Class: Plaid::AssetDetail
- Inherits:
-
Object
- Object
- Plaid::AssetDetail
- Defined in:
- lib/plaid/models/asset_detail.rb
Overview
Details about an asset.
Defined Under Namespace
Classes: EnumAttributeValidator
Instance Attribute Summary collapse
-
#asset_account_identifier ⇒ Object
A unique alphanumeric string identifying an asset.
-
#asset_as_of_date ⇒ Object
Account Report As of Date / Create Date.
-
#asset_available_balance_amount ⇒ Object
Asset Account Available Balance.
-
#asset_available_cash_balance_amount ⇒ Object
amount available for cash withdrawal.
-
#asset_bonds_balance_amount ⇒ Object
Total market value of all bonds held (non-restricted, vested).
-
#asset_cash_balance_amount ⇒ Object
cash balance of the account.
-
#asset_crypto_balance_amount ⇒ Object
Total balance of all cryptocurrency held (non-restricted, vested).
-
#asset_current_balance_amount ⇒ Object
A vendor created unique Identifier.
-
#asset_days_requested_count ⇒ Object
The Number of days requested made to the Financial Institution.
-
#asset_description ⇒ Object
A text description that further defines the Asset.
-
#asset_employer_sponsored_indicator ⇒ Object
Whether the account is employer sponsored retirement account or not (e.g., 401K, 403b, 457, thrift savings plan).
-
#asset_holding_balance_amount ⇒ Object
Total market value of holdings (non-restricted, vested, not crypto, not other, not cash) Note: Any employer stock plan balance must be excluded from the total account balance (identification is ‘stock plan’).
-
#asset_holding_balance_net_margin_amount ⇒ Object
HoldingsBalance net MarginAmount.
-
#asset_margin_amount_balance ⇒ Object
loan balance (amount owed by account owner).
-
#asset_other_balance_amount ⇒ Object
Total balance of all other holding types (non-restricted, vested).
-
#asset_ownership_type ⇒ Object
Ownership type of the asset account.
-
#asset_retirement_indicator ⇒ Object
Whether or not the account is a retirement account (e.g., 401K, 403b, 457, thrift savings plans, traditional and Roth, IRAs, SEP-IRA, SIMPLE-IRA, KEOGH, state retirement savings plans, other independent and IRS-qualified employer retirement plans).
-
#asset_stocks_balance_amount ⇒ Object
Total market value of all stocks held (non-restricted, vested, not employer sponsored stock plan).
-
#asset_type ⇒ Object
Returns the value of attribute asset_type.
-
#asset_type_additional_description ⇒ Object
Additional Asset Decription some examples are Investment Tax-Deferred , Loan, 401K, 403B, Checking, Money Market, Credit Card,ROTH,529,Biller,ROLLOVER,CD,Savings,Investment Taxable, IRA, Mortgage, Line Of Credit.
-
#asset_unique_identifier ⇒ Object
A vendor created unique Identifier.
Class Method Summary collapse
-
.acceptable_attributes ⇒ Object
Returns all the JSON keys this model knows about.
-
.attribute_map ⇒ Object
Attribute mapping from ruby-style variable name to JSON key.
-
.build_from_hash(attributes) ⇒ Object
Builds the object from hash.
-
.openapi_nullable ⇒ Object
List of attributes with nullable: true.
-
.openapi_types ⇒ Object
Attribute type mapping.
Instance Method Summary collapse
-
#==(o) ⇒ Object
Checks equality by comparing each attribute.
-
#_deserialize(type, value) ⇒ Object
Deserializes the data based on type.
-
#_to_hash(value) ⇒ Hash
Outputs non-array value in the form of hash For object, use to_hash.
-
#build_from_hash(attributes) ⇒ Object
Builds the object from hash.
- #eql?(o) ⇒ Boolean
-
#hash ⇒ Integer
Calculates hash code according to all attributes.
-
#initialize(attributes = {}) ⇒ AssetDetail
constructor
Initializes the object.
-
#list_invalid_properties ⇒ Object
Show invalid properties with the reasons.
-
#to_body ⇒ Hash
to_body is an alias to to_hash (backward compatibility).
-
#to_hash ⇒ Hash
Returns the object in the form of hash.
-
#to_s ⇒ String
Returns the string representation of the object.
-
#valid? ⇒ Boolean
Check to see if the all the properties in the model are valid.
Constructor Details
#initialize(attributes = {}) ⇒ AssetDetail
Initializes the object
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# File 'lib/plaid/models/asset_detail.rb', line 184 def initialize(attributes = {}) if (!attributes.is_a?(Hash)) fail ArgumentError, "The input argument (attributes) must be a hash in `Plaid::AssetDetail` initialize method" end # check to see if the attribute exists and convert string to symbol for hash key attributes = attributes.each_with_object({}) { |(k, v), h| if (!self.class.attribute_map.key?(k.to_sym)) fail ArgumentError, "`#{k}` is not a valid attribute in `Plaid::AssetDetail`. Please check the name to make sure it's valid. List of attributes: " + self.class.attribute_map.keys.inspect end h[k.to_sym] = v } if attributes.key?(:'asset_unique_identifier') self.asset_unique_identifier = attributes[:'asset_unique_identifier'] end if attributes.key?(:'asset_account_identifier') self.asset_account_identifier = attributes[:'asset_account_identifier'] end if attributes.key?(:'asset_as_of_date') self.asset_as_of_date = attributes[:'asset_as_of_date'] end if attributes.key?(:'asset_description') self.asset_description = attributes[:'asset_description'] end if attributes.key?(:'asset_available_balance_amount') self.asset_available_balance_amount = attributes[:'asset_available_balance_amount'] end if attributes.key?(:'asset_current_balance_amount') self.asset_current_balance_amount = attributes[:'asset_current_balance_amount'] end if attributes.key?(:'asset_holding_balance_amount') self.asset_holding_balance_amount = attributes[:'asset_holding_balance_amount'] end if attributes.key?(:'asset_holding_balance_net_margin_amount') self.asset_holding_balance_net_margin_amount = attributes[:'asset_holding_balance_net_margin_amount'] end if attributes.key?(:'asset_bonds_balance_amount') self.asset_bonds_balance_amount = attributes[:'asset_bonds_balance_amount'] end if attributes.key?(:'asset_stocks_balance_amount') self.asset_stocks_balance_amount = attributes[:'asset_stocks_balance_amount'] end if attributes.key?(:'asset_crypto_balance_amount') self.asset_crypto_balance_amount = attributes[:'asset_crypto_balance_amount'] end if attributes.key?(:'asset_other_balance_amount') self.asset_other_balance_amount = attributes[:'asset_other_balance_amount'] end if attributes.key?(:'asset_margin_amount_balance') self.asset_margin_amount_balance = attributes[:'asset_margin_amount_balance'] end if attributes.key?(:'asset_available_cash_balance_amount') self.asset_available_cash_balance_amount = attributes[:'asset_available_cash_balance_amount'] end if attributes.key?(:'asset_cash_balance_amount') self.asset_cash_balance_amount = attributes[:'asset_cash_balance_amount'] end if attributes.key?(:'asset_type') self.asset_type = attributes[:'asset_type'] end if attributes.key?(:'asset_type_additional_description') self.asset_type_additional_description = attributes[:'asset_type_additional_description'] end if attributes.key?(:'asset_days_requested_count') self.asset_days_requested_count = attributes[:'asset_days_requested_count'] end if attributes.key?(:'asset_ownership_type') self.asset_ownership_type = attributes[:'asset_ownership_type'] end if attributes.key?(:'asset_retirement_indicator') self.asset_retirement_indicator = attributes[:'asset_retirement_indicator'] end if attributes.key?(:'asset_employer_sponsored_indicator') self.asset_employer_sponsored_indicator = attributes[:'asset_employer_sponsored_indicator'] end end |
Instance Attribute Details
#asset_account_identifier ⇒ Object
A unique alphanumeric string identifying an asset.
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# File 'lib/plaid/models/asset_detail.rb', line 23 def asset_account_identifier @asset_account_identifier end |
#asset_as_of_date ⇒ Object
Account Report As of Date / Create Date. Format YYYY-MM-DD
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# File 'lib/plaid/models/asset_detail.rb', line 26 def asset_as_of_date @asset_as_of_date end |
#asset_available_balance_amount ⇒ Object
Asset Account Available Balance.
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# File 'lib/plaid/models/asset_detail.rb', line 32 def asset_available_balance_amount @asset_available_balance_amount end |
#asset_available_cash_balance_amount ⇒ Object
amount available for cash withdrawal
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# File 'lib/plaid/models/asset_detail.rb', line 59 def asset_available_cash_balance_amount @asset_available_cash_balance_amount end |
#asset_bonds_balance_amount ⇒ Object
Total market value of all bonds held (non-restricted, vested)
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# File 'lib/plaid/models/asset_detail.rb', line 44 def asset_bonds_balance_amount @asset_bonds_balance_amount end |
#asset_cash_balance_amount ⇒ Object
cash balance of the account
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# File 'lib/plaid/models/asset_detail.rb', line 62 def asset_cash_balance_amount @asset_cash_balance_amount end |
#asset_crypto_balance_amount ⇒ Object
Total balance of all cryptocurrency held (non-restricted, vested)
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# File 'lib/plaid/models/asset_detail.rb', line 50 def asset_crypto_balance_amount @asset_crypto_balance_amount end |
#asset_current_balance_amount ⇒ Object
A vendor created unique Identifier
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# File 'lib/plaid/models/asset_detail.rb', line 35 def asset_current_balance_amount @asset_current_balance_amount end |
#asset_days_requested_count ⇒ Object
The Number of days requested made to the Financial Institution. Example When looking for 3 months of data from the FI, pass in 90 days.
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# File 'lib/plaid/models/asset_detail.rb', line 70 def asset_days_requested_count @asset_days_requested_count end |
#asset_description ⇒ Object
A text description that further defines the Asset. This could be used to describe the shares associated with the stocks, bonds or mutual funds, retirement funds or business owned that the borrower has disclosed (named) as an asset.
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# File 'lib/plaid/models/asset_detail.rb', line 29 def asset_description @asset_description end |
#asset_employer_sponsored_indicator ⇒ Object
Whether the account is employer sponsored retirement account or not (e.g., 401K, 403b, 457, thrift savings plan)
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# File 'lib/plaid/models/asset_detail.rb', line 79 def asset_employer_sponsored_indicator @asset_employer_sponsored_indicator end |
#asset_holding_balance_amount ⇒ Object
Total market value of holdings (non-restricted, vested, not crypto, not other, not cash) Note: Any employer stock plan balance must be excluded from the total account balance (identification is ‘stock plan’)
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# File 'lib/plaid/models/asset_detail.rb', line 38 def asset_holding_balance_amount @asset_holding_balance_amount end |
#asset_holding_balance_net_margin_amount ⇒ Object
HoldingsBalance net MarginAmount
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# File 'lib/plaid/models/asset_detail.rb', line 41 def asset_holding_balance_net_margin_amount @asset_holding_balance_net_margin_amount end |
#asset_margin_amount_balance ⇒ Object
loan balance (amount owed by account owner)
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# File 'lib/plaid/models/asset_detail.rb', line 56 def asset_margin_amount_balance @asset_margin_amount_balance end |
#asset_other_balance_amount ⇒ Object
Total balance of all other holding types (non-restricted, vested)
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# File 'lib/plaid/models/asset_detail.rb', line 53 def asset_other_balance_amount @asset_other_balance_amount end |
#asset_ownership_type ⇒ Object
Ownership type of the asset account.
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# File 'lib/plaid/models/asset_detail.rb', line 73 def asset_ownership_type @asset_ownership_type end |
#asset_retirement_indicator ⇒ Object
Whether or not the account is a retirement account (e.g., 401K, 403b, 457, thrift savings plans, traditional and Roth, IRAs, SEP-IRA, SIMPLE-IRA, KEOGH, state retirement savings plans, other independent and IRS-qualified employer retirement plans)
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# File 'lib/plaid/models/asset_detail.rb', line 76 def asset_retirement_indicator @asset_retirement_indicator end |
#asset_stocks_balance_amount ⇒ Object
Total market value of all stocks held (non-restricted, vested, not employer sponsored stock plan)
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# File 'lib/plaid/models/asset_detail.rb', line 47 def asset_stocks_balance_amount @asset_stocks_balance_amount end |
#asset_type ⇒ Object
Returns the value of attribute asset_type.
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# File 'lib/plaid/models/asset_detail.rb', line 64 def asset_type @asset_type end |
#asset_type_additional_description ⇒ Object
Additional Asset Decription some examples are Investment Tax-Deferred , Loan, 401K, 403B, Checking, Money Market, Credit Card,ROTH,529,Biller,ROLLOVER,CD,Savings,Investment Taxable, IRA, Mortgage, Line Of Credit.
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# File 'lib/plaid/models/asset_detail.rb', line 67 def asset_type_additional_description @asset_type_additional_description end |
#asset_unique_identifier ⇒ Object
A vendor created unique Identifier.
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# File 'lib/plaid/models/asset_detail.rb', line 20 def asset_unique_identifier @asset_unique_identifier end |
Class Method Details
.acceptable_attributes ⇒ Object
Returns all the JSON keys this model knows about
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# File 'lib/plaid/models/asset_detail.rb', line 131 def self.acceptable_attributes attribute_map.values end |
.attribute_map ⇒ Object
Attribute mapping from ruby-style variable name to JSON key.
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# File 'lib/plaid/models/asset_detail.rb', line 104 def self.attribute_map { :'asset_unique_identifier' => :'AssetUniqueIdentifier', :'asset_account_identifier' => :'AssetAccountIdentifier', :'asset_as_of_date' => :'AssetAsOfDate', :'asset_description' => :'AssetDescription', :'asset_available_balance_amount' => :'AssetAvailableBalanceAmount', :'asset_current_balance_amount' => :'AssetCurrentBalanceAmount', :'asset_holding_balance_amount' => :'AssetHoldingBalanceAmount', :'asset_holding_balance_net_margin_amount' => :'AssetHoldingBalanceNetMarginAmount', :'asset_bonds_balance_amount' => :'AssetBondsBalanceAmount', :'asset_stocks_balance_amount' => :'AssetStocksBalanceAmount', :'asset_crypto_balance_amount' => :'AssetCryptoBalanceAmount', :'asset_other_balance_amount' => :'AssetOtherBalanceAmount', :'asset_margin_amount_balance' => :'AssetMarginAmountBalance', :'asset_available_cash_balance_amount' => :'AssetAvailableCashBalanceAmount', :'asset_cash_balance_amount' => :'AssetCashBalanceAmount', :'asset_type' => :'AssetType', :'asset_type_additional_description' => :'AssetTypeAdditionalDescription', :'asset_days_requested_count' => :'AssetDaysRequestedCount', :'asset_ownership_type' => :'AssetOwnershipType', :'asset_retirement_indicator' => :'AssetRetirementIndicator', :'asset_employer_sponsored_indicator' => :'AssetEmployerSponsoredIndicator' } end |
.build_from_hash(attributes) ⇒ Object
Builds the object from hash
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# File 'lib/plaid/models/asset_detail.rb', line 397 def self.build_from_hash(attributes) new.build_from_hash(attributes) end |
.openapi_nullable ⇒ Object
List of attributes with nullable: true
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# File 'lib/plaid/models/asset_detail.rb', line 163 def self.openapi_nullable Set.new([ :'asset_description', :'asset_holding_balance_amount', :'asset_holding_balance_net_margin_amount', :'asset_bonds_balance_amount', :'asset_stocks_balance_amount', :'asset_crypto_balance_amount', :'asset_other_balance_amount', :'asset_margin_amount_balance', :'asset_available_cash_balance_amount', :'asset_cash_balance_amount', :'asset_type_additional_description', :'asset_ownership_type', :'asset_retirement_indicator', :'asset_employer_sponsored_indicator' ]) end |
.openapi_types ⇒ Object
Attribute type mapping.
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# File 'lib/plaid/models/asset_detail.rb', line 136 def self.openapi_types { :'asset_unique_identifier' => :'String', :'asset_account_identifier' => :'String', :'asset_as_of_date' => :'String', :'asset_description' => :'String', :'asset_available_balance_amount' => :'Float', :'asset_current_balance_amount' => :'Float', :'asset_holding_balance_amount' => :'Float', :'asset_holding_balance_net_margin_amount' => :'Float', :'asset_bonds_balance_amount' => :'Float', :'asset_stocks_balance_amount' => :'Float', :'asset_crypto_balance_amount' => :'Float', :'asset_other_balance_amount' => :'Float', :'asset_margin_amount_balance' => :'Float', :'asset_available_cash_balance_amount' => :'Float', :'asset_cash_balance_amount' => :'Float', :'asset_type' => :'AssetType', :'asset_type_additional_description' => :'String', :'asset_days_requested_count' => :'Integer', :'asset_ownership_type' => :'String', :'asset_retirement_indicator' => :'String', :'asset_employer_sponsored_indicator' => :'String' } end |
Instance Method Details
#==(o) ⇒ Object
Checks equality by comparing each attribute.
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# File 'lib/plaid/models/asset_detail.rb', line 356 def ==(o) return true if self.equal?(o) self.class == o.class && asset_unique_identifier == o.asset_unique_identifier && asset_account_identifier == o.asset_account_identifier && asset_as_of_date == o.asset_as_of_date && asset_description == o.asset_description && asset_available_balance_amount == o.asset_available_balance_amount && asset_current_balance_amount == o.asset_current_balance_amount && asset_holding_balance_amount == o.asset_holding_balance_amount && asset_holding_balance_net_margin_amount == o.asset_holding_balance_net_margin_amount && asset_bonds_balance_amount == o.asset_bonds_balance_amount && asset_stocks_balance_amount == o.asset_stocks_balance_amount && asset_crypto_balance_amount == o.asset_crypto_balance_amount && asset_other_balance_amount == o.asset_other_balance_amount && asset_margin_amount_balance == o.asset_margin_amount_balance && asset_available_cash_balance_amount == o.asset_available_cash_balance_amount && asset_cash_balance_amount == o.asset_cash_balance_amount && asset_type == o.asset_type && asset_type_additional_description == o.asset_type_additional_description && asset_days_requested_count == o.asset_days_requested_count && asset_ownership_type == o.asset_ownership_type && asset_retirement_indicator == o.asset_retirement_indicator && asset_employer_sponsored_indicator == o.asset_employer_sponsored_indicator end |
#_deserialize(type, value) ⇒ Object
Deserializes the data based on type
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# File 'lib/plaid/models/asset_detail.rb', line 428 def _deserialize(type, value) case type.to_sym when :Time Time.parse(value) when :Date Date.parse(value) when :String value.to_s when :Integer value.to_i when :Float value.to_f when :Boolean if value.to_s =~ /\A(true|t|yes|y|1)\z/i true else false end when :Object # generic object (usually a Hash), return directly value when /\AArray<(?<inner_type>.+)>\z/ inner_type = Regexp.last_match[:inner_type] value.map { |v| _deserialize(inner_type, v) } when /\AHash<(?<k_type>.+?), (?<v_type>.+)>\z/ k_type = Regexp.last_match[:k_type] v_type = Regexp.last_match[:v_type] {}.tap do |hash| value.each do |k, v| hash[_deserialize(k_type, k)] = _deserialize(v_type, v) end end else # model # models (e.g. Pet) or oneOf klass = Plaid.const_get(type) klass.respond_to?(:openapi_one_of) ? klass.build(value) : klass.build_from_hash(value) end end |
#_to_hash(value) ⇒ Hash
Outputs non-array value in the form of hash For object, use to_hash. Otherwise, just return the value
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# File 'lib/plaid/models/asset_detail.rb', line 499 def _to_hash(value) if value.is_a?(Array) value.compact.map { |v| _to_hash(v) } elsif value.is_a?(Hash) {}.tap do |hash| value.each { |k, v| hash[k] = _to_hash(v) } end elsif value.respond_to? :to_hash value.to_hash else value end end |
#build_from_hash(attributes) ⇒ Object
Builds the object from hash
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# File 'lib/plaid/models/asset_detail.rb', line 404 def build_from_hash(attributes) return nil unless attributes.is_a?(Hash) attributes = attributes.transform_keys(&:to_sym) self.class.openapi_types.each_pair do |key, type| if attributes[self.class.attribute_map[key]].nil? && self.class.openapi_nullable.include?(key) self.send("#{key}=", nil) elsif type =~ /\AArray<(.*)>/i # check to ensure the input is an array given that the attribute # is documented as an array but the input is not if attributes[self.class.attribute_map[key]].is_a?(Array) self.send("#{key}=", attributes[self.class.attribute_map[key]].map { |v| _deserialize($1, v) }) end elsif !attributes[self.class.attribute_map[key]].nil? self.send("#{key}=", _deserialize(type, attributes[self.class.attribute_map[key]])) end end self end |
#eql?(o) ⇒ Boolean
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# File 'lib/plaid/models/asset_detail.rb', line 384 def eql?(o) self == o end |
#hash ⇒ Integer
Calculates hash code according to all attributes.
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# File 'lib/plaid/models/asset_detail.rb', line 390 def hash [asset_unique_identifier, asset_account_identifier, asset_as_of_date, asset_description, asset_available_balance_amount, asset_current_balance_amount, asset_holding_balance_amount, asset_holding_balance_net_margin_amount, asset_bonds_balance_amount, asset_stocks_balance_amount, asset_crypto_balance_amount, asset_other_balance_amount, asset_margin_amount_balance, asset_available_cash_balance_amount, asset_cash_balance_amount, asset_type, asset_type_additional_description, asset_days_requested_count, asset_ownership_type, asset_retirement_indicator, asset_employer_sponsored_indicator].hash end |
#list_invalid_properties ⇒ Object
Show invalid properties with the reasons. Usually used together with valid?
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# File 'lib/plaid/models/asset_detail.rb', line 284 def list_invalid_properties invalid_properties = Array.new if @asset_unique_identifier.nil? invalid_properties.push('invalid value for "asset_unique_identifier", asset_unique_identifier cannot be nil.') end if @asset_account_identifier.nil? invalid_properties.push('invalid value for "asset_account_identifier", asset_account_identifier cannot be nil.') end if @asset_as_of_date.nil? invalid_properties.push('invalid value for "asset_as_of_date", asset_as_of_date cannot be nil.') end if @asset_available_balance_amount.nil? invalid_properties.push('invalid value for "asset_available_balance_amount", asset_available_balance_amount cannot be nil.') end if @asset_current_balance_amount.nil? invalid_properties.push('invalid value for "asset_current_balance_amount", asset_current_balance_amount cannot be nil.') end if @asset_type.nil? invalid_properties.push('invalid value for "asset_type", asset_type cannot be nil.') end if @asset_days_requested_count.nil? invalid_properties.push('invalid value for "asset_days_requested_count", asset_days_requested_count cannot be nil.') end invalid_properties end |
#to_body ⇒ Hash
to_body is an alias to to_hash (backward compatibility)
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# File 'lib/plaid/models/asset_detail.rb', line 475 def to_body to_hash end |
#to_hash ⇒ Hash
Returns the object in the form of hash
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# File 'lib/plaid/models/asset_detail.rb', line 481 def to_hash hash = {} self.class.attribute_map.each_pair do |attr, param| value = self.send(attr) if value.nil? is_nullable = self.class.openapi_nullable.include?(attr) next if !is_nullable || (is_nullable && !instance_variable_defined?(:"@#{attr}")) end hash[param] = _to_hash(value) end hash end |
#to_s ⇒ String
Returns the string representation of the object
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# File 'lib/plaid/models/asset_detail.rb', line 469 def to_s to_hash.to_s end |
#valid? ⇒ Boolean
Check to see if the all the properties in the model are valid
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# File 'lib/plaid/models/asset_detail.rb', line 319 def valid? return false if @asset_unique_identifier.nil? return false if @asset_account_identifier.nil? return false if @asset_as_of_date.nil? return false if @asset_available_balance_amount.nil? return false if @asset_current_balance_amount.nil? return false if @asset_type.nil? return false if @asset_days_requested_count.nil? asset_retirement_indicator_validator = EnumAttributeValidator.new('String', ["true", "false"]) return false unless asset_retirement_indicator_validator.valid?(@asset_retirement_indicator) asset_employer_sponsored_indicator_validator = EnumAttributeValidator.new('String', ["true", "false"]) return false unless asset_employer_sponsored_indicator_validator.valid?(@asset_employer_sponsored_indicator) true end |