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ofsl_ncd

ofsl_ncd (routine)

Calculates the next actual coupon date for an odd 1st, 2nd, last period bond

Introduced in release: 1.4
Component: Generic
Purpose: Given the description for a periodic payment security with an optional odd 1st, second, and/or last period this routine calculates the next coupon date.

Results: The coupon date will be returned in the variables ncd_month, ncd_day, and ncd_year.

Error Conditions: Returned values should be ignored for a non-zero status. See Errors.

Last Mod Date: 12/28/1998© 2001 TIPS, Inc.Doc Version: 5.0