Determines the annual yield of a discount security, based on its purchase price.
Determines the annual yield of a security that pays interest periodically, such as a US Treasury Bond, based on its market price.
Determines the internal rate of return for an investment derived from a series of cash flows that may occur at irregular intervals.
Determines the yield on a U.S. Treasury Bill based on its purchase price.
Determines the price of a U.S. Treasury Bill based on its discount rate.
Calculates the interest rate necessary for an investment to achieve a designated value over a specified number of periods.
Determines the total amount paid at maturity for investments in fixed-income securities bought on a specific date.
Determines the number of payment periods required for an investment given consistent periodic payments and a fixed interest rate.