Function Type: Financial

Description:

Returns the annual yield of a security that pays interest at maturity.

Function Structure:

=YIELDMAT(settlement, maturity, issue, pr, [basis]).

Argument Breakdown:

settlement - This is the settlement date of the security. The date should be after the issue date when the security is traded to the buyer.

maturity - The maturity date of the security. It is expressed as a serial date number.

pr - This is the security's price per $100 face value.

basis - The type of count day basis to use.

Example:

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