How is Current Rate Calculated by RM During a Repricing Period

(Doc ID 226173.1)

Last updated on JULY 14, 2009

Applies to:

Oracle Financial Services Applications (OFSA) 4.5
Oracle Risk Manager - Version: 4.5 to 4.5.39
Information in this document applies to any platform.
Checked for relevance on 14-Jul-2009.


In Oracle Risk Manager (RM) 4.5, how is current rate calculated during a repricing period?
How is financial element 120 - Ending Net Rate - calculated during repricing?
How is yield generated during repricing?


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