CashSettlDateBusinessDayConvention (Tag = 42208, Type: int)

The business day convention used to adjust the cash settlement provision's date. Used only to override the business day convention defined in the Instrument component.

Valid values:
'0' NotApplicable
'1' None
'2' FollowingDay
'3' FloatingRateNote
'4' ModifiedFollowingDay
'5' PrecedingDay
'6' ModifiedPrecedingDay
'7' NearestDay

Used in: