HP F2219AA#ABA HP 20b Business Consultant Financial Calculator Manual - Page 46

Bonds, The Bond Menu

Page 46 highlights

Bonds 5 Bonds B DWN Set.Date DWN Mat.Date DWN CPN% DWN Call Yield% DWN DWN Price DWN Accrued Actual/ DWN Cal.360 DWN Annual/ Semiannual Figure 1 The Menu Map for the Bond Menu The Bond Menu Before you enter the Bond menu, be sure to verify the date format is set appropriately for your problem. The default setting is mm.ddyyyy, but it can be set for dd.mmyyyy. Bond day counts (360/365) and annual or semiannual coupon payment schedules may be set from either the Mode menu or the Bond menu. For more information on setting the preferences in the Mode menu, see the section titled, The Mode Menu: Setting Preferences in Chapter 1. B To open the Bond menu, press . < > Press or repeatedly to scroll through the items shown in Figure 1. I To change the value of the displayed item, key in a number or a date and press . Once you have entered all known < > = data, press or repeatedly to scroll to an unknown item, and press to calculate it. Table 5-1 lists the items in the Bond menu. Table 5-1 Bond Menu Items Variable Settlement Date Description Settlement date. Displays the current settlement date. Note: input only. Maturity Date CPN% Maturity date or call date. The call date must coincide with a coupon date. Displays the current maturity. Note: input only. Coupon rate stored as an annual %. Note: input only. 46

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Bonds
46
5
Bonds
B
Set.Date
Mat.Date
CPN%
Call
Yield%
Price
Accrued
Actual/
Cal.360
Annual/
Semi-
annual
DWN
DWN
DWN
DWN
DWN
DWN
DWN
DWN
DWN
Figure 1 The Menu Map for the Bond Menu
The Bond Menu
Before you enter the Bond menu, be sure to verify the date format is set appropriately for your problem. The default setting is
mm.ddyyyy
, but it can be set for
dd.mmyyyy
. Bond day counts (360/365) and annual or semiannual coupon payment
schedules may be set from either the Mode menu or the Bond menu. For more information on setting the preferences in the
Mode menu, see the section titled,
The Mode Menu: Setting Preferences
in Chapter 1
.
To open the Bond menu, press
B
.
Press
<
or
>
repeatedly to scroll through the items shown in Figure 1.
To change the value of the displayed item, key in a number or a date and press
I
. Once you have entered all known
data, press
<
or
>
repeatedly to scroll to an unknown item, and press
=
to calculate it.
Table 5-1 lists the items in the Bond menu.
Table 5-1
Bond Menu Items
Variable
Description
Settlement Date
Settlement date. Displays the current settlement date. Note: input only.
Maturity Date
Maturity date or call date. The call date must coincide with a coupon date.
Displays the current maturity. Note: input only.
CPN%
Coupon rate stored as an annual %. Note: input only.