Hi,
I noticed that some measures for ETF (and potentially other instruments) are computed the next day. For example below (or TR.SharesOutstanding).
When we pull data via API, do these figure appear against 'calc date' or the 'actual date' for which data point belong to? I have a feeling that they appear incorrectly against 'calc date' but may be wrong. Any help will be greatly appreciated. I need to undetstand if I need to shift them against other columns including price, market cap etc.
If there is a documentation around it for future, that may be helpful too.
Thanks