Get redemption windows for a specific registered fund.

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Overview

Redemption windows are issued by funds and delivered via Monark's APIs. The windows feature a startDate and endDate, which specify the "window" during which redemption transactions can be submitted against any fund.

Please note that the NAV that the redemption will be processed at will not be known until reported by the fund. As such, when creating transactions that have side = REDEMPTION please pass a number of shares and not a dollar amount. See the transactions endpoint for more.

Path Params
uuid
required
Query Params
int32
int32
string
enum
Allowed:
date-time
date-time
string
enum
Defaults to Descending
Allowed:
boolean
Defaults to false
Response

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