ft-webplatform/scripts/labels.json
Martin Donnelly 76920442b1 init
2017-09-28 13:04:16 +01:00

235 lines
4.8 KiB
JSON

[
"1-yr",
"10-Hypo-text-Bottom",
"10-Hypo-text-Top",
"10-yr",
"10yr",
"15-yr",
"1yr",
"250k-499k",
"3-yr",
"3yr",
"5-yr",
"500k-999k",
"50k-99k",
"52-week-range-heading",
"5yr",
"7-day-current-yield",
"7-day-effective-yield",
"actual-allocation",
"actual-allocation-type",
"add-to-factsheet-to-cart",
"add-to-favourite.add",
"additional-tax-information",
"advantage-hypo-para",
"after-shares-sold",
"all",
"all-fund-distribution-message",
"allocation",
"amount",
"AS_OF_DATE",
"as-of",
"asset-class-exposure-calculation-type",
"assetclass",
"at-nav",
"ataatr-info-text",
"aum",
"before-shares-sold",
"below-investment-grade",
"calendar-year-1yr",
"calendar-year-2yr",
"calendar-year-3yr",
"calendar-year-4yr",
"calendar-year-5yr",
"calendar-year-6yr",
"capital-gain-distributions",
"cash-and-cash-equv",
"category",
"chart",
"chart-alternate",
"close",
"compare-selected-funds",
"component-heading",
"component-sub-heading",
"component-subheading",
"component-subheading-sector-exposure",
"contact-us-info",
"cumulative-performance-heading",
"currency",
"daily-fund-prices",
"date-selector-info",
"direct-usgovt-obligations",
"discrete-1yr",
"discrete-2yr",
"discrete-3yr",
"discrete-4yr",
"discrete-5yr",
"distribution-date",
"distribution-rate-and-breakpoints",
"distributions",
"distributions-estimates",
"dividend-distributions",
"dividends",
"dividends-per-share",
"dividends-received-deduction",
"domicile",
"download",
"download-all-holdings",
"etf",
"ex-date",
"ex-dividend-date",
"expenses-collapse",
"expenses-collapse.cdsc",
"expenses-collapse.gross",
"expenses-collapse.max",
"expenses-collapse.net",
"expenses-collapse.ratio",
"expenses-collapse.sales-charges",
"factsheet",
"fav",
"favouriteonly",
"federal-id-number",
"find-a-fund",
"flag.hard-closure",
"flag.soft-closure",
"for-tax-year",
"foreign-tax-credit-information-label",
"fund-identifiers",
"fund-information",
"fund-name",
"fund-number",
"fund-with-sales-charge",
"fund-without-sales-charge",
"fundname-shareclass-seperator",
"funds-selected",
"further-information",
"geographic-exposure-calculation-type",
"gross-exposure-calculation-type",
"gross-exposure-coloum",
"heading",
"highest-lowest-nav",
"highest-nav",
"historical-data-link-text",
"holdings",
"hypothetical-chart-title",
"important-fund-info",
"inception",
"inception-date",
"income-use",
"info-collapse-content",
"info-modal-content",
"info-modal-content-2",
"info-modal-content-3",
"investment",
"investment-grade",
"isin",
"issuers",
"less-than-50k",
"life",
"long-term-cap-gains-label",
"lowest-nav",
"manager-allocation-calc-type",
"market-value",
"mdash",
"millions-indicator",
"money-funds",
"month",
"month-end",
"morningstar-category",
"morningstar-rating",
"morningstar.not-rated",
"morningstar.rating-too-low",
"name",
"nav",
"NAV",
"NAV-as-of-post",
"NAV-as-of-pre",
"nav-change",
"NAV-change",
"NAV-high",
"NAV-low",
"NAV-sub",
"nav-total-return",
"nb-funds-in-category",
"net-exposure-calculation-type",
"net-exposure-coloum",
"next",
"no-data-msg",
"no-distribution-paid-message",
"no-distributions",
"no-managers-message",
"no-results-message",
"non-tax-free-income-fund-para",
"non-taxable-return-of-capital-label",
"not-applicable-message",
"not-rated",
"notional-value",
"of",
"off",
"on",
"ongoing-charges",
"ordinary-dividends-info-text",
"ordinary-dividends-label",
"other",
"overall",
"pay-date-label",
"payable-date",
"performance-annualised-heading",
"performance-tab",
"POP",
"POP-sales-charge-heading",
"POP-sub",
"positions-heading",
"positions-not-available",
"previous",
"qualified-dividend-income-info-text",
"qualified-dividend-income-label",
"quarter-end",
"ratings-tab",
"read-important",
"record-date",
"record-date-label",
"refunded",
"reinvestment-date",
"reinvestment-price",
"reset-to-current",
"sales-charge",
"salescharges",
"schedules",
"search-fields",
"sector",
"security-name",
"share-class",
"share-prices-heading",
"show-performance",
"showing",
"specified-private-activity-bond-interest",
"statistics-heading",
"subheading",
"symbol",
"table",
"table-heading",
"target-allocation",
"target-allocation-type",
"tax-exempt-income-jurisdiction-label",
"tax-exempt-income-label",
"tax-year",
"ter",
"ticker",
"total-distributions-label",
"total-label",
"updated-daily",
"updated-monthly",
"value",
"view-historical-data",
"weight",
"year",
"year-end-message",
"year-to-date-distributions-per-share",
"yield-tab",
"yield.w-waiver",
"yield.wo-waiver",
"ytd",
"ytd-total-ret"
]