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*<math>RedemptionValue</math> is the amount to be received at maturity of a bond
 
*<math>RedemptionValue</math> is the amount to be received at maturity of a bond
 
*<math>Basis</math> is the type of day count basis to use
 
*<math>Basis</math> is the type of day count basis to use
 
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**DISC(), returns the discount rate for a security.
DISC(), returns the discount rate for a security.
      
== Description ==
 
== Description ==
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