dataPuller.dos 11 KB

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  1. module fundit::dataPuller
  2. use fundit::sqlUtilities
  3. /*
  4. * 取指数周收益
  5. *
  6. * get_index_weekly_rets("'FA00000WKG','FA00000WKH','IN0000007G'", 1990.01.01, today())
  7. */
  8. def get_index_weekly_rets(index_ids, start_date, end_date) {
  9. s_start_date = iif(start_date.isNull(), "", " AND price_date >= '" + start_date$STRING + "'")
  10. s_end_date = iif(end_date.isNull(), "", " AND price_date <= '" + end_date$STRING + "'")
  11. s_query = "SELECT factor_id AS index_id, year_week, price_date, factor_value AS cumulative_nav, ret_1w
  12. FROM pfdb.cm_factor_performance_weekly
  13. WHERE isvalid = 1
  14. AND factor_id IN (" + index_ids + ")" +
  15. s_start_date +
  16. s_end_date + "
  17. AND ret_1w IS NOT NULL
  18. UNION
  19. SELECT fund_id AS index_id, year_week, price_date, cumulative_nav, ret_1w
  20. FROM mfdb.fund_performance_weekly
  21. WHERE isvalid = 1
  22. AND fund_id IN (" + index_ids + ")" +
  23. s_start_date +
  24. s_end_date + "
  25. AND ret_1w IS NOT NULL
  26. ORDER BY year_week"
  27. conn = connect_mysql()
  28. t = odbc::query(conn, s_query)
  29. conn.close()
  30. return t
  31. }
  32. /*
  33. * 取基金周收益
  34. *
  35. *
  36. * get_fund_weekly_rets("'MF00003TMH','MF00003UQM'", 1990.01.01, null, true)
  37. */
  38. def get_fund_weekly_rets(fund_ids, start_date, end_date, isFromMySQL) {
  39. s_fund_id = iif(fund_ids.isNull(), "", " AND fund_id IN (" + fund_ids + ")")
  40. s_start_date = iif(start_date.isNull(), "", " AND price_date >= '" + start_date$STRING + "'")
  41. s_end_date = iif(end_date.isNull(), "", " AND price_date <= '" + end_date$STRING + "'")
  42. s_query = "SELECT fund_id, year_week, price_date, cumulative_nav, ret_1w
  43. FROM mfdb.fund_performance_weekly
  44. WHERE isvalid = 1 " +
  45. s_fund_id +
  46. s_start_date +
  47. s_end_date + "
  48. AND ret_1w IS NOT NULL
  49. ORDER BY fund_id, year_week"
  50. conn = connect_mysql()
  51. t = odbc::query(conn, s_query)
  52. conn.close()
  53. return t
  54. }
  55. /*
  56. * 取组合周收益
  57. * TODO: 增加从本地取数据的功能
  58. *
  59. *
  60. * get_portfolio_weekly_rets("166002,364640", 1990.01.01, today(), true)
  61. */
  62. def get_portfolio_weekly_rets(portfolio_ids, start_date, end_date, isFromMySQL) {
  63. s_portfolio_id = iif(portfolio_ids.isNull(), "", " AND portfolio_id IN (" + portfolio_ids + ")")
  64. s_query = "SELECT portfolio_id, year_week, price_date, cumulative_nav, ret_1w
  65. FROM pfdb.pf_portfolio_performance_weekly
  66. WHERE isvalid = 1 " +
  67. s_portfolio_id + "
  68. AND ret_1w IS NOT NULL
  69. AND price_date BETWEEN '" + start_date$STRING + "' AND '" + end_date$STRING + "'
  70. ORDER BY portfolio_id, year_week"
  71. conn = connect_mysql()
  72. t = odbc::query(conn, s_query)
  73. conn.close()
  74. return t
  75. }
  76. /*
  77. * 取公私募基金月收益
  78. *
  79. * get_fund_monthly_ret("'MF00003PW1','MF00003PW1'", 1990.01.01, today(), true)
  80. */
  81. def get_fund_monthly_ret(fund_ids, start_date, end_date, isFromMySQL) {
  82. yyyymm_start = start_date.temporalFormat("yyyy-MM")
  83. yyyymm_end = end_date.temporalFormat("yyyy-MM")
  84. if(isFromMySQL == true) {
  85. ret_table_name = "mfdb.fund_performance"
  86. s_query = "SELECT fund_id, end_date, price_date, ret_1m AS ret, cumulative_nav AS nav, ret_ytd_a, ret_incep_a
  87. FROM " + ret_table_name + "
  88. WHERE fund_id IN (" + fund_ids + ")
  89. AND isvalid = 1
  90. AND cumulative_nav > 0
  91. AND end_date BETWEEN '" + yyyymm_start + "' AND '" + yyyymm_end + "'
  92. ORDER BY fund_id, end_date"
  93. conn = connect_mysql()
  94. t = odbc::query(conn, s_query)
  95. conn.close()
  96. } else {
  97. tb_local = load_table_from_local("fundit", "mfdb.fund_performance")
  98. s_col = (sqlCol("fund_id"), sqlCol("end_date"), sqlColAlias(<ret_1m>, "ret"), sqlColAlias(<cumulative_nav>, "nav"), sqlCol("ret_ytd_a"), sqlCol("ret_incep_a"))
  99. s_where = expr(<fund_id>, in, fund_ids.strReplace("'", "").split(","))
  100. t = sql(s_col, tb_local, s_where).eval()
  101. }
  102. return t
  103. }
  104. /*
  105. * 取无风险月度利率
  106. *
  107. * get_risk_free_rate("IN0000000M", 1990.01.01, today())
  108. */
  109. def get_risk_free_rate(index_id, start_date, end_date) {
  110. return get_fund_monthly_ret(index_id, start_date, end_date, true)
  111. }
  112. /*
  113. * 取基金最新收益及净值
  114. *
  115. * get_fund_latest_nav_performance("'HF000004KN','HF00018WXG'")
  116. */
  117. def get_fund_latest_nav_performance(fund_ids, isFromMySQL) {
  118. if(isFromMySQL == true) {
  119. s_query = "SELECT *
  120. FROM mfdb.fund_latest_nav_performance
  121. WHERE fund_id IN (" + fund_ids + ")
  122. AND isvalid = 1
  123. ORDER BY fund_id"
  124. conn = connect_mysql()
  125. t = odbc::query(conn, s_query)
  126. conn.close()
  127. } else {
  128. tb_local = load_table_from_local("fundit", "mfdb.fund_latest_nav_performance")
  129. s_col = sqlCol("*")
  130. s_where = expr(<fund_id>, in, fund_ids.strReplace("'", "").split(","))
  131. t = sql(s_col, tb_local, s_where).eval()
  132. }
  133. return t
  134. }
  135. /*
  136. * 取私募基金净值
  137. *
  138. *
  139. *
  140. * Create: 202408 Joey
  141. * TODO: add isvalid and nav > 0 for local version
  142. *
  143. *
  144. * Example: get_hedge_fund_nav_by_price_date("'HF000004KN','HF00018WXG'", 2024.05.01, true)
  145. */
  146. def get_hedge_fund_nav_by_price_date(fund_ids, price_date, isFromMySQL) {
  147. s_fund_ids = '';
  148. // 判断输入的 fund_ids 是字符串标量还是向量
  149. if ( fund_ids.form() == 0 ) {
  150. s_fund_ids = fund_ids;
  151. } else {
  152. s_fund_ids = "'" + fund_ids.concat("','") + "'";
  153. }
  154. if(isFromMySQL == true) {
  155. nav_table_name = "mfdb.nav"
  156. s_query = "SELECT fund_id, price_date, cumulative_nav
  157. FROM " + nav_table_name + "
  158. WHERE fund_id IN (" + s_fund_ids + ")
  159. AND isvalid = 1
  160. AND cumulative_nav > 0
  161. AND price_date >= '" + price_date$STRING + "'
  162. ORDER BY fund_id, price_date"
  163. conn = connect_mysql()
  164. t = odbc::query(conn, s_query)
  165. conn.close()
  166. } else {
  167. tb_local = load_table_from_local("fundit", "mfdb.nav")
  168. s_col = sqlCol("*")
  169. s_where = [expr(<fund_id>, in, fund_ids.strReplace("'", "").split(",")), <price_date >= price_date>]
  170. t = sql(s_col, tb_local, s_where).eval()
  171. }
  172. return t
  173. }
  174. /*
  175. * 取指数因子点位
  176. *
  177. * get_index_nav_by_price_date("'IN00000008','FA00000WKG'", 2024.06.01)
  178. */
  179. def get_index_nav_by_price_date(index_ids, price_date) {
  180. s_query = "SELECT index_id, price_date, close AS cumulative_nav
  181. FROM mfdb.market_indexes
  182. WHERE index_id IN (" + index_ids + ")
  183. AND isvalid = 1
  184. AND close > 0
  185. AND price_date >= '" + price_date + "'
  186. UNION
  187. SELECT index_id AS index_id, price_date, index_value AS cumulative_nav
  188. FROM mfdb.indexes_ty_index
  189. WHERE index_id IN (" + index_ids + ")
  190. AND isvalid = 1
  191. AND index_value > 0
  192. AND price_date >= '" + price_date + "'
  193. UNION
  194. SELECT factor_id AS index_id, price_date, factor_value AS cumulative_nav
  195. FROM pfdb.cm_factor_value
  196. WHERE factor_id IN (" + index_ids + ")
  197. AND isvalid = 1
  198. AND factor_value > 0
  199. AND price_date >= '" + price_date + "'
  200. ORDER BY price_date"
  201. conn = connect_mysql()
  202. t = odbc::query(conn, s_query)
  203. conn.close()
  204. return t
  205. }
  206. /*
  207. * 取有效基金基本信息
  208. *
  209. * get_fund_info("'HF000004KN','HF00018WXG'")
  210. */
  211. def get_fund_info(fund_ids) {
  212. s_query = "SELECT fi.fund_id, fi.inception_date, fi.primary_benchmark_id AS benchmark_id, IFNULL(fi.initial_unit_value, 1) AS ini_value, fs.strategy, fs.substrategy
  213. FROM mfdb.fund_information fi
  214. INNER JOIN mfdb.fund_strategy fs ON fi.fund_id = fs.fund_id AND fs.isvalid = 1
  215. WHERE fi.fund_id IN (" + fund_ids + ")
  216. AND fi.isvalid = 1
  217. ORDER BY fi.fund_id"
  218. conn = connect_mysql()
  219. t = odbc::query(conn, s_query)
  220. conn.close()
  221. return t
  222. }
  223. /*
  224. * 取私募基金净值更新信息, 返回基金及其净值更新的最早净值日期
  225. *
  226. * @param fund_ids: fund_id STRING VECTOR
  227. * @param update_time: all updates after this time
  228. *
  229. * Example: get_fund_list_by_nav_updatetime(null, 2024.07.19T10:00:00)
  230. *
  231. */
  232. def get_fund_list_by_nav_updatetime(fund_ids, updatetime) {
  233. s_fund_sql = '';
  234. // 这里要用 isVoid, 因为 isNull对向量返回的是布尔向量
  235. if (! isVoid(fund_ids)){
  236. s_fund_ids = fund_ids.concat("','");
  237. s_fund_sql = " AND fi.fund_id IN ('" + s_fund_ids + "')";
  238. }
  239. s_query = "SELECT fi.fund_id, MIN(nav.price_date) AS price_date,
  240. fi.inception_date, fi.primary_benchmark_id AS benchmark_id, IFNULL(fi.initial_unit_value, 1) AS ini_value
  241. FROM mfdb.fund_information fi
  242. INNER JOIN mfdb.nav ON fi.fund_id = nav.fund_id
  243. WHERE fi.isvalid = 1" +
  244. s_fund_sql + "
  245. AND nav.cumulative_nav > 0
  246. AND nav.updatetime >= '" + updatetime + "'
  247. GROUP BY fi.fund_id
  248. ORDER BY fi.fund_id"
  249. conn = connect_mysql()
  250. t = odbc::query(conn, s_query)
  251. conn.close()
  252. return t
  253. }
  254. /*
  255. * 取私募基金用于月末 fund_performance 表更新的净值
  256. *
  257. * @param fund_ids: 逗号分隔的ID字符串, 每个ID都有''
  258. * @param month_end: 月末日期字符串 YYYY-MM
  259. *
  260. *
  261. */
  262. def get_nav_for_hedge_fund_performance(fund_ids, month_end) {
  263. s_query = "CALL pfdb.sp_get_nav_for_fund_performance(" + fund_ids + ", '" + month_end + "', 1);"
  264. conn = connect_mysql()
  265. t = odbc::query(conn, s_query)
  266. conn.close()
  267. return t
  268. }
  269. /*
  270. * 取组合交易表
  271. *
  272. *
  273. * Example: get_portfolio_holding_history("166002,364640")
  274. */
  275. def get_portfolio_holding_history(portfolio_ids) {
  276. s_query = "SELECT portfolio_id, holding_date, fund_id, amount, fund_share, ROUND(amount/fund_share, 6) AS nav
  277. FROM pfdb.pf_portfolio_fund_history
  278. WHERE portfolio_id IN (" + portfolio_ids + ")
  279. AND isvalid = 1
  280. ORDER BY portfolio_id, holding_date";
  281. conn = connect_mysql();
  282. t = odbc::query(conn, s_query);
  283. conn.close();
  284. return t;
  285. }
  286. /*
  287. * 取基金证券从某日期后的所有净值
  288. * @param json_query <JSON>: [{sec_id:xxx, holding_date: yyyy-mm-dd}]
  289. *
  290. */
  291. def get_holding_nav(json_query) {
  292. s_query = "CALL pfdb.sp_get_nav_after_date('" + json_query + "')";
  293. conn = connect_mysql();
  294. t = odbc::query(conn, s_query);
  295. conn.close();
  296. return t;
  297. }