Dear Refinitiv Developer Support,
I’m retrieving adjusted close prices (reflecting splits & dividends) for Nordic stocks, specifically NAS.OL, but encountering issues:
- Correct Data Field?
TR.ClosePrice or TR.PRICECLOSE
does not return expected values.- What is the correct field for fully adjusted prices?
- Mismatch with Refinitiv Workspace:
- API values differ from those in Workspace.
- How can I replicate Workspace-adjusted prices via API?
- Weekly Returns:
- API returns weekly data with Sundays as reference—how to align with last trading day?
- Is
TR.TotalReturn1Wk
the best alternative?
Would appreciate clarification on the right fields & API entitlements to access this data.
Best regards,
Karsten Haugland
Norwegian University of Science and Technology