LSEG Data Library for .NET

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'