Syntax

expression.IntRate(Arg1, Arg2, Arg3, Arg4, Arg5)

expression A variable that represents a WorksheetFunction object.

Parameters

Name Required/Optional Data Type Description
Arg1 Required Variant Settlement - the security's settlement date. The security settlement date is the date after the issue date when the security is traded to the buyer.
Arg2 Required Variant Maturity - the security's maturity date. The maturity date is the date when the security expires.
Arg3 Required Variant Investment - the amount invested in the security.
Arg4 Required Variant Redemption - the amount to be received at maturity.
Arg5 Optional Variant Basis - the type of day count basis to use.

Return Value
Double

Remarks

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

See also: