Variant 57
QuantLib Type | IborCoupon |
date | 01-Jul-2022 |
amount | 0.001116326301727533 |
exCouponDate | |
nominal | 1 |
accrualStartDate | 01-Apr-2022 |
accrualEndDate | 01-Jul-2022 |
referencePeriodStart | 01-Apr-2022 |
referencePeriodEnd | 01-Jul-2022 |
accrualPeriod | 0.2527777777777778 |
accrualDays | 91 |
rate | 0.004416235918922108 |
dayCounter | ACT/360 |
index | Variant#72 |
fixingDays | 2 |
fixingDate | 30-Mar-2022 |
gearing | 1 |
spread | 0 |
indexFixing | 0.004416235918922108 |
convexityAdjustment | 0 |
adjustedFixing | 0.004416235918922108 |
isInArrears | FALSE |
fixingStartDate | 01-Apr-2022 |
fixingEndDate | 01-Jul-2022 |