Fund Crv Issuer

Key Fund Crv Issuer in
Advanced Pricing refers to the issuer of the discounting yield curve that is used to translate various present values as of the given spot date (denoted as Tâ‚€) to values as of the horizon date T entered in Horizon Date and vice versa.
By default, the spot date equals the globally set trade date ( i.e. valuation date) that usually equals today's date.
But if the
As Of entry to the function Price exists, the latter date is then regarded as the spot date.
It is represented by the time 0 in the documentation context of
Advanced Pricing
If left unspecified, any supplied riskless yield curve (or any curve if only one is supplied) will be chosen for this purpose.
Expects an object of type