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Version: pre-release (v0.79)

List accounts

GET 

/api/v2/accounts

Get a list of accounts matching the supplied filter, including their current balances. If a given account has never had a balance, it will be absent from the list.

Request

Query Parameters

    filter.assetId string

    Restrict accounts to those holding balances in this asset ID.

    filter.partyIds string[]

    Restrict accounts to those owned by the parties in this list. Pass an empty list for no filter.

    filter.marketIds string[]

    Restrict accounts to those connected to the markets in this list. Pass an empty list for no filter.

    filter.accountTypes string[]

    Possible values: [ACCOUNT_TYPE_UNSPECIFIED, ACCOUNT_TYPE_INSURANCE, ACCOUNT_TYPE_SETTLEMENT, ACCOUNT_TYPE_MARGIN, ACCOUNT_TYPE_GENERAL, ACCOUNT_TYPE_FEES_INFRASTRUCTURE, ACCOUNT_TYPE_FEES_LIQUIDITY, ACCOUNT_TYPE_FEES_MAKER, ACCOUNT_TYPE_BOND, ACCOUNT_TYPE_EXTERNAL, ACCOUNT_TYPE_GLOBAL_INSURANCE, ACCOUNT_TYPE_GLOBAL_REWARD, ACCOUNT_TYPE_PENDING_TRANSFERS, ACCOUNT_TYPE_REWARD_MAKER_PAID_FEES, ACCOUNT_TYPE_REWARD_MAKER_RECEIVED_FEES, ACCOUNT_TYPE_REWARD_LP_RECEIVED_FEES, ACCOUNT_TYPE_REWARD_MARKET_PROPOSERS, ACCOUNT_TYPE_HOLDING, ACCOUNT_TYPE_LP_LIQUIDITY_FEES, ACCOUNT_TYPE_LIQUIDITY_FEES_BONUS_DISTRIBUTION, ACCOUNT_TYPE_NETWORK_TREASURY, ACCOUNT_TYPE_VESTING_REWARDS, ACCOUNT_TYPE_VESTED_REWARDS, ACCOUNT_TYPE_REWARD_RELATIVE_RETURN, ACCOUNT_TYPE_REWARD_RETURN_VOLATILITY, ACCOUNT_TYPE_REWARD_VALIDATOR_RANKING, ACCOUNT_TYPE_PENDING_FEE_REFERRAL_REWARD, ACCOUNT_TYPE_ORDER_MARGIN, ACCOUNT_TYPE_REWARD_REALISED_RETURN, ACCOUNT_TYPE_BUY_BACK_FEES, ACCOUNT_TYPE_REWARD_AVERAGE_NOTIONAL, ACCOUNT_TYPE_REWARD_ELIGIBLE_ENTITIES]

    Restrict accounts to those connected to any of the types in this list. Pass an empty list for no filter.

    • ACCOUNT_TYPE_UNSPECIFIED: Default value
    • ACCOUNT_TYPE_INSURANCE: Insurance pool accounts contain insurance pool funds for a market
    • ACCOUNT_TYPE_SETTLEMENT: Settlement accounts exist only during settlement or mark-to-market
    • ACCOUNT_TYPE_MARGIN: Margin accounts contain funds set aside for the margin needed to support a party's open positions. Each party will have a margin account for each market they have traded in. Required initial margin is allocated to each market from user's general account. Collateral in the margin account can't be withdrawn or used as margin on another market until it is released back to the general account. Vega protocol uses an internal accounting system to segregate funds held as margin from other funds to ensure they are never lost or 'double spent'

    Margin account funds will vary as margin requirements on positions change

    • ACCOUNT_TYPE_GENERAL: General accounts contain the collateral for a party that is not otherwise allocated. A party will have multiple general accounts, one for each asset they want to trade with

    General accounts are where funds are initially deposited or withdrawn from, it is also the account where funds are taken to fulfil fees and initial margin requirements

    • ACCOUNT_TYPE_FEES_INFRASTRUCTURE: Infrastructure accounts contain fees earned by providing infrastructure on Vega
    • ACCOUNT_TYPE_FEES_LIQUIDITY: Liquidity accounts contain fees earned by providing liquidity on Vega markets
    • ACCOUNT_TYPE_FEES_MAKER: This account is created to hold fees earned by placing orders that sit on the book and are then matched with an incoming order to create a trade - These fees reward parties who provide the best priced liquidity that actually allows trading to take place
    • ACCOUNT_TYPE_BOND: This account is created to maintain liquidity providers funds commitments
    • ACCOUNT_TYPE_EXTERNAL: External account represents an external source (deposit/withdrawal)
    • ACCOUNT_TYPE_GLOBAL_INSURANCE: Global insurance account for the asset
    • ACCOUNT_TYPE_GLOBAL_REWARD: Global reward account for the asset
    • ACCOUNT_TYPE_PENDING_TRANSFERS: Per asset account used to store pending transfers (if any)
    • ACCOUNT_TYPE_REWARD_MAKER_PAID_FEES: Per asset reward account for fees paid to makers
    • ACCOUNT_TYPE_REWARD_MAKER_RECEIVED_FEES: Per asset reward account for fees received by makers
    • ACCOUNT_TYPE_REWARD_LP_RECEIVED_FEES: Per asset reward account for fees received by liquidity providers
    • ACCOUNT_TYPE_REWARD_MARKET_PROPOSERS: Per asset reward account for market proposers when the market goes above some trading threshold
    • ACCOUNT_TYPE_HOLDING: Per asset account for holding in-flight unfilled orders' funds
    • ACCOUNT_TYPE_LP_LIQUIDITY_FEES: Network controlled liquidity provider's account, per market, to hold accrued liquidity fees.
    • ACCOUNT_TYPE_LIQUIDITY_FEES_BONUS_DISTRIBUTION: Network controlled liquidity fees bonus distribution account, per market.
    • ACCOUNT_TYPE_NETWORK_TREASURY: Network controlled treasury
    • ACCOUNT_TYPE_VESTING_REWARDS: Account holding user's rewards for the vesting period
    • ACCOUNT_TYPE_VESTED_REWARDS: Account holding user's rewards after the vesting period
    • ACCOUNT_TYPE_REWARD_RELATIVE_RETURN: Per asset market reward account given for relative return
    • ACCOUNT_TYPE_REWARD_RETURN_VOLATILITY: Per asset market reward account given for return volatility
    • ACCOUNT_TYPE_REWARD_VALIDATOR_RANKING: Per asset market reward account given to validators by their ranking
    • ACCOUNT_TYPE_PENDING_FEE_REFERRAL_REWARD: Per asset account for pending fee referral reward payouts
    • ACCOUNT_TYPE_ORDER_MARGIN: Per asset market account for party in isolated margin mode
    • ACCOUNT_TYPE_REWARD_REALISED_RETURN: Per asset market reward account for realised return
    • ACCOUNT_TYPE_BUY_BACK_FEES: Per asset account for paid buy-back fees
    • ACCOUNT_TYPE_REWARD_AVERAGE_NOTIONAL: Per asset market reward account given for average notional
    • ACCOUNT_TYPE_REWARD_ELIGIBLE_ENTITIES: Reward account for the eligible entities metric.
    pagination.first int32

    Number of records to be returned that sort greater than row identified by cursor supplied in 'after'.

    pagination.after string

    If paging forwards, the cursor string for the last row of the previous page.

    pagination.last int32

    Number of records to be returned that sort less than row identified by cursor supplied in 'before'.

    pagination.before string

    If paging forwards, the cursor string for the first row of the previous page.

    pagination.newestFirst boolean

    Whether to order the results with the newest records first. If not set, the default value is true.

    includeDerivedParties boolean

    Whether to return all derived parties from AMMs for the given party. If used, party ID is required.

Responses

A successful response.

Schema
    accounts object

    Page of accounts data and corresponding page information.

    edges object[]

    Page of accounts data and their corresponding cursors.

  • Array [
  • cursor string

    Cursor that can be used to fetch further pages with reference to this account.

    node object

    Account balance data.

    asset string

    Asset ID for the account.

    balance string

    Asset balance represented as an integer, for example 123456 is a correctly formatted price of 1.23456 assuming market configured to 5 decimal places. Balances cannot be negative.

    marketId string

    Market ID for the account, this field will be empty if the asset is in a general account.

    owner string

    Party that owns the account. Special values include network - represents the Vega network and is most commonly seen during liquidation of a distressed trading position.

    parentPartyId string

    Parent party ID of the account. This field is optional and is used in cases where the account is derived from another party's account.

    type Various collateral/account types as used by Vega (string)

    Possible values: [ACCOUNT_TYPE_UNSPECIFIED, ACCOUNT_TYPE_INSURANCE, ACCOUNT_TYPE_SETTLEMENT, ACCOUNT_TYPE_MARGIN, ACCOUNT_TYPE_GENERAL, ACCOUNT_TYPE_FEES_INFRASTRUCTURE, ACCOUNT_TYPE_FEES_LIQUIDITY, ACCOUNT_TYPE_FEES_MAKER, ACCOUNT_TYPE_BOND, ACCOUNT_TYPE_EXTERNAL, ACCOUNT_TYPE_GLOBAL_INSURANCE, ACCOUNT_TYPE_GLOBAL_REWARD, ACCOUNT_TYPE_PENDING_TRANSFERS, ACCOUNT_TYPE_REWARD_MAKER_PAID_FEES, ACCOUNT_TYPE_REWARD_MAKER_RECEIVED_FEES, ACCOUNT_TYPE_REWARD_LP_RECEIVED_FEES, ACCOUNT_TYPE_REWARD_MARKET_PROPOSERS, ACCOUNT_TYPE_HOLDING, ACCOUNT_TYPE_LP_LIQUIDITY_FEES, ACCOUNT_TYPE_LIQUIDITY_FEES_BONUS_DISTRIBUTION, ACCOUNT_TYPE_NETWORK_TREASURY, ACCOUNT_TYPE_VESTING_REWARDS, ACCOUNT_TYPE_VESTED_REWARDS, ACCOUNT_TYPE_REWARD_RELATIVE_RETURN, ACCOUNT_TYPE_REWARD_RETURN_VOLATILITY, ACCOUNT_TYPE_REWARD_VALIDATOR_RANKING, ACCOUNT_TYPE_PENDING_FEE_REFERRAL_REWARD, ACCOUNT_TYPE_ORDER_MARGIN, ACCOUNT_TYPE_REWARD_REALISED_RETURN, ACCOUNT_TYPE_BUY_BACK_FEES, ACCOUNT_TYPE_REWARD_AVERAGE_NOTIONAL, ACCOUNT_TYPE_REWARD_ELIGIBLE_ENTITIES]

    Default value: ACCOUNT_TYPE_UNSPECIFIED

    Account type of this account.

  • ]
  • pageInfo object

    Page information that is used for fetching further pages.

    endCursor string

    End cursor.

    hasNextPage boolean

    Indicator if there is a next page.

    hasPreviousPage boolean

    Indicator if there is a previous page.

    startCursor string

    Start cursor.

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