LSEG Data Library for Python

Redemption date type

RedemptionDateType for financial instruments.

Name Value
REDEMPTION_AT_AVERAGE_LIFE "RedemptionAtAverageLife"
REDEMPTION_AT_BEST_DATE "RedemptionAtBestDate"
REDEMPTION_AT_CALL_DATE "RedemptionAtCallDate"
REDEMPTION_AT_CUSTOM_DATE "RedemptionAtCustomDate"
REDEMPTION_AT_MAKE_WHOLE_CALL_DATE "RedemptionAtMakeWholeCallDate"
REDEMPTION_AT_MATURITY_DATE "RedemptionAtMaturityDate"
REDEMPTION_AT_NEXT_DATE "RedemptionAtNextDate"
REDEMPTION_AT_PAR_DATE "RedemptionAtParDate"
REDEMPTION_AT_PARTIAL_CALL_DATE "RedemptionAtPartialCallDate"
REDEMPTION_AT_PARTIAL_PUT_DATE "RedemptionAtPartialPutDate"
REDEMPTION_AT_PERPETUITY "RedemptionAtPerpetuity"
REDEMPTION_AT_PREMIUM_DATE "RedemptionAtPremiumDate"
REDEMPTION_AT_PUT_DATE "RedemptionAtPutDate"
REDEMPTION_AT_SINK_DATE "RedemptionAtSinkDate"
REDEMPTION_AT_WORST_DATE "RedemptionAtWorstDate"
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