Date Adjustments
Documentation
Tags
- Broker Dealer
- Investor
- Bonds
- Structured Products
- CAST specific components
- CAST based on CDM
1.4.6.2
Date Adjustments
Last update, October 28
Standards
Framework | Path | Description |
---|---|---|
cdm
|
dateAdjustments
[CDM.attribute]cdm.product.template/EconomicTerms/dateAdjustments
|
The business day adjustment convention when it applies across all the payout components. This specification of the business day convention and financial business centers is used for adjusting any calculation period date if it would otherwise fall on a day that is not a business day in the specified business center. |