- getBusinessDayAdjustment
Gets the business day adjustment to apply to the start and end date. The start
and end date will be
- getDayCount
Gets the day count convention. This is used to convert dates to a numerical
value.
- getSpotDateOffset
Gets the offset of the spot value date from the trade date. The offset is
applied to the trade date
- builder
Returns a builder used to create an instance of the bean.
- getCurrency
Gets the primary currency. This is the currency of the term deposit and the
currency that payment is
- getName
Gets the convention name, such as 'GBP-Deposit-ON'.
- of
Obtains a convention based on the specified currency, business day adjustment,
day count convention