Bond.RedemptionDateType
RedemptionDateType for the financial instruments:
| Name | Value |
|---|---|
| RedemptionDateType.RedemptionAtMaturityDate | 'RedemptionAtMaturityDate' |
| RedemptionDateType.RedemptionAtCallDate | 'RedemptionAtCallDate' |
| RedemptionDateType.RedemptionAtPutDate | 'RedemptionAtPutDate' |
| RedemptionDateType.RedemptionAtWorstDate | 'RedemptionAtWorstDate' |
| RedemptionDateType.RedemptionAtBestDate | 'RedemptionAtBestDate' |
| RedemptionDateType.RedemptionAtSinkDate | 'RedemptionAtSinkDate' |
| RedemptionDateType.RedemptionAtParDate | 'RedemptionAtParDate' |
| RedemptionDateType.RedemptionAtPremiumDate | 'RedemptionAtPremiumDate' |
| RedemptionDateType.RedemptionAtMakeWholeCallDate | 'RedemptionAtMakeWholeCallDate' |
| RedemptionDateType.RedemptionAtCustomDate | 'RedemptionAtCustomDate' |