import { InvestmentTransactionType } from "./TransactionType";
import { BaseInvestmentTransaction } from "./BaseInvestmentTransaction";
import { TransactionWithSecurity } from "./TransactionWithSecurity";
import { SellInvestmentTransaction } from "./SellInvestmentTransaction";
import { InvestmentTransaction } from "./InvestmentTransaction";
import { SecurityId } from "../../seclist/SecurityId";
import { OriginalCurrency } from "./OriginalCurrency";
import { SubAccountType } from "../accounts/SubAccountType";
import { Inv401KSource } from "../positions/Inv401KSource";
/**
 * Base class for all investment transactions for selling securities.
 * <br>
 * This class exposes a read-only view of the flattened aggregates that are
 * common to all sell investment transactions as a convenience to application
 * developers who may not find the ofx aggregation model intuitive.
 */
export declare abstract class BaseSellInvestmentTransaction extends BaseInvestmentTransaction implements TransactionWithSecurity {
    private sellInvestment;
    constructor(transactionType: InvestmentTransactionType);
    /**
     * Gets the sell investment transaction child aggregate.
     *
     * @return the sell investment transaction child aggregate
     */
    getSellInvestment(): SellInvestmentTransaction;
    /**
     * Sets the sell investment transaction child aggregate.
     *
     * @param sellInvestment the sell investment transaction child aggregate
     */
    setSellInvestment(sellInvestment: SellInvestmentTransaction): void;
    /**
     * Gets the investment transaction aggregate.
     *
     * @return the investment transaction aggregate
     */
    getInvestmentTransaction(): InvestmentTransaction;
    /**
     * Gets the id of the security that was sold. This is a required field according to the OFX
     * spec.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the security id of the security that was bought
     */
    getSecurityId(): SecurityId;
    /**
     * Gets the number of units of the security that was sold. For security-based actions other
     * than stock splits, this is the quantity sold. For stocks, mutual funds, and others, this
     * is the number of shares. For bonds, this is the face value. For options, this is the number of
     * contacts. This is a required field according to the OFX spec.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the number of units purchased.
     */
    getUnits(): number;
    /**
     * Gets the price per commonly-quoted unit. For stocks, mutual funds, and others, this is the
     * share price. For bonds, this is the percentage of par. For options, this is the per share (not
     * per contact) price. This is a required field according to the OFX spec.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the per unit price
     */
    getUnitPrice(): number;
    /**
     * Gets the portion of the unit price that is attributed to the dealer markdown. This is an
     * optional field according to the OFX spec.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the per unit markedown price
     */
    getMarkdown(): number;
    /**
     * Gets the transaction commission for the sale. This is an optional field according to the
     * OFX spec.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the transaction commision
     */
    getCommission(): number;
    /**
     * Gets the taxes for the sale. This is an optional field according to the OFX spec.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the transaction taxes
     */
    getTaxes(): number;
    /**
     * Gets the fees for the sale. This is an optional field according to the OFX spec.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the transaction fees
     */
    getFees(): number;
    /**
     * Gets the load for the sale. This is an optional field according to the OFX spec.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the load
     */
    getLoad(): number;
    /**
     * Gets the withholding for the sale. This is an optional field according to the OFX spec.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the withholding
     */
    getWithholding(): number;
    /**
     * Gets whether the sale was tax exempt. This is an optional field according to the OFX spec.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return whether the transaction was tax exempt
     */
    getTaxExempt(): boolean;
    /**
     * Gets the total for the sale. Should be equal to
     * (units * (unitPrice + markdown)) + (commision + fees + load + taxes + penalty + withholding +
     * statewithholding) according to the OFX spec. This is a required field according to the OFX
     * spec.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the total
     */
    getTotal(): number;
    /**
     * Gets the gain sale. This is aan optional field according to the OFX spec.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the gain for the sale
     */
    getGain(): number;
    /**
     * Gets the currency code for the transaction. Only one of currency code or original currency
     * info should be set according to the OFX spec. If neither are set, means the default currency.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the currency code for the transaction.
     */
    getCurrencyCode(): string;
    /**
     * Gets the origianl currency info for the transaction.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the currency info for the transaction.
     */
    getOriginalCurrencyInfo(): OriginalCurrency;
    /**
     * Gets the sub account type for the security (e.g. CASH, MARGIN, SHORT, OTHER).
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the sub account type
     */
    getSubAccountSecurity(): string;
    /**
     * Gets the result of getSubAccountSecurity as one of the well-known types.
     *
     * @return the type of null if it wasn't one of the well known types.
     */
    getSubAccountSecurityEnum(): SubAccountType;
    /**
     * Gets the sub account type that the money went to  (e.g. CASH, MARGIN, SHORT, OTHER).
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the sub account fund
     */
    getSubAccountFund(): string;
    /**
     * Gets the result of getSubAccountFund as one of the well-known types.
     *
     * @return the type of null if it wasn't one of the well known types.
     */
    getSubAccountFundEnum(): SubAccountType;
    /**
     * Gets the loan id if this transaction was due to a loan or loan repayment on a 401k. This is an
     * optional field according to the OFX spec.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the loan id
     */
    getLoadId(): string;
    /**
     * Gets the state withholding for the sale. This is an optional field according to the OFX spec.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the state withholding
     */
    getStateWithholding(): number;
    /**
     * Gets the penalty for the sale. This is an optional field according to the OFX spec.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the state withholding
     */
    getPenalty(): number;
    /**
     * Gets the 401K source for the sale. Should be one of "PRETAX", "AFTERTAX", "MATCH",
     * "PROFITSHARING", "ROLLOVER", "OTHERVEST", "OTHERNONVEST".  This is an optional field
     * according to the OFX spec.
     * @see "Section 13.9.2.4.3, OFX Spec"
     *
     * @return the 401k source
     */
    get401kSource(): string;
    /**
     * Gets the 401k source as one of the well-known types.
     *
     * @return the 401k source or null if its not one of the well-known types
     */
    get401kSourceEnum(): Inv401KSource;
}
