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Yields:: (2 methods):
yieldDiscounted()
yieldAtMaturity()
yieldDiscounted($settlement,$maturity,$price,$redemption,$basis = FinancialConstants::BASIS_DAYS_PER_YEAR_NASD) X-Ref |
YIELDDISC. Returns the annual yield of a security that pays interest at maturity. return: float|string Result, or a string containing an error param: mixed $settlement The security's settlement date. param: mixed $maturity The security's maturity date. param: mixed $price The security's price per $100 face value param: mixed $redemption The security's redemption value per $100 face value param: mixed $basis The type of day count to use. |
yieldAtMaturity($settlement,$maturity,$issue,$rate,$price,$basis = FinancialConstants::BASIS_DAYS_PER_YEAR_NASD) X-Ref |
YIELDMAT. Returns the annual yield of a security that pays interest at maturity. return: float|string Result, or a string containing an error param: mixed $settlement The security's settlement date. param: mixed $maturity The security's maturity date. param: mixed $issue The security's issue date param: mixed $rate The security's interest rate at date of issue param: mixed $price The security's price per $100 face value param: mixed $basis The type of day count to use. |