin": "INF209K01YY1", "folioNumber": "2002011001" } ] } }, "b2c3d4e5-f6a7-8901-2345-67890abcdef1": { "accountDetails": { "fipId": "fip@nsdl", "maskedAccountNumber": "XXXXXX0001", "accInstrumentType": "ACC_INSTRUMENT_TYPE_ETF", "accountType": { "etfAccountType": "ETF_ACCOUNT_TYPE_DEFAULT_TYPE" }, "fipMeta": { "name": "National Securities Depository Limited", "displayName": "NSDL" } }, "etfSummary": { "accountId": "b2c3d4e5-f6a7-8901-2345-67890abcdef1", "currentValue": { "currencyCode": "INR", "units": "16815" }, "holdingsInfo": [ { "isin": "INF204KB17I9", "units": 289.92, "nav": { "currencyCode": "INR", "units": "58" }, "lastNavDate": "2024-06-15T00:00:00Z", "isinDescription": "HDFC Gold ETF" } ] } }, "c3d4e5f6-a7b8-9012-3456-7890abcdef12": { "accountDetails": { "fipId": "fip@epfo", "maskedAccountNumber": "KABN-XXXX-XXXX", "accInstrumentType": "ACC_INSTRUMENT_TYPE_EPF", "accountType": { "epfAccountType": "EPF_ACCOUNT_TYPE_DEFAULT_TYPE" }, "fipMeta": { "name": "EPFO", "displayName": "EPFO" } }, "epfSummary": { "accountId": "c3d4e5f6-a7b8-9012-3456-7890abcdef12", "currentBalance": { "currencyCode": "INR", "units": "635000" }, "balanceDate": "2024-05-21T12:00:00Z" } }, "d4e5f6a7-b8c9-0123-4567-890abcdef123": { "accountDetails": { "fipId": "SBI-FIP", "maskedAccountNumber": "XXXXXX1122", "accInstrumentType": "ACC_INSTRUMENT_TYPE_DEPOSIT", "accountType": { "depositAccountType": "DEPOSIT_ACCOUNT_TYPE_FIXED" }, "fipMeta": { "name": "State Bank of India", "displayName": "SBI", "bank": "SBI" } }, "depositSummary": { "accountId": "d4e5f6a7-b8c9-0123-4567-890abcdef123", "currentBalance": { "currencyCode": "INR", "units": "500000" }, "balanceDate": "2024-06-15T10:00:00Z", "depositAccountType": "DEPOSIT_ACCOUNT_TYPE_FIXED", "depositAccountStatus": "DEPOSIT_ACCOUNT_STATUS_ACTIVE" } }, "e5f6a7b8-c9d0-1234-5678-90abcdef1234": { "accountDetails": { "fipId": "ICICI-FIP", "maskedAccountNumber": "XXXXXX3344", "accInstrumentType": "ACC_INSTRUMENT_TYPE_RECURRING_DEPOSIT", "accountType": { "recurringDepositAccountType": "RECURRING_DEPOSIT_ACCOUNT_TYPE_RECURRING" }, "fipMeta": { "name": "ICICI Bank", "displayName": "ICICI", "bank": "ICICI" } }, "recurringDepositSummary": { "accountId": "e5f6a7b8-c9d0-1234-5678-90abcdef1234", "currentPrincipalAmount": { "currencyCode": "INR", "units": "150000" }, "maturityDate": "2025-12-01T00:00:00Z" } }, "f6a7b8c9-d0e1-2345-6789-0abcdef12345": { "accountDetails": { "fipId": "SBI-FIP", "maskedAccountNumber": "XXXXXX5566", "accInstrumentType": "ACC_INSTRUMENT_TYPE_DEPOSIT", "accountType": { "depositAccountType": "DEPOSIT_ACCOUNT_TYPE_SAVINGS" }, "fipMeta": { "name": "State Bank of India", "displayName": "SBI", "bank": "SBI" } }, "depositSummary": { "accountId": "f6a7b8c9-d0e1-2345-6789-0abcdef12345", "currentBalance": { "currencyCode": "INR", "units": "250000" }, "balanceDate": "2024-06-15T18:00:00Z", "depositAccountType": "DEPOSIT_ACCOUNT_TYPE_SAVINGS", "depositAccountStatus": "DEPOSIT_ACCOUNT_STATUS_ACTIVE" } } } } }

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