# Try get Positions on a Date

Go to `/explorer/workflows/com/finmars/exante-broker/get-positions/test.ipynb`  
  
Its a test Jupyter python script that allows you to check if you able to fetch Positions

[![Screenshot 2024-09-25 at 22.22.52.png](https://docs.finmars.com/uploads/images/gallery/2024-09/scaled-1680-/screenshot-2024-09-25-at-22-22-52.png)](https://docs.finmars.com/uploads/images/gallery/2024-09/screenshot-2024-09-25-at-22-22-52.png)  
  
So you need to change your `accounts` variable on line 47, add your accountId e.g. **ABC1234.001** it will call API endpoint of [https://api-live.exante.eu/api-docs/#tag/Account-summary-API/operation/getAccountSummaryWithoutDate](https://api-live.exante.eu/api-docs/#tag/Account-summary-API/operation/getAccountSummaryWithoutDate)  
  
  
So your output will be something like

```
{
  "currencies": [
    {
      "code": "USD",
      "convertedValue": "55175.23",
      "value": "55175.23"
    }
  ],
  "timestamp": 1727295675000,
  "freeMoney": "55175.22",
  "netAssetValue": "970467.92",
  "marginUtilization": "0.7443",
  "positions": [
    {
      "convertedPnl": "-54410.19",
      "symbolId": "CIFR.NASDAQ",
      "convertedValue": "778292.7",
      "price": "2.925",
      "accruedInterest": null,
      "symbolType": "STOCK",
      "value": "778292.7",
      "quantity": "91724.0",
      "pnl": "-34410.19",
      "currency": "USD",
      "averagePrice": "4.5182"
    }
  ],
  "sessionDate": "2024-09-20",
  "currency": "USD",
  "accountId": "ABC1234.001",
  "moneyUsedForMargin": "568292.7"
}
```

  
Finmars will store this outputs in Explorer, so after it will be processed by Exante Transformer, to make it compatible with Finmars Standard Configuration