Returns the yield of a security that has an odd (short or long) last period.

Syntax

ODDLYIELD(settlement,maturity,last_interest,rate,pr,redemption,frequency,basis)

Important Dates should be entered by using the DATE function, or as results of other formulas or functions. For example, use DATE(2008,5,23) for the 23rd day of May, 2008. Problems can occur if .

Settlement is the security's settlement date. The security settlement date is the date after the issue date when the security is traded to the buyer.

Maturity is the security's maturity date. The maturity date is the date when the security expires.

Last_interest is the security's last coupon date.

Rate is the security's interest rate.

Pr is the security's price.

Redemption is the security's redemption value per $100 face value.

Frequency is the number of coupon payments per year. For annual payments, frequency = 1; for semiannual, frequency = 2; for quarterly, frequency = 4.

Basis is the type of day count basis to use.

Basis Day count basis
0 or omitted US (NASD) 30/360
1 Actual/actual
2 Actual/360
3 Actual/365
4 European 30/360

Remarks

Example

The example may be easier to understand if you copy it to a blank worksheet.

How to copy an example

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    selecting an example from helpSelecting an example from Help

  3. Press CTRL+C.
  4. In the worksheet, select cell A1, and press CTRL+V.
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A B
Data Description
April 20, 2008 Settlement date
June 15, 2008 Maturity date
December 24, Last interest date
3.75% Percent coupon
$99.875 Price
$100 Redemption value
2 Frequency is semiannual (see above)
0 30/360 basis (see above)
Formula Description (Result)
=ODDLYIELD(A2,A3,A4,A5,A6,A7,A8,A9) The yield of a security that has an odd (short or long) last period, for the bond with the terms above (0.045192)


See also: