FINANCE.TBILLYIELD
FINANCE.TBILLYIELD(settlement, maturity, price)
Calculates the return of a US Treasury Bill based on price.
- settlement: Settlement date of the security, the date after issuance when the security is delivered.
- maturity: Maturity or end date of the security, when it can be redeemed at face or par value.
- price: Price at which the security is bought.