- getCurrency
Gets the primary currency of the payment period. The amounts of the notional are
usually expressed i
- getDetachmentDate
Gets the detachment date. Some bonds trade ex-coupon before the coupon payment.
The coupon is paid n
- getEndDate
Gets the end date of the payment period. This is the last date in the period. If
the schedule adjust
- getStartDate
Gets the start date of the payment period. This is the first date in the period.
If the schedule adj
- getUnadjustedEndDate
Gets the unadjusted end date. The end date before any business day adjustment is
applied.
When bui
- getUnadjustedStartDate
Gets the unadjusted start date. The start date before any business day
adjustment is applied.
When
- getNotional
Gets the notional amount, must be non-zero. The notional amount applicable
during the period. The cu
- getPaymentDate
- getRateComputation
Gets the rate to be computed. The value of the period is based on this rate.
This must be an inflati
- getRealCoupon
Gets the rate of real coupon. The real coupon is the rate before taking the
inflation into account.
- builder
Returns a builder used to create an instance of the bean.
- withUnitCoupon
Creates a payment period with unit real coupon and 0 ex-coupon days from this
instance. The main use