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You can see the effect if you instantiate the bond and retrieve the coupons: >>> settlement_days = 3 >>> bond = FixedRateBond(settlement_days, faceValue, schedule, coupons, dayCounter) >>> for c in bond.cashflows(): ... print c.date() ... February 28th, 2001 August 31st, 2001 February 28th, 2002 September 2nd, 2002 February 28th, 2003 September ...
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