Background I need to query a data which is spread across multiple tables. My models look like this:

class Clients(models.Model):
    display_name=models.CharField(max_length=70, null=True)
    CLIENTSTATUS=(('unknown', 'unknown'), ('active', 'active'), ('inactive', 'inactive'), ('prospect', 'prospect'), ('coi', 'center of influence'))
    client_status=models.CharField(max_length=25, choices=CLIENTSTATUS, default=CLIENTSTATUS[0][0])        

class Accounts(models.Model):
    nickname=models.CharField(max_length=45, null=True)
    currency=models.CharField(max_length=3, null=True)

class Client_Accounts(models.Model):
    client=models.ForeignKey(Clients, on_delete=models.CASCADE)
    account=models.ForeignKey(Accounts, on_delete=models.CASCADE)

class Positions(models.Model):
    account=models.ForeignKey(Accounts, on_delete=models.CASCADE)
    security_name=models.CharField(max_length=30, null=True)
    cusip=models.CharField(max_length=9, null=True)  
    file_date=models.DateField(null=True)
    market_price=models.DecimalField(max_digits=12, decimal_places=5, blank=True, null=True)
    quantity=models.DecimalField(max_digits=13,decimal_places=3,blank=True, null=True)
    market_value_trade_date=models.DecimalField(max_digits=14,decimal_places=2,blank=True, null=True)

class Securities(models.Model):
    cusip=models.CharField(max_length=9, null=True)
    short_name=models.CharField(max_length=45, null=True)

Task I am trying to pass the client ID from the front end and I intend to capture all the positions held by all the accounts of that client.

I can do that using SQL, if I run this query:

select
    cl.id as client_id,
    cl.display_name,
    ac.id as account_no,
    ac.nickname,  
    pos.cusip,
    sec.short_name,
    pos.market_price,
    pos.market_value_trade_date,
    pos.quantity
from
    datahub_accounts        ac
    join
    datahub_client_accounts cl_ac
    on
        ac.id=cl_ac.account_id
    join
    datahub_clients         cl
    on
        cl_ac.client_id=cl.id 
    join
    datahub_positions       pos
    on
        pos.account_id=ac.id
    join
    datahub_securities      sec
    on
        pos.cusip=sec.cusip
where
    cl.id = 15
    and
    pos.file_date="2018-11-12"
group by
    cl.id,
    cl.display_name,
    ac.id, 
    pos.cusip,
    sec.short_name,
    pos.market_price,
    pos.market_value_trade_date,
    pos.quantity

Expected Outcome The JSON I am looking at is something like this:

{
    client_id=15,
    display_name="Client's Name",
    {
        account_no=19,
        account_name="first account"
            {
                cusip="cusip number 1"
                short_name="cusip 1 short name"
                market_price=17.59
                market_value_trade_date=7724.72
                quantity=446.00
            },
            {
                cusip="cusip number 2"
                short_name="cusip 2 short name"
                market_price=66.18
                market_value_trade_date=13897.80
                quantity=210.00
            }
    }
}

Done so far I wrote this function in the views.js and was able to traverse to the client's positions and fetch all the positions data.

##### For endpoint - get_client_positions
@api_view(['GET', 'POST'])
@permission_classes((AllowAny,))
def get_client_positions(request):
    try:
        if request.method == 'GET':
        id = request.GET['client_id']

        client_id = Clients.objects.filter(id=id).all()
        client_name =  client_id.values('display_name')[0]["display_name"]     

            list_of_account_ids = Client_Accounts.objects.filter(client_id__in=client_id.values('id'))

            list_of_positions = Positions.objects.filter(account_id__in=list_of_account_ids.values('account_id'))

            #Fetching only the latest day's data, if no file_date value found in the GET
            if 'report_date' in request.GET:
                latest_dt = datetime.datetime.strptime(request.GET['report_date'], "%Y-%m-%d").date()
            else:
                latest_dt = Positions.objects.latest('file_date').file_date       #get the latest date info from the positions table

            latest_positions = list_of_positions.filter(file_date=latest_dt)

            list_of_securities = Securities.objects.filter(cusip__in=latest_positions.values('cusip'))

            return Response({'Client ID': id, 'Client Name ':client_name, 'Report Date': latest_dt,'Held Securities': list_of_securities.values('cusip', 'short_name')}, status=status.HTTP_200_OK)

        else:
          return Response({'status':'error','message': 'Facepalm moment buddy'}, status=status.HTTP_403_FORBIDDEN)

Problem Statement However, I am not sure how to:

  1. Pull CUSIP description from the securities lookup table (or any details from other tables (accounts, clients) in to the same queryset. What I did is pretty much like doing a subquery operation but what I need is join - in SQL terms.
  2. How to I format the JSON in the format I've mentioned? I guess I need to write a custom serializer for this.
  • formatting the JSON is a matter of creating a python dict object (note that your example isn't json, every part of it needs to be key, value pairs where value can be either a dict type or array type, your example has objects without keys) and then use json.dumps(my_dict) to get a json string. – dirkgroten Dec 6 at 15:42

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