Interface | Description |
---|---|
AccountLedger.LedgerEventId |
Class | Description |
---|---|
Account | |
Account.AccountAsset | |
Account.AccountCurrency | |
Account.AccountInfo | |
Account.AccountLease | |
Account.AccountProperty | |
Account.PublicKey | |
AccountControlFxtTransactionType | |
AccountInfoAttachment | |
AccountLedger |
Maintain a ledger of changes to selected accounts
|
AccountLedger.LedgerEntry |
Ledger entry
|
AccountPropertyAttachment | |
AccountPropertyDeleteAttachment | |
AccountPropertyTransactionType | |
AccountRestrictions | |
AccountRestrictions.PhasingOnly | |
BalanceHome | |
EffectiveBalanceLeasingAttachment | |
FundingMonitor |
Monitor account balances based on account properties
|
FundingMonitor.MonitoredAccount |
Monitored account
|
PaymentAttachment | |
PaymentFxtAttachment | |
PaymentFxtTransactionType | |
PaymentTransactionType | |
PublicKeyAnnouncementAppendix | |
Token |
Enum | Description |
---|---|
Account.ControlType | |
Account.Event | |
AccountLedger.Event |
Account ledger listener events
|
AccountLedger.LedgerEvent |
Ledger events
There must be a ledger event defined for each transaction (type,subtype) pair.
|
AccountLedger.LedgerHolding |
Ledger holdings
When adding a new holding, do not change the existing code assignments since
they are stored in the holding_type field of the account_ledger table.
|
BalanceHome.Event | |
HoldingType |