Data object that represents an entry in the coupon rate schedule for an asset
AllInRate
The all-in rate - should be the sum of the Base Rate and the Spread
decimal number
BaseRate
The base rate
decimal number
EndDate
The end date of this rate
date
Spread
The spread rate
decimal number
SpreadAdjustment
The spread adjustment rate
decimal number
StartDate
The start date of this rate - should match the end date of the previous rate
date