Returns the amount one receives when a fully invested security reaches
the maturity date.
Namespace:
Imsl.Finance
Assembly:
ImslCS (in ImslCS.dll) Version: 6.5.0.0
Syntax
C# |
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public static double Received( DateTime settlement, DateTime maturity, double investment, double rate, DayCountBasis basis ) |
Visual Basic (Declaration) |
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Public Shared Function Received ( _ settlement As DateTime, _ maturity As DateTime, _ investment As Double, _ rate As Double, _ basis As DayCountBasis _ ) As Double |
Visual C++ |
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public: static double Received( DateTime settlement, DateTime maturity, double investment, double rate, DayCountBasis^ basis ) |
Parameters
- settlement
- Type: System..::.DateTime
The DateTime settlement date of the security.
- maturity
- Type: System..::.DateTime
The DateTime maturity date of the security.
- investment
- Type: System..::.Double
A double which specifies the amount invested in the security.
- rate
- Type: System..::.Double
A double which specifies the security's rate at issue date.
- basis
- Type: Imsl.Finance..::.DayCountBasis
A DayCountBasis object which contains the type of day count basis to use.
Return Value
A double which specifies the amount received at maturity for a fully invested security.
Remarks
It is computed using the following:


