@univerjs/sheets-formula-ui 0.16.1 → 0.17.0
This diff represents the content of publicly available package versions that have been released to one of the supported registries. The information contained in this diff is provided for informational purposes only and reflects changes between package versions as they appear in their respective public registries.
- package/lib/cjs/index.js +5 -5
- package/lib/cjs/locale/ca-ES.js +1 -1
- package/lib/cjs/locale/en-US.js +1 -1
- package/lib/cjs/locale/es-ES.js +1 -1
- package/lib/cjs/locale/fa-IR.js +1 -1
- package/lib/cjs/locale/fr-FR.js +1 -1
- package/lib/cjs/locale/ja-JP.js +1 -1
- package/lib/cjs/locale/ko-KR.js +1 -1
- package/lib/cjs/locale/ru-RU.js +1 -1
- package/lib/cjs/locale/sk-SK.js +1 -1
- package/lib/cjs/locale/vi-VN.js +1 -1
- package/lib/cjs/locale/zh-CN.js +1 -1
- package/lib/cjs/locale/zh-TW.js +1 -1
- package/lib/es/index.js +1518 -1559
- package/lib/es/locale/ca-ES.js +1 -6
- package/lib/es/locale/en-US.js +1 -6
- package/lib/es/locale/es-ES.js +1 -6
- package/lib/es/locale/fa-IR.js +1 -6
- package/lib/es/locale/fr-FR.js +1 -6
- package/lib/es/locale/ja-JP.js +1 -6
- package/lib/es/locale/ko-KR.js +1 -6
- package/lib/es/locale/ru-RU.js +1 -6
- package/lib/es/locale/sk-SK.js +1 -6
- package/lib/es/locale/vi-VN.js +1 -6
- package/lib/es/locale/zh-CN.js +1 -6
- package/lib/es/locale/zh-TW.js +1 -6
- package/lib/index.js +1518 -1559
- package/lib/locale/ca-ES.js +1 -6
- package/lib/locale/en-US.js +1 -6
- package/lib/locale/es-ES.js +1 -6
- package/lib/locale/fa-IR.js +1 -6
- package/lib/locale/fr-FR.js +1 -6
- package/lib/locale/ja-JP.js +1 -6
- package/lib/locale/ko-KR.js +1 -6
- package/lib/locale/ru-RU.js +1 -6
- package/lib/locale/sk-SK.js +1 -6
- package/lib/locale/vi-VN.js +1 -6
- package/lib/locale/zh-CN.js +1 -6
- package/lib/locale/zh-TW.js +1 -6
- package/lib/types/index.d.ts +1 -1
- package/lib/types/locale/en-US.d.ts +1 -6
- package/lib/types/menu/menu.d.ts +16 -0
- package/lib/types/plugin.d.ts +3 -1
- package/lib/umd/index.js +5 -5
- package/lib/umd/locale/ca-ES.js +1 -1
- package/lib/umd/locale/en-US.js +1 -1
- package/lib/umd/locale/es-ES.js +1 -1
- package/lib/umd/locale/fa-IR.js +1 -1
- package/lib/umd/locale/fr-FR.js +1 -1
- package/lib/umd/locale/ja-JP.js +1 -1
- package/lib/umd/locale/ko-KR.js +1 -1
- package/lib/umd/locale/ru-RU.js +1 -1
- package/lib/umd/locale/sk-SK.js +1 -1
- package/lib/umd/locale/vi-VN.js +1 -1
- package/lib/umd/locale/zh-CN.js +1 -1
- package/lib/umd/locale/zh-TW.js +1 -1
- package/package.json +13 -13
- package/lib/types/controllers/formula-auto-fill.controller.d.ts +0 -10
- package/lib/types/controllers/menu.d.ts +0 -12
- /package/lib/types/{controllers/config.schema.d.ts → config/config.d.ts} +0 -0
- /package/lib/types/{controllers/menu.schema.d.ts → menu/schema.d.ts} +0 -0
package/lib/umd/locale/ca-ES.js
CHANGED
|
@@ -1,4 +1,4 @@
|
|
|
1
|
-
(function(e,a){typeof exports=="object"&&typeof module<"u"?module.exports=a():typeof define=="function"&&define.amd?define(a):(e=typeof globalThis<"u"?globalThis:e||self,e.UniverSheetsFormulaUiCaES=a())})(this,(function(){"use strict";return{shortcut:{"sheets-formula-ui":{"quick-sum":"Suma ràpida"}},formula:{insert:{tooltip:"Funcions",sum:"SUMA",average:"MITJANA",count:"COMPTAR",max:"MÀX",min:"MÍN",more:"Més funcions..."},functionList:{...{ACCRINT:{description:"",abstract:"",links:[{title:"Instrucció",url:"https://support.microsoft.com/en-us/office/accrint-function-fe45d089-6722-4fb3-9379-e1f911d8dc74"}],functionParameter:{issue:{name:"emissió",detail:""},firstInterest:{name:"primer_interès",detail:""},settlement:{name:"liquidació",detail:""},rate:{name:"taxa",detail:""},par:{name:"valor_nominal",detail:""},frequency:{name:"freqüència",detail:""},basis:{name:"base",detail:""},calcMethod:{name:"mètode_càlcul",detail:""}}},ACCRINTM:{description:"Returns the accrued interest for a security that pays interest at maturity",abstract:"Returns the accrued interest for a security that pays interest at maturity",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/accrintm-function-f62f01f9-5754-4cc4-805b-0e70199328a7"}],functionParameter:{issue:{name:"issue",detail:"The security's issue date."},settlement:{name:"settlement",detail:"The security's maturity date."},rate:{name:"rate",detail:"The security's annual coupon rate."},par:{name:"par",detail:"The security's par value."},basis:{name:"basis",detail:"The type of day count basis to use."}}},AMORDEGRC:{description:"Returns the depreciation for each accounting period by using a depreciation coefficient",abstract:"Returns the depreciation for each accounting period by using a depreciation coefficient",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/amordegrc-function-a14d0ca1-64a4-42eb-9b3d-b0dededf9e51"}],functionParameter:{number1:{name:"number1",detail:"first"},number2:{name:"number2",detail:"second"}}},AMORLINC:{description:"Returns the depreciation for each accounting period",abstract:"Returns the depreciation for each accounting period",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/amorlinc-function-7d417b45-f7f5-4dba-a0a5-3451a81079a8"}],functionParameter:{cost:{name:"cost",detail:"The cost of the asset."},datePurchased:{name:"date_purchased",detail:"The date of the purchase of the asset."},firstPeriod:{name:"first_period",detail:"The date of the end of the first period."},salvage:{name:"salvage",detail:"The salvage value at the end of the life of the asset."},period:{name:"period",detail:"The period."},rate:{name:"rate",detail:"The rate of depreciation."},basis:{name:"basis",detail:"The year basis to be used."}}},COUPDAYBS:{description:"Returns the number of days from the beginning of the coupon period to the settlement date",abstract:"Returns the number of days from the beginning of the coupon period to the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdaybs-function-eb9a8dfb-2fb2-4c61-8e5d-690b320cf872"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPDAYS:{description:"Returns the number of days in the coupon period that contains the settlement date",abstract:"Returns the number of days in the coupon period that contains the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdays-function-cc64380b-315b-4e7b-950c-b30b0a76f671"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPDAYSNC:{description:"Returns the number of days from the settlement date to the next coupon date",abstract:"Returns the number of days from the settlement date to the next coupon date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdaysnc-function-5ab3f0b2-029f-4a8b-bb65-47d525eea547"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPNCD:{description:"Returns the next coupon date after the settlement date",abstract:"Returns the next coupon date after the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupncd-function-fd962fef-506b-4d9d-8590-16df5393691f"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPNUM:{description:"Returns the number of coupons payable between the settlement date and maturity date",abstract:"Returns the number of coupons payable between the settlement date and maturity date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupnum-function-a90af57b-de53-4969-9c99-dd6139db2522"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPPCD:{description:"Returns the previous coupon date before the settlement date",abstract:"Returns the previous coupon date before the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/couppcd-function-2eb50473-6ee9-4052-a206-77a9a385d5b3"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},CUMIPMT:{description:"Returns the cumulative interest paid between two periods",abstract:"Returns the cumulative interest paid between two periods",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/cumipmt-function-61067bb0-9016-427d-b95b-1a752af0e606"}],functionParameter:{rate:{name:"rate",detail:"The interest rate."},nper:{name:"nper",detail:"The total number of payment periods."},pv:{name:"pv",detail:"The present value."},startPeriod:{name:"start_period",detail:"The first period in the calculation. Payment periods are numbered beginning with 1."},endPeriod:{name:"end_period",detail:"The last period in the calculation."},type:{name:"type",detail:"The timing of the payment."}}},CUMPRINC:{description:"Returns the cumulative principal paid on a loan between two periods",abstract:"Returns the cumulative principal paid on a loan between two periods",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/cumprinc-function-94a4516d-bd65-41a1-bc16-053a6af4c04d"}],functionParameter:{rate:{name:"rate",detail:"The interest rate."},nper:{name:"nper",detail:"The total number of payment periods."},pv:{name:"pv",detail:"The present value."},startPeriod:{name:"start_period",detail:"The first period in the calculation. Payment periods are numbered beginning with 1."},endPeriod:{name:"end_period",detail:"The last period in the calculation."},type:{name:"type",detail:"The timing of the payment."}}},DB:{description:"Returns the depreciation of an asset for a specified period by using the fixed-declining balance method",abstract:"Returns the depreciation of an asset for a specified period by using the fixed-declining balance method",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/db-function-354e7d28-5f93-4ff1-8a52-eb4ee549d9d7"}],functionParameter:{cost:{name:"cost",detail:"The initial cost of the asset."},salvage:{name:"salvage",detail:"The value at the end of the depreciation (sometimes called the salvage value of the asset)."},life:{name:"life",detail:"The number of periods over which the asset is being depreciated (sometimes called the useful life of the asset)."},period:{name:"period",detail:"The period for which you want to calculate the depreciation."},month:{name:"month",detail:"The number of months in the first year. If month is omitted, it is assumed to be 12."}}},DDB:{description:"Returns the depreciation of an asset for a specified period by using the double-declining balance method or some other method that you specify",abstract:"Returns the depreciation of an asset for a specified period by using the double-declining balance method or some other method that you specify",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ddb-function-519a7a37-8772-4c96-85c0-ed2c209717a5"}],functionParameter:{cost:{name:"cost",detail:"The initial cost of the asset."},salvage:{name:"salvage",detail:"The value at the end of the depreciation (sometimes called the salvage value of the asset)."},life:{name:"life",detail:"The number of periods over which the asset is being depreciated (sometimes called the useful life of the asset)."},period:{name:"period",detail:"The period for which you want to calculate the depreciation."},factor:{name:"factor",detail:"The rate at which the balance declines. If factor is omitted, it is assumed to be 2 (the double-declining balance method)."}}},DISC:{description:"Returns the discount rate for a security",abstract:"Returns the discount rate for a security",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/disc-function-71fce9f3-3f05-4acf-a5a3-eac6ef4daa53"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},pr:{name:"pr",detail:"The security's price per $100 face value."},redemption:{name:"redemption",detail:"The security's redemption value per $100 face value."},basis:{name:"basis",detail:"The type of day count basis to use."}}},DOLLARDE:{description:"Converts a dollar price, expressed as a fraction, into a dollar price, expressed as a decimal number",abstract:"Converts a dollar price, expressed as a fraction, into a dollar price, expressed as a decimal number",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/dollarde-function-db85aab0-1677-428a-9dfd-a38476693427"}],functionParameter:{fractionalDollar:{name:"fractional_dollar",detail:"A number expressed as an integer part and a fraction part, separated by a decimal symbol."},fraction:{name:"fraction",detail:"The integer to use in the denominator of the fraction."}}},DOLLARFR:{description:"Converts a dollar price, expressed as a decimal number, into a dollar price, expressed as a fraction",abstract:"Converts a dollar price, expressed as a decimal number, into a dollar price, expressed as a fraction",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/dollarfr-function-0835d163-3023-4a33-9824-3042c5d4f495"}],functionParameter:{decimalDollar:{name:"decimal_dollar",detail:"A decimal number."},fraction:{name:"fraction",detail:"The integer to use in the denominator of the fraction."}}},DURATION:{description:"Returns the annual duration of a security with periodic interest payments",abstract:"Returns the annual duration of a security with periodic interest payments",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/duration-function-b254ea57-eadc-4602-a86a-c8e369334038"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},coupon:{name:"coupon",detail:"The security's annual coupon rate."},yld:{name:"yld",detail:"The security's annual yield."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},EFFECT:{description:"Returns the effective annual interest rate",abstract:"Returns the effective annual interest rate",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/effect-function-910d4e4c-79e2-4009-95e6-507e04f11bc4"}],functionParameter:{nominalRate:{name:"nominal_rate",detail:"The nominal interest rate."},npery:{name:"npery",detail:"The number of compounding periods per year."}}},FV:{description:"Returns the future value of an investment",abstract:"Returns the future value of an investment",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/fv-function-2eef9f44-a084-4c61-bdd8-4fe4bb1b71b3"}],functionParameter:{rate:{name:"rate",detail:"The interest rate per period."},nper:{name:"nper",detail:"The total number of payment periods in an annuity."},pmt:{name:"pmt",detail:"The payment made each period; it cannot change over the life of the annuity."},pv:{name:"pv",detail:"The present value, or the lump-sum amount that a series of future payments is worth right now."},type:{name:"type",detail:"The number 0 or 1 and indicates when payments are due."}}},FVSCHEDULE:{description:"Returns the future value of an initial principal after applying a series of compound interest rates",abstract:"Returns the future value of an initial principal after applying a series of compound interest rates",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/fvschedule-function-bec29522-bd87-4082-bab9-a241f3fb251d"}],functionParameter:{principal:{name:"principal",detail:"The present value."},schedule:{name:"schedule",detail:"An array of interest rates to apply."}}},INTRATE:{description:"Returns the interest rate for a fully invested security",abstract:"Returns the interest rate for a fully invested security",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/intrate-function-5cb34dde-a221-4cb6-b3eb-0b9e55e1316f"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},investment:{name:"investment",detail:"The amount invested in the security."},redemption:{name:"redemption",detail:"The amount to be received at maturity."},basis:{name:"basis",detail:"The type of day count basis to use."}}},IPMT:{description:"Returns the interest payment for an investment for a given period",abstract:"Returns the interest payment for an investment for a given period",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ipmt-function-5cce0ad6-8402-4a41-8d29-61a0b054cb6f"}],functionParameter:{rate:{name:"rate",detail:"The interest rate per period."},per:{name:"per",detail:"The period for which you want to find the interest and must be in the range 1 to nper."},nper:{name:"nper",detail:"The total number of payment periods in an annuity."},pv:{name:"pv",detail:"The present value, or the lump-sum amount that a series of future payments is worth right now."},fv:{name:"fv",detail:"The future value, or a cash balance you want to attain after the last payment is made."},type:{name:"type",detail:"The number 0 or 1 and indicates when payments are due."}}},IRR:{description:"Returns the internal rate of return for a series of cash flows",abstract:"Returns the internal rate of return for a series of cash flows",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/irr-function-64925eaa-9988-495b-b290-3ad0c163c1bc"}],functionParameter:{values:{name:"values",detail:`An array or a reference to cells that contain numbers for which you want to calculate the internal rate of return.
|
|
1
|
+
(function(e,a){typeof exports=="object"&&typeof module<"u"?module.exports=a():typeof define=="function"&&define.amd?define(a):(e=typeof globalThis<"u"?globalThis:e||self,e.UniverSheetsFormulaUiCaES=a())})(this,(function(){"use strict";return{shortcut:{"sheets-formula-ui":{"quick-sum":"Suma ràpida"}},formula:{insert:{tooltip:"Funcions",common:"Funcions habituals"},functionList:{...{ACCRINT:{description:"",abstract:"",links:[{title:"Instrucció",url:"https://support.microsoft.com/en-us/office/accrint-function-fe45d089-6722-4fb3-9379-e1f911d8dc74"}],functionParameter:{issue:{name:"emissió",detail:""},firstInterest:{name:"primer_interès",detail:""},settlement:{name:"liquidació",detail:""},rate:{name:"taxa",detail:""},par:{name:"valor_nominal",detail:""},frequency:{name:"freqüència",detail:""},basis:{name:"base",detail:""},calcMethod:{name:"mètode_càlcul",detail:""}}},ACCRINTM:{description:"Returns the accrued interest for a security that pays interest at maturity",abstract:"Returns the accrued interest for a security that pays interest at maturity",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/accrintm-function-f62f01f9-5754-4cc4-805b-0e70199328a7"}],functionParameter:{issue:{name:"issue",detail:"The security's issue date."},settlement:{name:"settlement",detail:"The security's maturity date."},rate:{name:"rate",detail:"The security's annual coupon rate."},par:{name:"par",detail:"The security's par value."},basis:{name:"basis",detail:"The type of day count basis to use."}}},AMORDEGRC:{description:"Returns the depreciation for each accounting period by using a depreciation coefficient",abstract:"Returns the depreciation for each accounting period by using a depreciation coefficient",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/amordegrc-function-a14d0ca1-64a4-42eb-9b3d-b0dededf9e51"}],functionParameter:{number1:{name:"number1",detail:"first"},number2:{name:"number2",detail:"second"}}},AMORLINC:{description:"Returns the depreciation for each accounting period",abstract:"Returns the depreciation for each accounting period",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/amorlinc-function-7d417b45-f7f5-4dba-a0a5-3451a81079a8"}],functionParameter:{cost:{name:"cost",detail:"The cost of the asset."},datePurchased:{name:"date_purchased",detail:"The date of the purchase of the asset."},firstPeriod:{name:"first_period",detail:"The date of the end of the first period."},salvage:{name:"salvage",detail:"The salvage value at the end of the life of the asset."},period:{name:"period",detail:"The period."},rate:{name:"rate",detail:"The rate of depreciation."},basis:{name:"basis",detail:"The year basis to be used."}}},COUPDAYBS:{description:"Returns the number of days from the beginning of the coupon period to the settlement date",abstract:"Returns the number of days from the beginning of the coupon period to the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdaybs-function-eb9a8dfb-2fb2-4c61-8e5d-690b320cf872"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPDAYS:{description:"Returns the number of days in the coupon period that contains the settlement date",abstract:"Returns the number of days in the coupon period that contains the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdays-function-cc64380b-315b-4e7b-950c-b30b0a76f671"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPDAYSNC:{description:"Returns the number of days from the settlement date to the next coupon date",abstract:"Returns the number of days from the settlement date to the next coupon date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdaysnc-function-5ab3f0b2-029f-4a8b-bb65-47d525eea547"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPNCD:{description:"Returns the next coupon date after the settlement date",abstract:"Returns the next coupon date after the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupncd-function-fd962fef-506b-4d9d-8590-16df5393691f"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPNUM:{description:"Returns the number of coupons payable between the settlement date and maturity date",abstract:"Returns the number of coupons payable between the settlement date and maturity date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupnum-function-a90af57b-de53-4969-9c99-dd6139db2522"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPPCD:{description:"Returns the previous coupon date before the settlement date",abstract:"Returns the previous coupon date before the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/couppcd-function-2eb50473-6ee9-4052-a206-77a9a385d5b3"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},CUMIPMT:{description:"Returns the cumulative interest paid between two periods",abstract:"Returns the cumulative interest paid between two periods",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/cumipmt-function-61067bb0-9016-427d-b95b-1a752af0e606"}],functionParameter:{rate:{name:"rate",detail:"The interest rate."},nper:{name:"nper",detail:"The total number of payment periods."},pv:{name:"pv",detail:"The present value."},startPeriod:{name:"start_period",detail:"The first period in the calculation. Payment periods are numbered beginning with 1."},endPeriod:{name:"end_period",detail:"The last period in the calculation."},type:{name:"type",detail:"The timing of the payment."}}},CUMPRINC:{description:"Returns the cumulative principal paid on a loan between two periods",abstract:"Returns the cumulative principal paid on a loan between two periods",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/cumprinc-function-94a4516d-bd65-41a1-bc16-053a6af4c04d"}],functionParameter:{rate:{name:"rate",detail:"The interest rate."},nper:{name:"nper",detail:"The total number of payment periods."},pv:{name:"pv",detail:"The present value."},startPeriod:{name:"start_period",detail:"The first period in the calculation. Payment periods are numbered beginning with 1."},endPeriod:{name:"end_period",detail:"The last period in the calculation."},type:{name:"type",detail:"The timing of the payment."}}},DB:{description:"Returns the depreciation of an asset for a specified period by using the fixed-declining balance method",abstract:"Returns the depreciation of an asset for a specified period by using the fixed-declining balance method",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/db-function-354e7d28-5f93-4ff1-8a52-eb4ee549d9d7"}],functionParameter:{cost:{name:"cost",detail:"The initial cost of the asset."},salvage:{name:"salvage",detail:"The value at the end of the depreciation (sometimes called the salvage value of the asset)."},life:{name:"life",detail:"The number of periods over which the asset is being depreciated (sometimes called the useful life of the asset)."},period:{name:"period",detail:"The period for which you want to calculate the depreciation."},month:{name:"month",detail:"The number of months in the first year. If month is omitted, it is assumed to be 12."}}},DDB:{description:"Returns the depreciation of an asset for a specified period by using the double-declining balance method or some other method that you specify",abstract:"Returns the depreciation of an asset for a specified period by using the double-declining balance method or some other method that you specify",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ddb-function-519a7a37-8772-4c96-85c0-ed2c209717a5"}],functionParameter:{cost:{name:"cost",detail:"The initial cost of the asset."},salvage:{name:"salvage",detail:"The value at the end of the depreciation (sometimes called the salvage value of the asset)."},life:{name:"life",detail:"The number of periods over which the asset is being depreciated (sometimes called the useful life of the asset)."},period:{name:"period",detail:"The period for which you want to calculate the depreciation."},factor:{name:"factor",detail:"The rate at which the balance declines. If factor is omitted, it is assumed to be 2 (the double-declining balance method)."}}},DISC:{description:"Returns the discount rate for a security",abstract:"Returns the discount rate for a security",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/disc-function-71fce9f3-3f05-4acf-a5a3-eac6ef4daa53"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},pr:{name:"pr",detail:"The security's price per $100 face value."},redemption:{name:"redemption",detail:"The security's redemption value per $100 face value."},basis:{name:"basis",detail:"The type of day count basis to use."}}},DOLLARDE:{description:"Converts a dollar price, expressed as a fraction, into a dollar price, expressed as a decimal number",abstract:"Converts a dollar price, expressed as a fraction, into a dollar price, expressed as a decimal number",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/dollarde-function-db85aab0-1677-428a-9dfd-a38476693427"}],functionParameter:{fractionalDollar:{name:"fractional_dollar",detail:"A number expressed as an integer part and a fraction part, separated by a decimal symbol."},fraction:{name:"fraction",detail:"The integer to use in the denominator of the fraction."}}},DOLLARFR:{description:"Converts a dollar price, expressed as a decimal number, into a dollar price, expressed as a fraction",abstract:"Converts a dollar price, expressed as a decimal number, into a dollar price, expressed as a fraction",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/dollarfr-function-0835d163-3023-4a33-9824-3042c5d4f495"}],functionParameter:{decimalDollar:{name:"decimal_dollar",detail:"A decimal number."},fraction:{name:"fraction",detail:"The integer to use in the denominator of the fraction."}}},DURATION:{description:"Returns the annual duration of a security with periodic interest payments",abstract:"Returns the annual duration of a security with periodic interest payments",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/duration-function-b254ea57-eadc-4602-a86a-c8e369334038"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},coupon:{name:"coupon",detail:"The security's annual coupon rate."},yld:{name:"yld",detail:"The security's annual yield."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},EFFECT:{description:"Returns the effective annual interest rate",abstract:"Returns the effective annual interest rate",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/effect-function-910d4e4c-79e2-4009-95e6-507e04f11bc4"}],functionParameter:{nominalRate:{name:"nominal_rate",detail:"The nominal interest rate."},npery:{name:"npery",detail:"The number of compounding periods per year."}}},FV:{description:"Returns the future value of an investment",abstract:"Returns the future value of an investment",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/fv-function-2eef9f44-a084-4c61-bdd8-4fe4bb1b71b3"}],functionParameter:{rate:{name:"rate",detail:"The interest rate per period."},nper:{name:"nper",detail:"The total number of payment periods in an annuity."},pmt:{name:"pmt",detail:"The payment made each period; it cannot change over the life of the annuity."},pv:{name:"pv",detail:"The present value, or the lump-sum amount that a series of future payments is worth right now."},type:{name:"type",detail:"The number 0 or 1 and indicates when payments are due."}}},FVSCHEDULE:{description:"Returns the future value of an initial principal after applying a series of compound interest rates",abstract:"Returns the future value of an initial principal after applying a series of compound interest rates",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/fvschedule-function-bec29522-bd87-4082-bab9-a241f3fb251d"}],functionParameter:{principal:{name:"principal",detail:"The present value."},schedule:{name:"schedule",detail:"An array of interest rates to apply."}}},INTRATE:{description:"Returns the interest rate for a fully invested security",abstract:"Returns the interest rate for a fully invested security",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/intrate-function-5cb34dde-a221-4cb6-b3eb-0b9e55e1316f"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},investment:{name:"investment",detail:"The amount invested in the security."},redemption:{name:"redemption",detail:"The amount to be received at maturity."},basis:{name:"basis",detail:"The type of day count basis to use."}}},IPMT:{description:"Returns the interest payment for an investment for a given period",abstract:"Returns the interest payment for an investment for a given period",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ipmt-function-5cce0ad6-8402-4a41-8d29-61a0b054cb6f"}],functionParameter:{rate:{name:"rate",detail:"The interest rate per period."},per:{name:"per",detail:"The period for which you want to find the interest and must be in the range 1 to nper."},nper:{name:"nper",detail:"The total number of payment periods in an annuity."},pv:{name:"pv",detail:"The present value, or the lump-sum amount that a series of future payments is worth right now."},fv:{name:"fv",detail:"The future value, or a cash balance you want to attain after the last payment is made."},type:{name:"type",detail:"The number 0 or 1 and indicates when payments are due."}}},IRR:{description:"Returns the internal rate of return for a series of cash flows",abstract:"Returns the internal rate of return for a series of cash flows",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/irr-function-64925eaa-9988-495b-b290-3ad0c163c1bc"}],functionParameter:{values:{name:"values",detail:`An array or a reference to cells that contain numbers for which you want to calculate the internal rate of return.
|
|
2
2
|
1.Values must contain at least one positive value and one negative value to calculate the internal rate of return.
|
|
3
3
|
2.IRR uses the order of values to interpret the order of cash flows. Be sure to enter your payment and income values in the sequence you want.
|
|
4
4
|
3.If an array or reference argument contains text, logical values, or empty cells, those values are ignored.`},guess:{name:"guess",detail:"A number that you guess is close to the result of IRR."}}},ISPMT:{description:"Calculates the interest paid during a specific period of an investment",abstract:"Calculates the interest paid during a specific period of an investment",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ispmt-function-fa58adb6-9d39-4ce0-8f43-75399cea56cc"}],functionParameter:{rate:{name:"rate",detail:"The interest rate for the investment."},per:{name:"per",detail:"The period for which you want to find the interest, and must be between 1 and Nper."},nper:{name:"nper",detail:"The total number of payment periods for the investment."},pv:{name:"pv",detail:"The present value of the investment. For a loan, Pv is the loan amount."}}},MDURATION:{description:"Returns the Macauley modified duration for a security with an assumed par value of $100",abstract:"Returns the Macauley modified duration for a security with an assumed par value of $100",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/mduration-function-b3786a69-4f20-469a-94ad-33e5b90a763c"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},coupon:{name:"coupon",detail:"The security's annual coupon rate."},yld:{name:"yld",detail:"The security's annual yield."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},MIRR:{description:"Returns the internal rate of return where positive and negative cash flows are financed at different rates",abstract:"Returns the internal rate of return where positive and negative cash flows are financed at different rates",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/mirr-function-b020f038-7492-4fb4-93c1-35c345b53524"}],functionParameter:{values:{name:"values",detail:`An array or a reference to cells that contain numbers. These numbers represent a series of payments (negative values) and income (positive values) occurring at regular periods.
|
package/lib/umd/locale/en-US.js
CHANGED
|
@@ -1,4 +1,4 @@
|
|
|
1
|
-
(function(e,t){typeof exports=="object"&&typeof module<"u"?module.exports=t():typeof define=="function"&&define.amd?define(t):(e=typeof globalThis<"u"?globalThis:e||self,e.UniverSheetsFormulaUiEnUS=t())})(this,(function(){"use strict";return{shortcut:{"sheets-formula-ui":{"quick-sum":"Quick Sum"}},formula:{insert:{tooltip:"Functions",sum:"SUM",average:"AVERAGE",count:"COUNT",max:"MAX",min:"MIN",more:"More Functions..."},functionList:{...{ACCRINT:{description:"Returns the accrued interest for a security that pays periodic interest",abstract:"Returns the accrued interest for a security that pays periodic interest",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/accrint-function-fe45d089-6722-4fb3-9379-e1f911d8dc74"}],functionParameter:{issue:{name:"issue",detail:"The security's issue date."},firstInterest:{name:"first_interest",detail:"The security's first interest date."},settlement:{name:"settlement",detail:"The security's maturity date."},rate:{name:"rate",detail:"The security's annual coupon rate."},par:{name:"par",detail:"The security's par value."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."},calcMethod:{name:"calc_method",detail:"Is a logical value: interest accrues from the issue date = TRUE or ignored; interest accrues from the last coupon payment date = FALSE."}}},ACCRINTM:{description:"Returns the accrued interest for a security that pays interest at maturity",abstract:"Returns the accrued interest for a security that pays interest at maturity",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/accrintm-function-f62f01f9-5754-4cc4-805b-0e70199328a7"}],functionParameter:{issue:{name:"issue",detail:"The security's issue date."},settlement:{name:"settlement",detail:"The security's maturity date."},rate:{name:"rate",detail:"The security's annual coupon rate."},par:{name:"par",detail:"The security's par value."},basis:{name:"basis",detail:"The type of day count basis to use."}}},AMORDEGRC:{description:"Returns the depreciation for each accounting period by using a depreciation coefficient",abstract:"Returns the depreciation for each accounting period by using a depreciation coefficient",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/amordegrc-function-a14d0ca1-64a4-42eb-9b3d-b0dededf9e51"}],functionParameter:{number1:{name:"number1",detail:"first"},number2:{name:"number2",detail:"second"}}},AMORLINC:{description:"Returns the depreciation for each accounting period",abstract:"Returns the depreciation for each accounting period",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/amorlinc-function-7d417b45-f7f5-4dba-a0a5-3451a81079a8"}],functionParameter:{cost:{name:"cost",detail:"The cost of the asset."},datePurchased:{name:"date_purchased",detail:"The date of the purchase of the asset."},firstPeriod:{name:"first_period",detail:"The date of the end of the first period."},salvage:{name:"salvage",detail:"The salvage value at the end of the life of the asset."},period:{name:"period",detail:"The period."},rate:{name:"rate",detail:"The rate of depreciation."},basis:{name:"basis",detail:"The year basis to be used."}}},COUPDAYBS:{description:"Returns the number of days from the beginning of the coupon period to the settlement date",abstract:"Returns the number of days from the beginning of the coupon period to the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdaybs-function-eb9a8dfb-2fb2-4c61-8e5d-690b320cf872"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPDAYS:{description:"Returns the number of days in the coupon period that contains the settlement date",abstract:"Returns the number of days in the coupon period that contains the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdays-function-cc64380b-315b-4e7b-950c-b30b0a76f671"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPDAYSNC:{description:"Returns the number of days from the settlement date to the next coupon date",abstract:"Returns the number of days from the settlement date to the next coupon date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdaysnc-function-5ab3f0b2-029f-4a8b-bb65-47d525eea547"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPNCD:{description:"Returns the next coupon date after the settlement date",abstract:"Returns the next coupon date after the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupncd-function-fd962fef-506b-4d9d-8590-16df5393691f"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPNUM:{description:"Returns the number of coupons payable between the settlement date and maturity date",abstract:"Returns the number of coupons payable between the settlement date and maturity date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupnum-function-a90af57b-de53-4969-9c99-dd6139db2522"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPPCD:{description:"Returns the previous coupon date before the settlement date",abstract:"Returns the previous coupon date before the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/couppcd-function-2eb50473-6ee9-4052-a206-77a9a385d5b3"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},CUMIPMT:{description:"Returns the cumulative interest paid between two periods",abstract:"Returns the cumulative interest paid between two periods",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/cumipmt-function-61067bb0-9016-427d-b95b-1a752af0e606"}],functionParameter:{rate:{name:"rate",detail:"The interest rate."},nper:{name:"nper",detail:"The total number of payment periods."},pv:{name:"pv",detail:"The present value."},startPeriod:{name:"start_period",detail:"The first period in the calculation. Payment periods are numbered beginning with 1."},endPeriod:{name:"end_period",detail:"The last period in the calculation."},type:{name:"type",detail:"The timing of the payment."}}},CUMPRINC:{description:"Returns the cumulative principal paid on a loan between two periods",abstract:"Returns the cumulative principal paid on a loan between two periods",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/cumprinc-function-94a4516d-bd65-41a1-bc16-053a6af4c04d"}],functionParameter:{rate:{name:"rate",detail:"The interest rate."},nper:{name:"nper",detail:"The total number of payment periods."},pv:{name:"pv",detail:"The present value."},startPeriod:{name:"start_period",detail:"The first period in the calculation. Payment periods are numbered beginning with 1."},endPeriod:{name:"end_period",detail:"The last period in the calculation."},type:{name:"type",detail:"The timing of the payment."}}},DB:{description:"Returns the depreciation of an asset for a specified period by using the fixed-declining balance method",abstract:"Returns the depreciation of an asset for a specified period by using the fixed-declining balance method",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/db-function-354e7d28-5f93-4ff1-8a52-eb4ee549d9d7"}],functionParameter:{cost:{name:"cost",detail:"The initial cost of the asset."},salvage:{name:"salvage",detail:"The value at the end of the depreciation (sometimes called the salvage value of the asset)."},life:{name:"life",detail:"The number of periods over which the asset is being depreciated (sometimes called the useful life of the asset)."},period:{name:"period",detail:"The period for which you want to calculate the depreciation."},month:{name:"month",detail:"The number of months in the first year. If month is omitted, it is assumed to be 12."}}},DDB:{description:"Returns the depreciation of an asset for a specified period by using the double-declining balance method or some other method that you specify",abstract:"Returns the depreciation of an asset for a specified period by using the double-declining balance method or some other method that you specify",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ddb-function-519a7a37-8772-4c96-85c0-ed2c209717a5"}],functionParameter:{cost:{name:"cost",detail:"The initial cost of the asset."},salvage:{name:"salvage",detail:"The value at the end of the depreciation (sometimes called the salvage value of the asset)."},life:{name:"life",detail:"The number of periods over which the asset is being depreciated (sometimes called the useful life of the asset)."},period:{name:"period",detail:"The period for which you want to calculate the depreciation."},factor:{name:"factor",detail:"The rate at which the balance declines. If factor is omitted, it is assumed to be 2 (the double-declining balance method)."}}},DISC:{description:"Returns the discount rate for a security",abstract:"Returns the discount rate for a security",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/disc-function-71fce9f3-3f05-4acf-a5a3-eac6ef4daa53"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},pr:{name:"pr",detail:"The security's price per $100 face value."},redemption:{name:"redemption",detail:"The security's redemption value per $100 face value."},basis:{name:"basis",detail:"The type of day count basis to use."}}},DOLLARDE:{description:"Converts a dollar price, expressed as a fraction, into a dollar price, expressed as a decimal number",abstract:"Converts a dollar price, expressed as a fraction, into a dollar price, expressed as a decimal number",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/dollarde-function-db85aab0-1677-428a-9dfd-a38476693427"}],functionParameter:{fractionalDollar:{name:"fractional_dollar",detail:"A number expressed as an integer part and a fraction part, separated by a decimal symbol."},fraction:{name:"fraction",detail:"The integer to use in the denominator of the fraction."}}},DOLLARFR:{description:"Converts a dollar price, expressed as a decimal number, into a dollar price, expressed as a fraction",abstract:"Converts a dollar price, expressed as a decimal number, into a dollar price, expressed as a fraction",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/dollarfr-function-0835d163-3023-4a33-9824-3042c5d4f495"}],functionParameter:{decimalDollar:{name:"decimal_dollar",detail:"A decimal number."},fraction:{name:"fraction",detail:"The integer to use in the denominator of the fraction."}}},DURATION:{description:"Returns the annual duration of a security with periodic interest payments",abstract:"Returns the annual duration of a security with periodic interest payments",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/duration-function-b254ea57-eadc-4602-a86a-c8e369334038"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},coupon:{name:"coupon",detail:"The security's annual coupon rate."},yld:{name:"yld",detail:"The security's annual yield."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},EFFECT:{description:"Returns the effective annual interest rate",abstract:"Returns the effective annual interest rate",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/effect-function-910d4e4c-79e2-4009-95e6-507e04f11bc4"}],functionParameter:{nominalRate:{name:"nominal_rate",detail:"The nominal interest rate."},npery:{name:"npery",detail:"The number of compounding periods per year."}}},FV:{description:"Returns the future value of an investment",abstract:"Returns the future value of an investment",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/fv-function-2eef9f44-a084-4c61-bdd8-4fe4bb1b71b3"}],functionParameter:{rate:{name:"rate",detail:"The interest rate per period."},nper:{name:"nper",detail:"The total number of payment periods in an annuity."},pmt:{name:"pmt",detail:"The payment made each period; it cannot change over the life of the annuity."},pv:{name:"pv",detail:"The present value, or the lump-sum amount that a series of future payments is worth right now."},type:{name:"type",detail:"The number 0 or 1 and indicates when payments are due."}}},FVSCHEDULE:{description:"Returns the future value of an initial principal after applying a series of compound interest rates",abstract:"Returns the future value of an initial principal after applying a series of compound interest rates",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/fvschedule-function-bec29522-bd87-4082-bab9-a241f3fb251d"}],functionParameter:{principal:{name:"principal",detail:"The present value."},schedule:{name:"schedule",detail:"An array of interest rates to apply."}}},INTRATE:{description:"Returns the interest rate for a fully invested security",abstract:"Returns the interest rate for a fully invested security",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/intrate-function-5cb34dde-a221-4cb6-b3eb-0b9e55e1316f"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},investment:{name:"investment",detail:"The amount invested in the security."},redemption:{name:"redemption",detail:"The amount to be received at maturity."},basis:{name:"basis",detail:"The type of day count basis to use."}}},IPMT:{description:"Returns the interest payment for an investment for a given period",abstract:"Returns the interest payment for an investment for a given period",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ipmt-function-5cce0ad6-8402-4a41-8d29-61a0b054cb6f"}],functionParameter:{rate:{name:"rate",detail:"The interest rate per period."},per:{name:"per",detail:"The period for which you want to find the interest and must be in the range 1 to nper."},nper:{name:"nper",detail:"The total number of payment periods in an annuity."},pv:{name:"pv",detail:"The present value, or the lump-sum amount that a series of future payments is worth right now."},fv:{name:"fv",detail:"The future value, or a cash balance you want to attain after the last payment is made."},type:{name:"type",detail:"The number 0 or 1 and indicates when payments are due."}}},IRR:{description:"Returns the internal rate of return for a series of cash flows",abstract:"Returns the internal rate of return for a series of cash flows",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/irr-function-64925eaa-9988-495b-b290-3ad0c163c1bc"}],functionParameter:{values:{name:"values",detail:`An array or a reference to cells that contain numbers for which you want to calculate the internal rate of return.
|
|
1
|
+
(function(e,t){typeof exports=="object"&&typeof module<"u"?module.exports=t():typeof define=="function"&&define.amd?define(t):(e=typeof globalThis<"u"?globalThis:e||self,e.UniverSheetsFormulaUiEnUS=t())})(this,(function(){"use strict";return{shortcut:{"sheets-formula-ui":{"quick-sum":"Quick Sum"}},formula:{insert:{tooltip:"Functions",common:"Common Functions"},functionList:{...{ACCRINT:{description:"Returns the accrued interest for a security that pays periodic interest",abstract:"Returns the accrued interest for a security that pays periodic interest",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/accrint-function-fe45d089-6722-4fb3-9379-e1f911d8dc74"}],functionParameter:{issue:{name:"issue",detail:"The security's issue date."},firstInterest:{name:"first_interest",detail:"The security's first interest date."},settlement:{name:"settlement",detail:"The security's maturity date."},rate:{name:"rate",detail:"The security's annual coupon rate."},par:{name:"par",detail:"The security's par value."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."},calcMethod:{name:"calc_method",detail:"Is a logical value: interest accrues from the issue date = TRUE or ignored; interest accrues from the last coupon payment date = FALSE."}}},ACCRINTM:{description:"Returns the accrued interest for a security that pays interest at maturity",abstract:"Returns the accrued interest for a security that pays interest at maturity",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/accrintm-function-f62f01f9-5754-4cc4-805b-0e70199328a7"}],functionParameter:{issue:{name:"issue",detail:"The security's issue date."},settlement:{name:"settlement",detail:"The security's maturity date."},rate:{name:"rate",detail:"The security's annual coupon rate."},par:{name:"par",detail:"The security's par value."},basis:{name:"basis",detail:"The type of day count basis to use."}}},AMORDEGRC:{description:"Returns the depreciation for each accounting period by using a depreciation coefficient",abstract:"Returns the depreciation for each accounting period by using a depreciation coefficient",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/amordegrc-function-a14d0ca1-64a4-42eb-9b3d-b0dededf9e51"}],functionParameter:{number1:{name:"number1",detail:"first"},number2:{name:"number2",detail:"second"}}},AMORLINC:{description:"Returns the depreciation for each accounting period",abstract:"Returns the depreciation for each accounting period",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/amorlinc-function-7d417b45-f7f5-4dba-a0a5-3451a81079a8"}],functionParameter:{cost:{name:"cost",detail:"The cost of the asset."},datePurchased:{name:"date_purchased",detail:"The date of the purchase of the asset."},firstPeriod:{name:"first_period",detail:"The date of the end of the first period."},salvage:{name:"salvage",detail:"The salvage value at the end of the life of the asset."},period:{name:"period",detail:"The period."},rate:{name:"rate",detail:"The rate of depreciation."},basis:{name:"basis",detail:"The year basis to be used."}}},COUPDAYBS:{description:"Returns the number of days from the beginning of the coupon period to the settlement date",abstract:"Returns the number of days from the beginning of the coupon period to the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdaybs-function-eb9a8dfb-2fb2-4c61-8e5d-690b320cf872"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPDAYS:{description:"Returns the number of days in the coupon period that contains the settlement date",abstract:"Returns the number of days in the coupon period that contains the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdays-function-cc64380b-315b-4e7b-950c-b30b0a76f671"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPDAYSNC:{description:"Returns the number of days from the settlement date to the next coupon date",abstract:"Returns the number of days from the settlement date to the next coupon date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdaysnc-function-5ab3f0b2-029f-4a8b-bb65-47d525eea547"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPNCD:{description:"Returns the next coupon date after the settlement date",abstract:"Returns the next coupon date after the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupncd-function-fd962fef-506b-4d9d-8590-16df5393691f"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPNUM:{description:"Returns the number of coupons payable between the settlement date and maturity date",abstract:"Returns the number of coupons payable between the settlement date and maturity date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupnum-function-a90af57b-de53-4969-9c99-dd6139db2522"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPPCD:{description:"Returns the previous coupon date before the settlement date",abstract:"Returns the previous coupon date before the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/couppcd-function-2eb50473-6ee9-4052-a206-77a9a385d5b3"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},CUMIPMT:{description:"Returns the cumulative interest paid between two periods",abstract:"Returns the cumulative interest paid between two periods",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/cumipmt-function-61067bb0-9016-427d-b95b-1a752af0e606"}],functionParameter:{rate:{name:"rate",detail:"The interest rate."},nper:{name:"nper",detail:"The total number of payment periods."},pv:{name:"pv",detail:"The present value."},startPeriod:{name:"start_period",detail:"The first period in the calculation. Payment periods are numbered beginning with 1."},endPeriod:{name:"end_period",detail:"The last period in the calculation."},type:{name:"type",detail:"The timing of the payment."}}},CUMPRINC:{description:"Returns the cumulative principal paid on a loan between two periods",abstract:"Returns the cumulative principal paid on a loan between two periods",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/cumprinc-function-94a4516d-bd65-41a1-bc16-053a6af4c04d"}],functionParameter:{rate:{name:"rate",detail:"The interest rate."},nper:{name:"nper",detail:"The total number of payment periods."},pv:{name:"pv",detail:"The present value."},startPeriod:{name:"start_period",detail:"The first period in the calculation. Payment periods are numbered beginning with 1."},endPeriod:{name:"end_period",detail:"The last period in the calculation."},type:{name:"type",detail:"The timing of the payment."}}},DB:{description:"Returns the depreciation of an asset for a specified period by using the fixed-declining balance method",abstract:"Returns the depreciation of an asset for a specified period by using the fixed-declining balance method",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/db-function-354e7d28-5f93-4ff1-8a52-eb4ee549d9d7"}],functionParameter:{cost:{name:"cost",detail:"The initial cost of the asset."},salvage:{name:"salvage",detail:"The value at the end of the depreciation (sometimes called the salvage value of the asset)."},life:{name:"life",detail:"The number of periods over which the asset is being depreciated (sometimes called the useful life of the asset)."},period:{name:"period",detail:"The period for which you want to calculate the depreciation."},month:{name:"month",detail:"The number of months in the first year. If month is omitted, it is assumed to be 12."}}},DDB:{description:"Returns the depreciation of an asset for a specified period by using the double-declining balance method or some other method that you specify",abstract:"Returns the depreciation of an asset for a specified period by using the double-declining balance method or some other method that you specify",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ddb-function-519a7a37-8772-4c96-85c0-ed2c209717a5"}],functionParameter:{cost:{name:"cost",detail:"The initial cost of the asset."},salvage:{name:"salvage",detail:"The value at the end of the depreciation (sometimes called the salvage value of the asset)."},life:{name:"life",detail:"The number of periods over which the asset is being depreciated (sometimes called the useful life of the asset)."},period:{name:"period",detail:"The period for which you want to calculate the depreciation."},factor:{name:"factor",detail:"The rate at which the balance declines. If factor is omitted, it is assumed to be 2 (the double-declining balance method)."}}},DISC:{description:"Returns the discount rate for a security",abstract:"Returns the discount rate for a security",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/disc-function-71fce9f3-3f05-4acf-a5a3-eac6ef4daa53"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},pr:{name:"pr",detail:"The security's price per $100 face value."},redemption:{name:"redemption",detail:"The security's redemption value per $100 face value."},basis:{name:"basis",detail:"The type of day count basis to use."}}},DOLLARDE:{description:"Converts a dollar price, expressed as a fraction, into a dollar price, expressed as a decimal number",abstract:"Converts a dollar price, expressed as a fraction, into a dollar price, expressed as a decimal number",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/dollarde-function-db85aab0-1677-428a-9dfd-a38476693427"}],functionParameter:{fractionalDollar:{name:"fractional_dollar",detail:"A number expressed as an integer part and a fraction part, separated by a decimal symbol."},fraction:{name:"fraction",detail:"The integer to use in the denominator of the fraction."}}},DOLLARFR:{description:"Converts a dollar price, expressed as a decimal number, into a dollar price, expressed as a fraction",abstract:"Converts a dollar price, expressed as a decimal number, into a dollar price, expressed as a fraction",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/dollarfr-function-0835d163-3023-4a33-9824-3042c5d4f495"}],functionParameter:{decimalDollar:{name:"decimal_dollar",detail:"A decimal number."},fraction:{name:"fraction",detail:"The integer to use in the denominator of the fraction."}}},DURATION:{description:"Returns the annual duration of a security with periodic interest payments",abstract:"Returns the annual duration of a security with periodic interest payments",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/duration-function-b254ea57-eadc-4602-a86a-c8e369334038"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},coupon:{name:"coupon",detail:"The security's annual coupon rate."},yld:{name:"yld",detail:"The security's annual yield."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},EFFECT:{description:"Returns the effective annual interest rate",abstract:"Returns the effective annual interest rate",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/effect-function-910d4e4c-79e2-4009-95e6-507e04f11bc4"}],functionParameter:{nominalRate:{name:"nominal_rate",detail:"The nominal interest rate."},npery:{name:"npery",detail:"The number of compounding periods per year."}}},FV:{description:"Returns the future value of an investment",abstract:"Returns the future value of an investment",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/fv-function-2eef9f44-a084-4c61-bdd8-4fe4bb1b71b3"}],functionParameter:{rate:{name:"rate",detail:"The interest rate per period."},nper:{name:"nper",detail:"The total number of payment periods in an annuity."},pmt:{name:"pmt",detail:"The payment made each period; it cannot change over the life of the annuity."},pv:{name:"pv",detail:"The present value, or the lump-sum amount that a series of future payments is worth right now."},type:{name:"type",detail:"The number 0 or 1 and indicates when payments are due."}}},FVSCHEDULE:{description:"Returns the future value of an initial principal after applying a series of compound interest rates",abstract:"Returns the future value of an initial principal after applying a series of compound interest rates",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/fvschedule-function-bec29522-bd87-4082-bab9-a241f3fb251d"}],functionParameter:{principal:{name:"principal",detail:"The present value."},schedule:{name:"schedule",detail:"An array of interest rates to apply."}}},INTRATE:{description:"Returns the interest rate for a fully invested security",abstract:"Returns the interest rate for a fully invested security",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/intrate-function-5cb34dde-a221-4cb6-b3eb-0b9e55e1316f"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},investment:{name:"investment",detail:"The amount invested in the security."},redemption:{name:"redemption",detail:"The amount to be received at maturity."},basis:{name:"basis",detail:"The type of day count basis to use."}}},IPMT:{description:"Returns the interest payment for an investment for a given period",abstract:"Returns the interest payment for an investment for a given period",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ipmt-function-5cce0ad6-8402-4a41-8d29-61a0b054cb6f"}],functionParameter:{rate:{name:"rate",detail:"The interest rate per period."},per:{name:"per",detail:"The period for which you want to find the interest and must be in the range 1 to nper."},nper:{name:"nper",detail:"The total number of payment periods in an annuity."},pv:{name:"pv",detail:"The present value, or the lump-sum amount that a series of future payments is worth right now."},fv:{name:"fv",detail:"The future value, or a cash balance you want to attain after the last payment is made."},type:{name:"type",detail:"The number 0 or 1 and indicates when payments are due."}}},IRR:{description:"Returns the internal rate of return for a series of cash flows",abstract:"Returns the internal rate of return for a series of cash flows",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/irr-function-64925eaa-9988-495b-b290-3ad0c163c1bc"}],functionParameter:{values:{name:"values",detail:`An array or a reference to cells that contain numbers for which you want to calculate the internal rate of return.
|
|
2
2
|
1.Values must contain at least one positive value and one negative value to calculate the internal rate of return.
|
|
3
3
|
2.IRR uses the order of values to interpret the order of cash flows. Be sure to enter your payment and income values in the sequence you want.
|
|
4
4
|
3.If an array or reference argument contains text, logical values, or empty cells, those values are ignored.`},guess:{name:"guess",detail:"A number that you guess is close to the result of IRR."}}},ISPMT:{description:"Calculates the interest paid during a specific period of an investment",abstract:"Calculates the interest paid during a specific period of an investment",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ispmt-function-fa58adb6-9d39-4ce0-8f43-75399cea56cc"}],functionParameter:{rate:{name:"rate",detail:"The interest rate for the investment."},per:{name:"per",detail:"The period for which you want to find the interest, and must be between 1 and Nper."},nper:{name:"nper",detail:"The total number of payment periods for the investment."},pv:{name:"pv",detail:"The present value of the investment. For a loan, Pv is the loan amount."}}},MDURATION:{description:"Returns the Macauley modified duration for a security with an assumed par value of $100",abstract:"Returns the Macauley modified duration for a security with an assumed par value of $100",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/mduration-function-b3786a69-4f20-469a-94ad-33e5b90a763c"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},coupon:{name:"coupon",detail:"The security's annual coupon rate."},yld:{name:"yld",detail:"The security's annual yield."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},MIRR:{description:"Returns the internal rate of return where positive and negative cash flows are financed at different rates",abstract:"Returns the internal rate of return where positive and negative cash flows are financed at different rates",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/mirr-function-b020f038-7492-4fb4-93c1-35c345b53524"}],functionParameter:{values:{name:"values",detail:`An array or a reference to cells that contain numbers. These numbers represent a series of payments (negative values) and income (positive values) occurring at regular periods.
|
package/lib/umd/locale/es-ES.js
CHANGED
|
@@ -1,4 +1,4 @@
|
|
|
1
|
-
(function(e,a){typeof exports=="object"&&typeof module<"u"?module.exports=a():typeof define=="function"&&define.amd?define(a):(e=typeof globalThis<"u"?globalThis:e||self,e.UniverSheetsFormulaUiEsES=a())})(this,(function(){"use strict";return{shortcut:{"sheets-formula-ui":{"quick-sum":"Suma rápida"}},formula:{insert:{tooltip:"Funciones",sum:"SUMA",average:"PROMEDIO",count:"CONTAR",max:"MÁX",min:"MÍN",more:"Más funciones..."},functionList:{...{ACCRINT:{description:"Devuelve el interés acumulado de un valor que paga intereses periódicos",abstract:"Devuelve el interés acumulado de un valor que paga intereses periódicos",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/accrint-function-fe45d089-6722-4fb3-9379-e1f911d8dc74"}],functionParameter:{issue:{name:"emisión",detail:"La fecha de emisión del valor."},firstInterest:{name:"primer_interés",detail:"La fecha del primer interés del valor."},settlement:{name:"liquidación",detail:"La fecha de vencimiento del valor."},rate:{name:"tasa",detail:"La tasa de cupón anual del valor."},par:{name:"valor_nominal",detail:"El valor nominal del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."},calcMethod:{name:"método_cálculo",detail:"Es un valor lógico: el interés se acumula desde la fecha de emisión = VERDADERO o se ignora; el interés se acumula desde la fecha del último pago de cupón = FALSO."}}},ACCRINTM:{description:"Devuelve el interés acumulado de un valor que paga intereses al vencimiento",abstract:"Devuelve el interés acumulado de un valor que paga intereses al vencimiento",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/accrintm-function-f62f01f9-5754-4cc4-805b-0e70199328a7"}],functionParameter:{issue:{name:"emisión",detail:"La fecha de emisión del valor."},settlement:{name:"liquidación",detail:"La fecha de vencimiento del valor."},rate:{name:"tasa",detail:"La tasa de cupón anual del valor."},par:{name:"valor_nominal",detail:"El valor nominal del valor."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},AMORDEGRC:{description:"Devuelve la depreciación de cada periodo contable mediante un coeficiente de depreciación",abstract:"Devuelve la depreciación de cada periodo contable mediante un coeficiente de depreciación",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/amordegrc-function-a14d0ca1-64a4-42eb-9b3d-b0dededf9e51"}],functionParameter:{number1:{name:"número1",detail:"primero"},number2:{name:"número2",detail:"segundo"}}},AMORLINC:{description:"Devuelve la depreciación de cada periodo contable",abstract:"Devuelve la depreciación de cada periodo contable",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/amorlinc-function-7d417b45-f7f5-4dba-a0a5-3451a81079a8"}],functionParameter:{cost:{name:"costo",detail:"El costo del activo."},datePurchased:{name:"fecha_compra",detail:"La fecha de compra del activo."},firstPeriod:{name:"primer_periodo",detail:"La fecha del final del primer periodo."},salvage:{name:"valor_residual",detail:"El valor residual al final de la vida del activo."},period:{name:"periodo",detail:"El periodo."},rate:{name:"tasa",detail:"La tasa de depreciación."},basis:{name:"base",detail:"La base del año que se usará."}}},COUPDAYBS:{description:"Devuelve el número de días desde el principio del periodo de cupón hasta la fecha de liquidación",abstract:"Devuelve el número de días desde el principio del periodo de cupón hasta la fecha de liquidación",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/coupdaybs-function-eb9a8dfb-2fb2-4c61-8e5d-690b320cf872"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},COUPDAYS:{description:"Devuelve el número de días del periodo de cupón que contiene la fecha de liquidación",abstract:"Devuelve el número de días del periodo de cupón que contiene la fecha de liquidación",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/coupdays-function-cc64380b-315b-4e7b-950c-b30b0a76f671"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},COUPDAYSNC:{description:"Devuelve el número de días desde la fecha de liquidación hasta la siguiente fecha de cupón",abstract:"Devuelve el número de días desde la fecha de liquidación hasta la siguiente fecha de cupón",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/coupdaysnc-function-5ab3f0b2-029f-4a8b-bb65-47d525eea547"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},COUPNCD:{description:"Devuelve la siguiente fecha de cupón después de la fecha de liquidación",abstract:"Devuelve la siguiente fecha de cupón después de la fecha de liquidación",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/coupncd-function-fd962fef-506b-4d9d-8590-16df5393691f"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},COUPNUM:{description:"Devuelve el número de cupones pagaderos entre la fecha de liquidación y la fecha de vencimiento",abstract:"Devuelve el número de cupones pagaderos entre la fecha de liquidación y la fecha de vencimiento",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/coupnum-function-a90af57b-de53-4969-9c99-dd6139db2522"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},COUPPCD:{description:"Devuelve la fecha de cupón anterior antes de la fecha de liquidación",abstract:"Devuelve la fecha de cupón anterior antes de la fecha de liquidación",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/couppcd-function-2eb50473-6ee9-4052-a206-77a9a385d5b3"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},CUMIPMT:{description:"Devuelve el interés acumulativo pagado entre dos periodos",abstract:"Devuelve el interés acumulativo pagado entre dos periodos",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/cumipmt-function-61067bb0-9016-427d-b95b-1a752af0e606"}],functionParameter:{rate:{name:"tasa",detail:"La tasa de interés."},nper:{name:"núm_pagos",detail:"El número total de periodos de pago."},pv:{name:"va",detail:"El valor actual."},startPeriod:{name:"periodo_inicial",detail:"El primer periodo en el cálculo. Los periodos de pago se numeran comenzando con 1."},endPeriod:{name:"periodo_final",detail:"El último periodo en el cálculo."},type:{name:"tipo",detail:"El momento del pago."}}},CUMPRINC:{description:"Devuelve el capital acumulativo pagado de un préstamo entre dos periodos",abstract:"Devuelve el capital acumulativo pagado de un préstamo entre dos periodos",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/cumprinc-function-94a4516d-bd65-41a1-bc16-053a6af4c04d"}],functionParameter:{rate:{name:"tasa",detail:"La tasa de interés."},nper:{name:"núm_pagos",detail:"El número total de periodos de pago."},pv:{name:"va",detail:"El valor actual."},startPeriod:{name:"periodo_inicial",detail:"El primer periodo en el cálculo. Los periodos de pago se numeran comenzando con 1."},endPeriod:{name:"periodo_final",detail:"El último periodo en el cálculo."},type:{name:"tipo",detail:"El momento del pago."}}},DB:{description:"Devuelve la depreciación de un activo durante un periodo especificado, usando el método de saldo de disminución fija",abstract:"Devuelve la depreciación de un activo durante un periodo especificado, usando el método de saldo de disminución fija",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/db-function-354e7d28-5f93-4ff1-8a52-eb4ee549d9d7"}],functionParameter:{cost:{name:"costo",detail:"El costo inicial del activo."},salvage:{name:"valor_residual",detail:"El valor al final de la depreciación (a veces llamado el valor residual del activo)."},life:{name:"vida",detail:"El número de periodos durante los cuales se deprecia el activo (a veces llamado la vida útil del activo)."},period:{name:"periodo",detail:"El periodo para el cual desea calcular la depreciación."},month:{name:"mes",detail:"El número de meses del primer año. Si se omite el mes, se supone que es 12."}}},DDB:{description:"Devuelve la depreciación de un activo durante un periodo especificado usando el método de saldo de doble disminución u otro método que especifique",abstract:"Devuelve la depreciación de un activo durante un periodo especificado usando el método de saldo de doble disminución u otro método que especifique",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/ddb-function-519a7a37-8772-4c96-85c0-ed2c209717a5"}],functionParameter:{cost:{name:"costo",detail:"El costo inicial del activo."},salvage:{name:"valor_residual",detail:"El valor al final de la depreciación (a veces llamado el valor residual del activo)."},life:{name:"vida",detail:"El número de periodos durante los cuales se deprecia el activo (a veces llamado la vida útil del activo)."},period:{name:"periodo",detail:"El periodo para el cual desea calcular la depreciación."},factor:{name:"factor",detail:"La tasa a la que disminuye el saldo. Si se omite el factor, se supone que es 2 (el método de saldo de doble disminución)."}}},DISC:{description:"Devuelve la tasa de descuento de un valor",abstract:"Devuelve la tasa de descuento de un valor",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/disc-function-71fce9f3-3f05-4acf-a5a3-eac6ef4daa53"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},pr:{name:"precio",detail:"El precio del valor por $100 de valor nominal."},redemption:{name:"rescate",detail:"El valor de rescate del valor por $100 de valor nominal."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},DOLLARDE:{description:"Convierte un precio en dólares, expresado como fracción, en un precio en dólares, expresado como número decimal",abstract:"Convierte un precio en dólares, expresado como fracción, en un precio en dólares, expresado como número decimal",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/dollarde-function-db85aab0-1677-428a-9dfd-a38476693427"}],functionParameter:{fractionalDollar:{name:"dólar_fraccionario",detail:"Un número expresado como una parte entera y una parte fraccionaria, separadas por un símbolo decimal."},fraction:{name:"fracción",detail:"El entero que se usará en el denominador de la fracción."}}},DOLLARFR:{description:"Convierte un precio en dólares, expresado como número decimal, en un precio en dólares, expresado como fracción",abstract:"Convierte un precio en dólares, expresado como número decimal, en un precio en dólares, expresado como fracción",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/dollarfr-function-0835d163-3023-4a33-9824-3042c5d4f495"}],functionParameter:{decimalDollar:{name:"dólar_decimal",detail:"Un número decimal."},fraction:{name:"fracción",detail:"El entero que se usará en el denominador de la fracción."}}},DURATION:{description:"Devuelve la duración anual de un valor con pagos de intereses periódicos",abstract:"Devuelve la duración anual de un valor con pagos de intereses periódicos",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/duration-function-b254ea57-eadc-4602-a86a-c8e369334038"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},coupon:{name:"cupón",detail:"La tasa de cupón anual del valor."},yld:{name:"rendimiento",detail:"El rendimiento anual del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},EFFECT:{description:"Devuelve la tasa de interés anual efectiva",abstract:"Devuelve la tasa de interés anual efectiva",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/effect-function-910d4e4c-79e2-4009-95e6-507e04f11bc4"}],functionParameter:{nominalRate:{name:"tasa_nominal",detail:"La tasa de interés nominal."},npery:{name:"núm_per_año",detail:"El número de periodos de composición por año."}}},FV:{description:"Devuelve el valor futuro de una inversión",abstract:"Devuelve el valor futuro de una inversión",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/fv-function-2eef9f44-a084-4c61-bdd8-4fe4bb1b71b3"}],functionParameter:{rate:{name:"tasa",detail:"La tasa de interés por periodo."},nper:{name:"núm_pagos",detail:"El número total de periodos de pago en una anualidad."},pmt:{name:"pago",detail:"El pago realizado cada periodo; no puede cambiar durante la vida de la anualidad."},pv:{name:"va",detail:"El valor actual, o la cantidad total que vale ahora una serie de pagos futuros."},type:{name:"tipo",detail:"El número 0 o 1 e indica cuándo vencen los pagos."}}},FVSCHEDULE:{description:"Devuelve el valor futuro de un capital inicial después de aplicar una serie de tasas de interés compuesto",abstract:"Devuelve el valor futuro de un capital inicial después de aplicar una serie de tasas de interés compuesto",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/fvschedule-function-bec29522-bd87-4082-bab9-a241f3fb251d"}],functionParameter:{principal:{name:"capital",detail:"El valor actual."},schedule:{name:"programa",detail:"Una matriz de tasas de interés que aplicar."}}},INTRATE:{description:"Devuelve la tasa de interés de un valor completamente invertido",abstract:"Devuelve la tasa de interés de un valor completamente invertido",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/intrate-function-5cb34dde-a221-4cb6-b3eb-0b9e55e1316f"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},investment:{name:"inversión",detail:"La cantidad invertida en el valor."},redemption:{name:"rescate",detail:"La cantidad que se recibirá al vencimiento."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},IPMT:{description:"Devuelve el pago de intereses de una inversión durante un periodo determinado",abstract:"Devuelve el pago de intereses de una inversión durante un periodo determinado",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/ipmt-function-5cce0ad6-8402-4a41-8d29-61a0b054cb6f"}],functionParameter:{rate:{name:"tasa",detail:"La tasa de interés por periodo."},per:{name:"periodo",detail:"El periodo para el cual desea buscar el interés y debe estar en el rango de 1 a núm_pagos."},nper:{name:"núm_pagos",detail:"El número total de periodos de pago en una anualidad."},pv:{name:"va",detail:"El valor actual, o la cantidad total que vale ahora una serie de pagos futuros."},fv:{name:"vf",detail:"El valor futuro, o un saldo en efectivo que desea lograr después de realizar el último pago."},type:{name:"tipo",detail:"El número 0 o 1 e indica cuándo vencen los pagos."}}},IRR:{description:"Devuelve la tasa interna de retorno para una serie de flujos de efectivo",abstract:"Devuelve la tasa interna de retorno para una serie de flujos de efectivo",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/irr-function-64925eaa-9988-495b-b290-3ad0c163c1bc"}],functionParameter:{values:{name:"valores",detail:`Una matriz o una referencia a celdas que contienen números para los cuales desea calcular la tasa interna de retorno.
|
|
1
|
+
(function(e,a){typeof exports=="object"&&typeof module<"u"?module.exports=a():typeof define=="function"&&define.amd?define(a):(e=typeof globalThis<"u"?globalThis:e||self,e.UniverSheetsFormulaUiEsES=a())})(this,(function(){"use strict";return{shortcut:{"sheets-formula-ui":{"quick-sum":"Suma rápida"}},formula:{insert:{tooltip:"Funciones",common:"Funciones comunes"},functionList:{...{ACCRINT:{description:"Devuelve el interés acumulado de un valor que paga intereses periódicos",abstract:"Devuelve el interés acumulado de un valor que paga intereses periódicos",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/accrint-function-fe45d089-6722-4fb3-9379-e1f911d8dc74"}],functionParameter:{issue:{name:"emisión",detail:"La fecha de emisión del valor."},firstInterest:{name:"primer_interés",detail:"La fecha del primer interés del valor."},settlement:{name:"liquidación",detail:"La fecha de vencimiento del valor."},rate:{name:"tasa",detail:"La tasa de cupón anual del valor."},par:{name:"valor_nominal",detail:"El valor nominal del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."},calcMethod:{name:"método_cálculo",detail:"Es un valor lógico: el interés se acumula desde la fecha de emisión = VERDADERO o se ignora; el interés se acumula desde la fecha del último pago de cupón = FALSO."}}},ACCRINTM:{description:"Devuelve el interés acumulado de un valor que paga intereses al vencimiento",abstract:"Devuelve el interés acumulado de un valor que paga intereses al vencimiento",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/accrintm-function-f62f01f9-5754-4cc4-805b-0e70199328a7"}],functionParameter:{issue:{name:"emisión",detail:"La fecha de emisión del valor."},settlement:{name:"liquidación",detail:"La fecha de vencimiento del valor."},rate:{name:"tasa",detail:"La tasa de cupón anual del valor."},par:{name:"valor_nominal",detail:"El valor nominal del valor."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},AMORDEGRC:{description:"Devuelve la depreciación de cada periodo contable mediante un coeficiente de depreciación",abstract:"Devuelve la depreciación de cada periodo contable mediante un coeficiente de depreciación",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/amordegrc-function-a14d0ca1-64a4-42eb-9b3d-b0dededf9e51"}],functionParameter:{number1:{name:"número1",detail:"primero"},number2:{name:"número2",detail:"segundo"}}},AMORLINC:{description:"Devuelve la depreciación de cada periodo contable",abstract:"Devuelve la depreciación de cada periodo contable",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/amorlinc-function-7d417b45-f7f5-4dba-a0a5-3451a81079a8"}],functionParameter:{cost:{name:"costo",detail:"El costo del activo."},datePurchased:{name:"fecha_compra",detail:"La fecha de compra del activo."},firstPeriod:{name:"primer_periodo",detail:"La fecha del final del primer periodo."},salvage:{name:"valor_residual",detail:"El valor residual al final de la vida del activo."},period:{name:"periodo",detail:"El periodo."},rate:{name:"tasa",detail:"La tasa de depreciación."},basis:{name:"base",detail:"La base del año que se usará."}}},COUPDAYBS:{description:"Devuelve el número de días desde el principio del periodo de cupón hasta la fecha de liquidación",abstract:"Devuelve el número de días desde el principio del periodo de cupón hasta la fecha de liquidación",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/coupdaybs-function-eb9a8dfb-2fb2-4c61-8e5d-690b320cf872"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},COUPDAYS:{description:"Devuelve el número de días del periodo de cupón que contiene la fecha de liquidación",abstract:"Devuelve el número de días del periodo de cupón que contiene la fecha de liquidación",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/coupdays-function-cc64380b-315b-4e7b-950c-b30b0a76f671"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},COUPDAYSNC:{description:"Devuelve el número de días desde la fecha de liquidación hasta la siguiente fecha de cupón",abstract:"Devuelve el número de días desde la fecha de liquidación hasta la siguiente fecha de cupón",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/coupdaysnc-function-5ab3f0b2-029f-4a8b-bb65-47d525eea547"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},COUPNCD:{description:"Devuelve la siguiente fecha de cupón después de la fecha de liquidación",abstract:"Devuelve la siguiente fecha de cupón después de la fecha de liquidación",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/coupncd-function-fd962fef-506b-4d9d-8590-16df5393691f"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},COUPNUM:{description:"Devuelve el número de cupones pagaderos entre la fecha de liquidación y la fecha de vencimiento",abstract:"Devuelve el número de cupones pagaderos entre la fecha de liquidación y la fecha de vencimiento",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/coupnum-function-a90af57b-de53-4969-9c99-dd6139db2522"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},COUPPCD:{description:"Devuelve la fecha de cupón anterior antes de la fecha de liquidación",abstract:"Devuelve la fecha de cupón anterior antes de la fecha de liquidación",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/couppcd-function-2eb50473-6ee9-4052-a206-77a9a385d5b3"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},CUMIPMT:{description:"Devuelve el interés acumulativo pagado entre dos periodos",abstract:"Devuelve el interés acumulativo pagado entre dos periodos",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/cumipmt-function-61067bb0-9016-427d-b95b-1a752af0e606"}],functionParameter:{rate:{name:"tasa",detail:"La tasa de interés."},nper:{name:"núm_pagos",detail:"El número total de periodos de pago."},pv:{name:"va",detail:"El valor actual."},startPeriod:{name:"periodo_inicial",detail:"El primer periodo en el cálculo. Los periodos de pago se numeran comenzando con 1."},endPeriod:{name:"periodo_final",detail:"El último periodo en el cálculo."},type:{name:"tipo",detail:"El momento del pago."}}},CUMPRINC:{description:"Devuelve el capital acumulativo pagado de un préstamo entre dos periodos",abstract:"Devuelve el capital acumulativo pagado de un préstamo entre dos periodos",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/cumprinc-function-94a4516d-bd65-41a1-bc16-053a6af4c04d"}],functionParameter:{rate:{name:"tasa",detail:"La tasa de interés."},nper:{name:"núm_pagos",detail:"El número total de periodos de pago."},pv:{name:"va",detail:"El valor actual."},startPeriod:{name:"periodo_inicial",detail:"El primer periodo en el cálculo. Los periodos de pago se numeran comenzando con 1."},endPeriod:{name:"periodo_final",detail:"El último periodo en el cálculo."},type:{name:"tipo",detail:"El momento del pago."}}},DB:{description:"Devuelve la depreciación de un activo durante un periodo especificado, usando el método de saldo de disminución fija",abstract:"Devuelve la depreciación de un activo durante un periodo especificado, usando el método de saldo de disminución fija",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/db-function-354e7d28-5f93-4ff1-8a52-eb4ee549d9d7"}],functionParameter:{cost:{name:"costo",detail:"El costo inicial del activo."},salvage:{name:"valor_residual",detail:"El valor al final de la depreciación (a veces llamado el valor residual del activo)."},life:{name:"vida",detail:"El número de periodos durante los cuales se deprecia el activo (a veces llamado la vida útil del activo)."},period:{name:"periodo",detail:"El periodo para el cual desea calcular la depreciación."},month:{name:"mes",detail:"El número de meses del primer año. Si se omite el mes, se supone que es 12."}}},DDB:{description:"Devuelve la depreciación de un activo durante un periodo especificado usando el método de saldo de doble disminución u otro método que especifique",abstract:"Devuelve la depreciación de un activo durante un periodo especificado usando el método de saldo de doble disminución u otro método que especifique",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/ddb-function-519a7a37-8772-4c96-85c0-ed2c209717a5"}],functionParameter:{cost:{name:"costo",detail:"El costo inicial del activo."},salvage:{name:"valor_residual",detail:"El valor al final de la depreciación (a veces llamado el valor residual del activo)."},life:{name:"vida",detail:"El número de periodos durante los cuales se deprecia el activo (a veces llamado la vida útil del activo)."},period:{name:"periodo",detail:"El periodo para el cual desea calcular la depreciación."},factor:{name:"factor",detail:"La tasa a la que disminuye el saldo. Si se omite el factor, se supone que es 2 (el método de saldo de doble disminución)."}}},DISC:{description:"Devuelve la tasa de descuento de un valor",abstract:"Devuelve la tasa de descuento de un valor",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/disc-function-71fce9f3-3f05-4acf-a5a3-eac6ef4daa53"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},pr:{name:"precio",detail:"El precio del valor por $100 de valor nominal."},redemption:{name:"rescate",detail:"El valor de rescate del valor por $100 de valor nominal."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},DOLLARDE:{description:"Convierte un precio en dólares, expresado como fracción, en un precio en dólares, expresado como número decimal",abstract:"Convierte un precio en dólares, expresado como fracción, en un precio en dólares, expresado como número decimal",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/dollarde-function-db85aab0-1677-428a-9dfd-a38476693427"}],functionParameter:{fractionalDollar:{name:"dólar_fraccionario",detail:"Un número expresado como una parte entera y una parte fraccionaria, separadas por un símbolo decimal."},fraction:{name:"fracción",detail:"El entero que se usará en el denominador de la fracción."}}},DOLLARFR:{description:"Convierte un precio en dólares, expresado como número decimal, en un precio en dólares, expresado como fracción",abstract:"Convierte un precio en dólares, expresado como número decimal, en un precio en dólares, expresado como fracción",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/dollarfr-function-0835d163-3023-4a33-9824-3042c5d4f495"}],functionParameter:{decimalDollar:{name:"dólar_decimal",detail:"Un número decimal."},fraction:{name:"fracción",detail:"El entero que se usará en el denominador de la fracción."}}},DURATION:{description:"Devuelve la duración anual de un valor con pagos de intereses periódicos",abstract:"Devuelve la duración anual de un valor con pagos de intereses periódicos",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/duration-function-b254ea57-eadc-4602-a86a-c8e369334038"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},coupon:{name:"cupón",detail:"La tasa de cupón anual del valor."},yld:{name:"rendimiento",detail:"El rendimiento anual del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},EFFECT:{description:"Devuelve la tasa de interés anual efectiva",abstract:"Devuelve la tasa de interés anual efectiva",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/effect-function-910d4e4c-79e2-4009-95e6-507e04f11bc4"}],functionParameter:{nominalRate:{name:"tasa_nominal",detail:"La tasa de interés nominal."},npery:{name:"núm_per_año",detail:"El número de periodos de composición por año."}}},FV:{description:"Devuelve el valor futuro de una inversión",abstract:"Devuelve el valor futuro de una inversión",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/fv-function-2eef9f44-a084-4c61-bdd8-4fe4bb1b71b3"}],functionParameter:{rate:{name:"tasa",detail:"La tasa de interés por periodo."},nper:{name:"núm_pagos",detail:"El número total de periodos de pago en una anualidad."},pmt:{name:"pago",detail:"El pago realizado cada periodo; no puede cambiar durante la vida de la anualidad."},pv:{name:"va",detail:"El valor actual, o la cantidad total que vale ahora una serie de pagos futuros."},type:{name:"tipo",detail:"El número 0 o 1 e indica cuándo vencen los pagos."}}},FVSCHEDULE:{description:"Devuelve el valor futuro de un capital inicial después de aplicar una serie de tasas de interés compuesto",abstract:"Devuelve el valor futuro de un capital inicial después de aplicar una serie de tasas de interés compuesto",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/fvschedule-function-bec29522-bd87-4082-bab9-a241f3fb251d"}],functionParameter:{principal:{name:"capital",detail:"El valor actual."},schedule:{name:"programa",detail:"Una matriz de tasas de interés que aplicar."}}},INTRATE:{description:"Devuelve la tasa de interés de un valor completamente invertido",abstract:"Devuelve la tasa de interés de un valor completamente invertido",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/intrate-function-5cb34dde-a221-4cb6-b3eb-0b9e55e1316f"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},investment:{name:"inversión",detail:"La cantidad invertida en el valor."},redemption:{name:"rescate",detail:"La cantidad que se recibirá al vencimiento."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},IPMT:{description:"Devuelve el pago de intereses de una inversión durante un periodo determinado",abstract:"Devuelve el pago de intereses de una inversión durante un periodo determinado",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/ipmt-function-5cce0ad6-8402-4a41-8d29-61a0b054cb6f"}],functionParameter:{rate:{name:"tasa",detail:"La tasa de interés por periodo."},per:{name:"periodo",detail:"El periodo para el cual desea buscar el interés y debe estar en el rango de 1 a núm_pagos."},nper:{name:"núm_pagos",detail:"El número total de periodos de pago en una anualidad."},pv:{name:"va",detail:"El valor actual, o la cantidad total que vale ahora una serie de pagos futuros."},fv:{name:"vf",detail:"El valor futuro, o un saldo en efectivo que desea lograr después de realizar el último pago."},type:{name:"tipo",detail:"El número 0 o 1 e indica cuándo vencen los pagos."}}},IRR:{description:"Devuelve la tasa interna de retorno para una serie de flujos de efectivo",abstract:"Devuelve la tasa interna de retorno para una serie de flujos de efectivo",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/irr-function-64925eaa-9988-495b-b290-3ad0c163c1bc"}],functionParameter:{values:{name:"valores",detail:`Una matriz o una referencia a celdas que contienen números para los cuales desea calcular la tasa interna de retorno.
|
|
2
2
|
1.Los valores deben contener al menos un valor positivo y uno negativo para calcular la tasa interna de retorno.
|
|
3
3
|
2.TIR usa el orden de valores para interpretar el orden de los flujos de efectivo. Asegúrese de introducir los valores de pago e ingresos en la secuencia que desee.
|
|
4
4
|
3.Si un argumento de matriz o referencia contiene texto, valores lógicos o celdas vacías, esos valores se ignoran.`},guess:{name:"estimación",detail:"Un número que estima está cerca del resultado de TIR."}}},ISPMT:{description:"Calcula el interés pagado durante un periodo específico de una inversión",abstract:"Calcula el interés pagado durante un periodo específico de una inversión",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/ispmt-function-fa58adb6-9d39-4ce0-8f43-75399cea56cc"}],functionParameter:{rate:{name:"tasa",detail:"La tasa de interés para la inversión."},per:{name:"periodo",detail:"El periodo para el cual desea buscar el interés, y debe estar entre 1 y Núm_pagos."},nper:{name:"núm_pagos",detail:"El número total de periodos de pago para la inversión."},pv:{name:"va",detail:"El valor actual de la inversión. Para un préstamo, Va es la cantidad del préstamo."}}},MDURATION:{description:"Devuelve la duración modificada de Macauley para un valor con un valor nominal asumido de $100",abstract:"Devuelve la duración modificada de Macauley para un valor con un valor nominal asumido de $100",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/mduration-function-b3786a69-4f20-469a-94ad-33e5b90a763c"}],functionParameter:{settlement:{name:"liquidación",detail:"La fecha de liquidación del valor."},maturity:{name:"vencimiento",detail:"La fecha de vencimiento del valor."},coupon:{name:"cupón",detail:"La tasa de cupón anual del valor."},yld:{name:"rendimiento",detail:"El rendimiento anual del valor."},frequency:{name:"frecuencia",detail:"El número de pagos de cupón por año."},basis:{name:"base",detail:"El tipo de base de recuento de días que se usará."}}},MIRR:{description:"Devuelve la tasa interna de retorno donde los flujos de efectivo positivos y negativos se financian a diferentes tasas",abstract:"Devuelve la tasa interna de retorno donde los flujos de efectivo positivos y negativos se financian a diferentes tasas",links:[{title:"Instrucciones",url:"https://support.microsoft.com/en-us/office/mirr-function-b020f038-7492-4fb4-93c1-35c345b53524"}],functionParameter:{values:{name:"valores",detail:`Una matriz o una referencia a celdas que contienen números. Estos números representan una serie de pagos (valores negativos) e ingresos (valores positivos) que ocurren en periodos regulares.
|
package/lib/umd/locale/fa-IR.js
CHANGED
|
@@ -1,4 +1,4 @@
|
|
|
1
|
-
(function(e,t){typeof exports=="object"&&typeof module<"u"?module.exports=t():typeof define=="function"&&define.amd?define(t):(e=typeof globalThis<"u"?globalThis:e||self,e.UniverSheetsFormulaUiFaIR=t())})(this,(function(){"use strict";return{shortcut:{"sheets-formula-ui":{"quick-sum":"جمع سریع"}},formula:{insert:{tooltip:"توابع",sum:"SUM",average:"AVERAGE",count:"COUNT",max:"MAX",min:"MIN",more:"توابع بیشتر..."},functionList:{...{ACCRINT:{description:"Returns the accrued interest for a security that pays periodic interest",abstract:"Returns the accrued interest for a security that pays periodic interest",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/accrint-function-fe45d089-6722-4fb3-9379-e1f911d8dc74"}],functionParameter:{issue:{name:"issue",detail:"The security's issue date."},firstInterest:{name:"first_interest",detail:"The security's first interest date."},settlement:{name:"settlement",detail:"The security's maturity date."},rate:{name:"rate",detail:"The security's annual coupon rate."},par:{name:"par",detail:"The security's par value."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."},calcMethod:{name:"calc_method",detail:"Is a logical value: interest accrues from the issue date = TRUE or ignored; interest accrues from the last coupon payment date = FALSE."}}},ACCRINTM:{description:"Returns the accrued interest for a security that pays interest at maturity",abstract:"Returns the accrued interest for a security that pays interest at maturity",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/accrintm-function-f62f01f9-5754-4cc4-805b-0e70199328a7"}],functionParameter:{issue:{name:"issue",detail:"The security's issue date."},settlement:{name:"settlement",detail:"The security's maturity date."},rate:{name:"rate",detail:"The security's annual coupon rate."},par:{name:"par",detail:"The security's par value."},basis:{name:"basis",detail:"The type of day count basis to use."}}},AMORDEGRC:{description:"Returns the depreciation for each accounting period by using a depreciation coefficient",abstract:"Returns the depreciation for each accounting period by using a depreciation coefficient",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/amordegrc-function-a14d0ca1-64a4-42eb-9b3d-b0dededf9e51"}],functionParameter:{number1:{name:"number1",detail:"first"},number2:{name:"number2",detail:"second"}}},AMORLINC:{description:"Returns the depreciation for each accounting period",abstract:"Returns the depreciation for each accounting period",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/amorlinc-function-7d417b45-f7f5-4dba-a0a5-3451a81079a8"}],functionParameter:{cost:{name:"cost",detail:"The cost of the asset."},datePurchased:{name:"date_purchased",detail:"The date of the purchase of the asset."},firstPeriod:{name:"first_period",detail:"The date of the end of the first period."},salvage:{name:"salvage",detail:"The salvage value at the end of the life of the asset."},period:{name:"period",detail:"The period."},rate:{name:"rate",detail:"The rate of depreciation."},basis:{name:"basis",detail:"The year basis to be used."}}},COUPDAYBS:{description:"Returns the number of days from the beginning of the coupon period to the settlement date",abstract:"Returns the number of days from the beginning of the coupon period to the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdaybs-function-eb9a8dfb-2fb2-4c61-8e5d-690b320cf872"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPDAYS:{description:"Returns the number of days in the coupon period that contains the settlement date",abstract:"Returns the number of days in the coupon period that contains the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdays-function-cc64380b-315b-4e7b-950c-b30b0a76f671"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPDAYSNC:{description:"Returns the number of days from the settlement date to the next coupon date",abstract:"Returns the number of days from the settlement date to the next coupon date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdaysnc-function-5ab3f0b2-029f-4a8b-bb65-47d525eea547"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPNCD:{description:"Returns the next coupon date after the settlement date",abstract:"Returns the next coupon date after the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupncd-function-fd962fef-506b-4d9d-8590-16df5393691f"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPNUM:{description:"Returns the number of coupons payable between the settlement date and maturity date",abstract:"Returns the number of coupons payable between the settlement date and maturity date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupnum-function-a90af57b-de53-4969-9c99-dd6139db2522"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPPCD:{description:"Returns the previous coupon date before the settlement date",abstract:"Returns the previous coupon date before the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/couppcd-function-2eb50473-6ee9-4052-a206-77a9a385d5b3"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},CUMIPMT:{description:"Returns the cumulative interest paid between two periods",abstract:"Returns the cumulative interest paid between two periods",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/cumipmt-function-61067bb0-9016-427d-b95b-1a752af0e606"}],functionParameter:{rate:{name:"rate",detail:"The interest rate."},nper:{name:"nper",detail:"The total number of payment periods."},pv:{name:"pv",detail:"The present value."},startPeriod:{name:"start_period",detail:"The first period in the calculation. Payment periods are numbered beginning with 1."},endPeriod:{name:"end_period",detail:"The last period in the calculation."},type:{name:"type",detail:"The timing of the payment."}}},CUMPRINC:{description:"Returns the cumulative principal paid on a loan between two periods",abstract:"Returns the cumulative principal paid on a loan between two periods",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/cumprinc-function-94a4516d-bd65-41a1-bc16-053a6af4c04d"}],functionParameter:{rate:{name:"rate",detail:"The interest rate."},nper:{name:"nper",detail:"The total number of payment periods."},pv:{name:"pv",detail:"The present value."},startPeriod:{name:"start_period",detail:"The first period in the calculation. Payment periods are numbered beginning with 1."},endPeriod:{name:"end_period",detail:"The last period in the calculation."},type:{name:"type",detail:"The timing of the payment."}}},DB:{description:"Returns the depreciation of an asset for a specified period by using the fixed-declining balance method",abstract:"Returns the depreciation of an asset for a specified period by using the fixed-declining balance method",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/db-function-354e7d28-5f93-4ff1-8a52-eb4ee549d9d7"}],functionParameter:{cost:{name:"cost",detail:"The initial cost of the asset."},salvage:{name:"salvage",detail:"The value at the end of the depreciation (sometimes called the salvage value of the asset)."},life:{name:"life",detail:"The number of periods over which the asset is being depreciated (sometimes called the useful life of the asset)."},period:{name:"period",detail:"The period for which you want to calculate the depreciation."},month:{name:"month",detail:"The number of months in the first year. If month is omitted, it is assumed to be 12."}}},DDB:{description:"Returns the depreciation of an asset for a specified period by using the double-declining balance method or some other method that you specify",abstract:"Returns the depreciation of an asset for a specified period by using the double-declining balance method or some other method that you specify",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ddb-function-519a7a37-8772-4c96-85c0-ed2c209717a5"}],functionParameter:{cost:{name:"cost",detail:"The initial cost of the asset."},salvage:{name:"salvage",detail:"The value at the end of the depreciation (sometimes called the salvage value of the asset)."},life:{name:"life",detail:"The number of periods over which the asset is being depreciated (sometimes called the useful life of the asset)."},period:{name:"period",detail:"The period for which you want to calculate the depreciation."},factor:{name:"factor",detail:"The rate at which the balance declines. If factor is omitted, it is assumed to be 2 (the double-declining balance method)."}}},DISC:{description:"Returns the discount rate for a security",abstract:"Returns the discount rate for a security",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/disc-function-71fce9f3-3f05-4acf-a5a3-eac6ef4daa53"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},pr:{name:"pr",detail:"The security's price per $100 face value."},redemption:{name:"redemption",detail:"The security's redemption value per $100 face value."},basis:{name:"basis",detail:"The type of day count basis to use."}}},DOLLARDE:{description:"Converts a dollar price, expressed as a fraction, into a dollar price, expressed as a decimal number",abstract:"Converts a dollar price, expressed as a fraction, into a dollar price, expressed as a decimal number",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/dollarde-function-db85aab0-1677-428a-9dfd-a38476693427"}],functionParameter:{fractionalDollar:{name:"fractional_dollar",detail:"A number expressed as an integer part and a fraction part, separated by a decimal symbol."},fraction:{name:"fraction",detail:"The integer to use in the denominator of the fraction."}}},DOLLARFR:{description:"Converts a dollar price, expressed as a decimal number, into a dollar price, expressed as a fraction",abstract:"Converts a dollar price, expressed as a decimal number, into a dollar price, expressed as a fraction",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/dollarfr-function-0835d163-3023-4a33-9824-3042c5d4f495"}],functionParameter:{decimalDollar:{name:"decimal_dollar",detail:"A decimal number."},fraction:{name:"fraction",detail:"The integer to use in the denominator of the fraction."}}},DURATION:{description:"Returns the annual duration of a security with periodic interest payments",abstract:"Returns the annual duration of a security with periodic interest payments",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/duration-function-b254ea57-eadc-4602-a86a-c8e369334038"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},coupon:{name:"coupon",detail:"The security's annual coupon rate."},yld:{name:"yld",detail:"The security's annual yield."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},EFFECT:{description:"Returns the effective annual interest rate",abstract:"Returns the effective annual interest rate",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/effect-function-910d4e4c-79e2-4009-95e6-507e04f11bc4"}],functionParameter:{nominalRate:{name:"nominal_rate",detail:"The nominal interest rate."},npery:{name:"npery",detail:"The number of compounding periods per year."}}},FV:{description:"Returns the future value of an investment",abstract:"Returns the future value of an investment",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/fv-function-2eef9f44-a084-4c61-bdd8-4fe4bb1b71b3"}],functionParameter:{rate:{name:"rate",detail:"The interest rate per period."},nper:{name:"nper",detail:"The total number of payment periods in an annuity."},pmt:{name:"pmt",detail:"The payment made each period; it cannot change over the life of the annuity."},pv:{name:"pv",detail:"The present value, or the lump-sum amount that a series of future payments is worth right now."},type:{name:"type",detail:"The number 0 or 1 and indicates when payments are due."}}},FVSCHEDULE:{description:"Returns the future value of an initial principal after applying a series of compound interest rates",abstract:"Returns the future value of an initial principal after applying a series of compound interest rates",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/fvschedule-function-bec29522-bd87-4082-bab9-a241f3fb251d"}],functionParameter:{principal:{name:"principal",detail:"The present value."},schedule:{name:"schedule",detail:"An array of interest rates to apply."}}},INTRATE:{description:"Returns the interest rate for a fully invested security",abstract:"Returns the interest rate for a fully invested security",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/intrate-function-5cb34dde-a221-4cb6-b3eb-0b9e55e1316f"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},investment:{name:"investment",detail:"The amount invested in the security."},redemption:{name:"redemption",detail:"The amount to be received at maturity."},basis:{name:"basis",detail:"The type of day count basis to use."}}},IPMT:{description:"Returns the interest payment for an investment for a given period",abstract:"Returns the interest payment for an investment for a given period",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ipmt-function-5cce0ad6-8402-4a41-8d29-61a0b054cb6f"}],functionParameter:{rate:{name:"rate",detail:"The interest rate per period."},per:{name:"per",detail:"The period for which you want to find the interest and must be in the range 1 to nper."},nper:{name:"nper",detail:"The total number of payment periods in an annuity."},pv:{name:"pv",detail:"The present value, or the lump-sum amount that a series of future payments is worth right now."},fv:{name:"fv",detail:"The future value, or a cash balance you want to attain after the last payment is made."},type:{name:"type",detail:"The number 0 or 1 and indicates when payments are due."}}},IRR:{description:"Returns the internal rate of return for a series of cash flows",abstract:"Returns the internal rate of return for a series of cash flows",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/irr-function-64925eaa-9988-495b-b290-3ad0c163c1bc"}],functionParameter:{values:{name:"values",detail:`An array or a reference to cells that contain numbers for which you want to calculate the internal rate of return.
|
|
1
|
+
(function(e,t){typeof exports=="object"&&typeof module<"u"?module.exports=t():typeof define=="function"&&define.amd?define(t):(e=typeof globalThis<"u"?globalThis:e||self,e.UniverSheetsFormulaUiFaIR=t())})(this,(function(){"use strict";return{shortcut:{"sheets-formula-ui":{"quick-sum":"جمع سریع"}},formula:{insert:{tooltip:"توابع",common:"توابع پرکاربرد"},functionList:{...{ACCRINT:{description:"Returns the accrued interest for a security that pays periodic interest",abstract:"Returns the accrued interest for a security that pays periodic interest",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/accrint-function-fe45d089-6722-4fb3-9379-e1f911d8dc74"}],functionParameter:{issue:{name:"issue",detail:"The security's issue date."},firstInterest:{name:"first_interest",detail:"The security's first interest date."},settlement:{name:"settlement",detail:"The security's maturity date."},rate:{name:"rate",detail:"The security's annual coupon rate."},par:{name:"par",detail:"The security's par value."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."},calcMethod:{name:"calc_method",detail:"Is a logical value: interest accrues from the issue date = TRUE or ignored; interest accrues from the last coupon payment date = FALSE."}}},ACCRINTM:{description:"Returns the accrued interest for a security that pays interest at maturity",abstract:"Returns the accrued interest for a security that pays interest at maturity",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/accrintm-function-f62f01f9-5754-4cc4-805b-0e70199328a7"}],functionParameter:{issue:{name:"issue",detail:"The security's issue date."},settlement:{name:"settlement",detail:"The security's maturity date."},rate:{name:"rate",detail:"The security's annual coupon rate."},par:{name:"par",detail:"The security's par value."},basis:{name:"basis",detail:"The type of day count basis to use."}}},AMORDEGRC:{description:"Returns the depreciation for each accounting period by using a depreciation coefficient",abstract:"Returns the depreciation for each accounting period by using a depreciation coefficient",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/amordegrc-function-a14d0ca1-64a4-42eb-9b3d-b0dededf9e51"}],functionParameter:{number1:{name:"number1",detail:"first"},number2:{name:"number2",detail:"second"}}},AMORLINC:{description:"Returns the depreciation for each accounting period",abstract:"Returns the depreciation for each accounting period",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/amorlinc-function-7d417b45-f7f5-4dba-a0a5-3451a81079a8"}],functionParameter:{cost:{name:"cost",detail:"The cost of the asset."},datePurchased:{name:"date_purchased",detail:"The date of the purchase of the asset."},firstPeriod:{name:"first_period",detail:"The date of the end of the first period."},salvage:{name:"salvage",detail:"The salvage value at the end of the life of the asset."},period:{name:"period",detail:"The period."},rate:{name:"rate",detail:"The rate of depreciation."},basis:{name:"basis",detail:"The year basis to be used."}}},COUPDAYBS:{description:"Returns the number of days from the beginning of the coupon period to the settlement date",abstract:"Returns the number of days from the beginning of the coupon period to the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdaybs-function-eb9a8dfb-2fb2-4c61-8e5d-690b320cf872"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPDAYS:{description:"Returns the number of days in the coupon period that contains the settlement date",abstract:"Returns the number of days in the coupon period that contains the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdays-function-cc64380b-315b-4e7b-950c-b30b0a76f671"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPDAYSNC:{description:"Returns the number of days from the settlement date to the next coupon date",abstract:"Returns the number of days from the settlement date to the next coupon date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdaysnc-function-5ab3f0b2-029f-4a8b-bb65-47d525eea547"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPNCD:{description:"Returns the next coupon date after the settlement date",abstract:"Returns the next coupon date after the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupncd-function-fd962fef-506b-4d9d-8590-16df5393691f"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPNUM:{description:"Returns the number of coupons payable between the settlement date and maturity date",abstract:"Returns the number of coupons payable between the settlement date and maturity date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupnum-function-a90af57b-de53-4969-9c99-dd6139db2522"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPPCD:{description:"Returns the previous coupon date before the settlement date",abstract:"Returns the previous coupon date before the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/couppcd-function-2eb50473-6ee9-4052-a206-77a9a385d5b3"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},CUMIPMT:{description:"Returns the cumulative interest paid between two periods",abstract:"Returns the cumulative interest paid between two periods",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/cumipmt-function-61067bb0-9016-427d-b95b-1a752af0e606"}],functionParameter:{rate:{name:"rate",detail:"The interest rate."},nper:{name:"nper",detail:"The total number of payment periods."},pv:{name:"pv",detail:"The present value."},startPeriod:{name:"start_period",detail:"The first period in the calculation. Payment periods are numbered beginning with 1."},endPeriod:{name:"end_period",detail:"The last period in the calculation."},type:{name:"type",detail:"The timing of the payment."}}},CUMPRINC:{description:"Returns the cumulative principal paid on a loan between two periods",abstract:"Returns the cumulative principal paid on a loan between two periods",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/cumprinc-function-94a4516d-bd65-41a1-bc16-053a6af4c04d"}],functionParameter:{rate:{name:"rate",detail:"The interest rate."},nper:{name:"nper",detail:"The total number of payment periods."},pv:{name:"pv",detail:"The present value."},startPeriod:{name:"start_period",detail:"The first period in the calculation. Payment periods are numbered beginning with 1."},endPeriod:{name:"end_period",detail:"The last period in the calculation."},type:{name:"type",detail:"The timing of the payment."}}},DB:{description:"Returns the depreciation of an asset for a specified period by using the fixed-declining balance method",abstract:"Returns the depreciation of an asset for a specified period by using the fixed-declining balance method",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/db-function-354e7d28-5f93-4ff1-8a52-eb4ee549d9d7"}],functionParameter:{cost:{name:"cost",detail:"The initial cost of the asset."},salvage:{name:"salvage",detail:"The value at the end of the depreciation (sometimes called the salvage value of the asset)."},life:{name:"life",detail:"The number of periods over which the asset is being depreciated (sometimes called the useful life of the asset)."},period:{name:"period",detail:"The period for which you want to calculate the depreciation."},month:{name:"month",detail:"The number of months in the first year. If month is omitted, it is assumed to be 12."}}},DDB:{description:"Returns the depreciation of an asset for a specified period by using the double-declining balance method or some other method that you specify",abstract:"Returns the depreciation of an asset for a specified period by using the double-declining balance method or some other method that you specify",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ddb-function-519a7a37-8772-4c96-85c0-ed2c209717a5"}],functionParameter:{cost:{name:"cost",detail:"The initial cost of the asset."},salvage:{name:"salvage",detail:"The value at the end of the depreciation (sometimes called the salvage value of the asset)."},life:{name:"life",detail:"The number of periods over which the asset is being depreciated (sometimes called the useful life of the asset)."},period:{name:"period",detail:"The period for which you want to calculate the depreciation."},factor:{name:"factor",detail:"The rate at which the balance declines. If factor is omitted, it is assumed to be 2 (the double-declining balance method)."}}},DISC:{description:"Returns the discount rate for a security",abstract:"Returns the discount rate for a security",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/disc-function-71fce9f3-3f05-4acf-a5a3-eac6ef4daa53"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},pr:{name:"pr",detail:"The security's price per $100 face value."},redemption:{name:"redemption",detail:"The security's redemption value per $100 face value."},basis:{name:"basis",detail:"The type of day count basis to use."}}},DOLLARDE:{description:"Converts a dollar price, expressed as a fraction, into a dollar price, expressed as a decimal number",abstract:"Converts a dollar price, expressed as a fraction, into a dollar price, expressed as a decimal number",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/dollarde-function-db85aab0-1677-428a-9dfd-a38476693427"}],functionParameter:{fractionalDollar:{name:"fractional_dollar",detail:"A number expressed as an integer part and a fraction part, separated by a decimal symbol."},fraction:{name:"fraction",detail:"The integer to use in the denominator of the fraction."}}},DOLLARFR:{description:"Converts a dollar price, expressed as a decimal number, into a dollar price, expressed as a fraction",abstract:"Converts a dollar price, expressed as a decimal number, into a dollar price, expressed as a fraction",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/dollarfr-function-0835d163-3023-4a33-9824-3042c5d4f495"}],functionParameter:{decimalDollar:{name:"decimal_dollar",detail:"A decimal number."},fraction:{name:"fraction",detail:"The integer to use in the denominator of the fraction."}}},DURATION:{description:"Returns the annual duration of a security with periodic interest payments",abstract:"Returns the annual duration of a security with periodic interest payments",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/duration-function-b254ea57-eadc-4602-a86a-c8e369334038"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},coupon:{name:"coupon",detail:"The security's annual coupon rate."},yld:{name:"yld",detail:"The security's annual yield."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},EFFECT:{description:"Returns the effective annual interest rate",abstract:"Returns the effective annual interest rate",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/effect-function-910d4e4c-79e2-4009-95e6-507e04f11bc4"}],functionParameter:{nominalRate:{name:"nominal_rate",detail:"The nominal interest rate."},npery:{name:"npery",detail:"The number of compounding periods per year."}}},FV:{description:"Returns the future value of an investment",abstract:"Returns the future value of an investment",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/fv-function-2eef9f44-a084-4c61-bdd8-4fe4bb1b71b3"}],functionParameter:{rate:{name:"rate",detail:"The interest rate per period."},nper:{name:"nper",detail:"The total number of payment periods in an annuity."},pmt:{name:"pmt",detail:"The payment made each period; it cannot change over the life of the annuity."},pv:{name:"pv",detail:"The present value, or the lump-sum amount that a series of future payments is worth right now."},type:{name:"type",detail:"The number 0 or 1 and indicates when payments are due."}}},FVSCHEDULE:{description:"Returns the future value of an initial principal after applying a series of compound interest rates",abstract:"Returns the future value of an initial principal after applying a series of compound interest rates",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/fvschedule-function-bec29522-bd87-4082-bab9-a241f3fb251d"}],functionParameter:{principal:{name:"principal",detail:"The present value."},schedule:{name:"schedule",detail:"An array of interest rates to apply."}}},INTRATE:{description:"Returns the interest rate for a fully invested security",abstract:"Returns the interest rate for a fully invested security",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/intrate-function-5cb34dde-a221-4cb6-b3eb-0b9e55e1316f"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},investment:{name:"investment",detail:"The amount invested in the security."},redemption:{name:"redemption",detail:"The amount to be received at maturity."},basis:{name:"basis",detail:"The type of day count basis to use."}}},IPMT:{description:"Returns the interest payment for an investment for a given period",abstract:"Returns the interest payment for an investment for a given period",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ipmt-function-5cce0ad6-8402-4a41-8d29-61a0b054cb6f"}],functionParameter:{rate:{name:"rate",detail:"The interest rate per period."},per:{name:"per",detail:"The period for which you want to find the interest and must be in the range 1 to nper."},nper:{name:"nper",detail:"The total number of payment periods in an annuity."},pv:{name:"pv",detail:"The present value, or the lump-sum amount that a series of future payments is worth right now."},fv:{name:"fv",detail:"The future value, or a cash balance you want to attain after the last payment is made."},type:{name:"type",detail:"The number 0 or 1 and indicates when payments are due."}}},IRR:{description:"Returns the internal rate of return for a series of cash flows",abstract:"Returns the internal rate of return for a series of cash flows",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/irr-function-64925eaa-9988-495b-b290-3ad0c163c1bc"}],functionParameter:{values:{name:"values",detail:`An array or a reference to cells that contain numbers for which you want to calculate the internal rate of return.
|
|
2
2
|
1.Values must contain at least one positive value and one negative value to calculate the internal rate of return.
|
|
3
3
|
2.IRR uses the order of values to interpret the order of cash flows. Be sure to enter your payment and income values in the sequence you want.
|
|
4
4
|
3.If an array or reference argument contains text, logical values, or empty cells, those values are ignored.`},guess:{name:"guess",detail:"A number that you guess is close to the result of IRR."}}},ISPMT:{description:"Calculates the interest paid during a specific period of an investment",abstract:"Calculates the interest paid during a specific period of an investment",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ispmt-function-fa58adb6-9d39-4ce0-8f43-75399cea56cc"}],functionParameter:{rate:{name:"rate",detail:"The interest rate for the investment."},per:{name:"per",detail:"The period for which you want to find the interest, and must be between 1 and Nper."},nper:{name:"nper",detail:"The total number of payment periods for the investment."},pv:{name:"pv",detail:"The present value of the investment. For a loan, Pv is the loan amount."}}},MDURATION:{description:"Returns the Macauley modified duration for a security with an assumed par value of $100",abstract:"Returns the Macauley modified duration for a security with an assumed par value of $100",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/mduration-function-b3786a69-4f20-469a-94ad-33e5b90a763c"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},coupon:{name:"coupon",detail:"The security's annual coupon rate."},yld:{name:"yld",detail:"The security's annual yield."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},MIRR:{description:"Returns the internal rate of return where positive and negative cash flows are financed at different rates",abstract:"Returns the internal rate of return where positive and negative cash flows are financed at different rates",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/mirr-function-b020f038-7492-4fb4-93c1-35c345b53524"}],functionParameter:{values:{name:"values",detail:`An array or a reference to cells that contain numbers. These numbers represent a series of payments (negative values) and income (positive values) occurring at regular periods.
|
package/lib/umd/locale/fr-FR.js
CHANGED
|
@@ -1,4 +1,4 @@
|
|
|
1
|
-
(function(e,t){typeof exports=="object"&&typeof module<"u"?module.exports=t():typeof define=="function"&&define.amd?define(t):(e=typeof globalThis<"u"?globalThis:e||self,e.UniverSheetsFormulaUiFrFR=t())})(this,(function(){"use strict";return{shortcut:{"sheets-formula-ui":{"quick-sum":"Somme rapide"}},formula:{insert:{tooltip:"Fonctions",sum:"SOMME",average:"MOYENNE",count:"NOMBRE",max:"MAX",min:"MIN",more:"Plus de fonctions..."},functionList:{...{ACCRINT:{description:"Returns the accrued interest for a security that pays periodic interest",abstract:"Returns the accrued interest for a security that pays periodic interest",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/accrint-function-fe45d089-6722-4fb3-9379-e1f911d8dc74"}],functionParameter:{issue:{name:"issue",detail:"The security's issue date."},firstInterest:{name:"first_interest",detail:"The security's first interest date."},settlement:{name:"settlement",detail:"The security's maturity date."},rate:{name:"rate",detail:"The security's annual coupon rate."},par:{name:"par",detail:"The security's par value."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."},calcMethod:{name:"calc_method",detail:"Is a logical value: interest accrues from the issue date = TRUE or ignored; interest accrues from the last coupon payment date = FALSE."}}},ACCRINTM:{description:"Returns the accrued interest for a security that pays interest at maturity",abstract:"Returns the accrued interest for a security that pays interest at maturity",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/accrintm-function-f62f01f9-5754-4cc4-805b-0e70199328a7"}],functionParameter:{issue:{name:"issue",detail:"The security's issue date."},settlement:{name:"settlement",detail:"The security's maturity date."},rate:{name:"rate",detail:"The security's annual coupon rate."},par:{name:"par",detail:"The security's par value."},basis:{name:"basis",detail:"The type of day count basis to use."}}},AMORDEGRC:{description:"Returns the depreciation for each accounting period by using a depreciation coefficient",abstract:"Returns the depreciation for each accounting period by using a depreciation coefficient",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/amordegrc-function-a14d0ca1-64a4-42eb-9b3d-b0dededf9e51"}],functionParameter:{number1:{name:"number1",detail:"first"},number2:{name:"number2",detail:"second"}}},AMORLINC:{description:"Returns the depreciation for each accounting period",abstract:"Returns the depreciation for each accounting period",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/amorlinc-function-7d417b45-f7f5-4dba-a0a5-3451a81079a8"}],functionParameter:{cost:{name:"cost",detail:"The cost of the asset."},datePurchased:{name:"date_purchased",detail:"The date of the purchase of the asset."},firstPeriod:{name:"first_period",detail:"The date of the end of the first period."},salvage:{name:"salvage",detail:"The salvage value at the end of the life of the asset."},period:{name:"period",detail:"The period."},rate:{name:"rate",detail:"The rate of depreciation."},basis:{name:"basis",detail:"The year basis to be used."}}},COUPDAYBS:{description:"Returns the number of days from the beginning of the coupon period to the settlement date",abstract:"Returns the number of days from the beginning of the coupon period to the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdaybs-function-eb9a8dfb-2fb2-4c61-8e5d-690b320cf872"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPDAYS:{description:"Returns the number of days in the coupon period that contains the settlement date",abstract:"Returns the number of days in the coupon period that contains the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdays-function-cc64380b-315b-4e7b-950c-b30b0a76f671"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPDAYSNC:{description:"Returns the number of days from the settlement date to the next coupon date",abstract:"Returns the number of days from the settlement date to the next coupon date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdaysnc-function-5ab3f0b2-029f-4a8b-bb65-47d525eea547"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPNCD:{description:"Returns the next coupon date after the settlement date",abstract:"Returns the next coupon date after the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupncd-function-fd962fef-506b-4d9d-8590-16df5393691f"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPNUM:{description:"Returns the number of coupons payable between the settlement date and maturity date",abstract:"Returns the number of coupons payable between the settlement date and maturity date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupnum-function-a90af57b-de53-4969-9c99-dd6139db2522"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPPCD:{description:"Returns the previous coupon date before the settlement date",abstract:"Returns the previous coupon date before the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/couppcd-function-2eb50473-6ee9-4052-a206-77a9a385d5b3"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},CUMIPMT:{description:"Returns the cumulative interest paid between two periods",abstract:"Returns the cumulative interest paid between two periods",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/cumipmt-function-61067bb0-9016-427d-b95b-1a752af0e606"}],functionParameter:{rate:{name:"rate",detail:"The interest rate."},nper:{name:"nper",detail:"The total number of payment periods."},pv:{name:"pv",detail:"The present value."},startPeriod:{name:"start_period",detail:"The first period in the calculation. Payment periods are numbered beginning with 1."},endPeriod:{name:"end_period",detail:"The last period in the calculation."},type:{name:"type",detail:"The timing of the payment."}}},CUMPRINC:{description:"Returns the cumulative principal paid on a loan between two periods",abstract:"Returns the cumulative principal paid on a loan between two periods",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/cumprinc-function-94a4516d-bd65-41a1-bc16-053a6af4c04d"}],functionParameter:{rate:{name:"rate",detail:"The interest rate."},nper:{name:"nper",detail:"The total number of payment periods."},pv:{name:"pv",detail:"The present value."},startPeriod:{name:"start_period",detail:"The first period in the calculation. Payment periods are numbered beginning with 1."},endPeriod:{name:"end_period",detail:"The last period in the calculation."},type:{name:"type",detail:"The timing of the payment."}}},DB:{description:"Returns the depreciation of an asset for a specified period by using the fixed-declining balance method",abstract:"Returns the depreciation of an asset for a specified period by using the fixed-declining balance method",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/db-function-354e7d28-5f93-4ff1-8a52-eb4ee549d9d7"}],functionParameter:{cost:{name:"cost",detail:"The initial cost of the asset."},salvage:{name:"salvage",detail:"The value at the end of the depreciation (sometimes called the salvage value of the asset)."},life:{name:"life",detail:"The number of periods over which the asset is being depreciated (sometimes called the useful life of the asset)."},period:{name:"period",detail:"The period for which you want to calculate the depreciation."},month:{name:"month",detail:"The number of months in the first year. If month is omitted, it is assumed to be 12."}}},DDB:{description:"Returns the depreciation of an asset for a specified period by using the double-declining balance method or some other method that you specify",abstract:"Returns the depreciation of an asset for a specified period by using the double-declining balance method or some other method that you specify",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ddb-function-519a7a37-8772-4c96-85c0-ed2c209717a5"}],functionParameter:{cost:{name:"cost",detail:"The initial cost of the asset."},salvage:{name:"salvage",detail:"The value at the end of the depreciation (sometimes called the salvage value of the asset)."},life:{name:"life",detail:"The number of periods over which the asset is being depreciated (sometimes called the useful life of the asset)."},period:{name:"period",detail:"The period for which you want to calculate the depreciation."},factor:{name:"factor",detail:"The rate at which the balance declines. If factor is omitted, it is assumed to be 2 (the double-declining balance method)."}}},DISC:{description:"Returns the discount rate for a security",abstract:"Returns the discount rate for a security",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/disc-function-71fce9f3-3f05-4acf-a5a3-eac6ef4daa53"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},pr:{name:"pr",detail:"The security's price per $100 face value."},redemption:{name:"redemption",detail:"The security's redemption value per $100 face value."},basis:{name:"basis",detail:"The type of day count basis to use."}}},DOLLARDE:{description:"Converts a dollar price, expressed as a fraction, into a dollar price, expressed as a decimal number",abstract:"Converts a dollar price, expressed as a fraction, into a dollar price, expressed as a decimal number",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/dollarde-function-db85aab0-1677-428a-9dfd-a38476693427"}],functionParameter:{fractionalDollar:{name:"fractional_dollar",detail:"A number expressed as an integer part and a fraction part, separated by a decimal symbol."},fraction:{name:"fraction",detail:"The integer to use in the denominator of the fraction."}}},DOLLARFR:{description:"Converts a dollar price, expressed as a decimal number, into a dollar price, expressed as a fraction",abstract:"Converts a dollar price, expressed as a decimal number, into a dollar price, expressed as a fraction",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/dollarfr-function-0835d163-3023-4a33-9824-3042c5d4f495"}],functionParameter:{decimalDollar:{name:"decimal_dollar",detail:"A decimal number."},fraction:{name:"fraction",detail:"The integer to use in the denominator of the fraction."}}},DURATION:{description:"Returns the annual duration of a security with periodic interest payments",abstract:"Returns the annual duration of a security with periodic interest payments",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/duration-function-b254ea57-eadc-4602-a86a-c8e369334038"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},coupon:{name:"coupon",detail:"The security's annual coupon rate."},yld:{name:"yld",detail:"The security's annual yield."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},EFFECT:{description:"Returns the effective annual interest rate",abstract:"Returns the effective annual interest rate",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/effect-function-910d4e4c-79e2-4009-95e6-507e04f11bc4"}],functionParameter:{nominalRate:{name:"nominal_rate",detail:"The nominal interest rate."},npery:{name:"npery",detail:"The number of compounding periods per year."}}},FV:{description:"Returns the future value of an investment",abstract:"Returns the future value of an investment",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/fv-function-2eef9f44-a084-4c61-bdd8-4fe4bb1b71b3"}],functionParameter:{rate:{name:"rate",detail:"The interest rate per period."},nper:{name:"nper",detail:"The total number of payment periods in an annuity."},pmt:{name:"pmt",detail:"The payment made each period; it cannot change over the life of the annuity."},pv:{name:"pv",detail:"The present value, or the lump-sum amount that a series of future payments is worth right now."},type:{name:"type",detail:"The number 0 or 1 and indicates when payments are due."}}},FVSCHEDULE:{description:"Returns the future value of an initial principal after applying a series of compound interest rates",abstract:"Returns the future value of an initial principal after applying a series of compound interest rates",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/fvschedule-function-bec29522-bd87-4082-bab9-a241f3fb251d"}],functionParameter:{principal:{name:"principal",detail:"The present value."},schedule:{name:"schedule",detail:"An array of interest rates to apply."}}},INTRATE:{description:"Returns the interest rate for a fully invested security",abstract:"Returns the interest rate for a fully invested security",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/intrate-function-5cb34dde-a221-4cb6-b3eb-0b9e55e1316f"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},investment:{name:"investment",detail:"The amount invested in the security."},redemption:{name:"redemption",detail:"The amount to be received at maturity."},basis:{name:"basis",detail:"The type of day count basis to use."}}},IPMT:{description:"Returns the interest payment for an investment for a given period",abstract:"Returns the interest payment for an investment for a given period",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ipmt-function-5cce0ad6-8402-4a41-8d29-61a0b054cb6f"}],functionParameter:{rate:{name:"rate",detail:"The interest rate per period."},per:{name:"per",detail:"The period for which you want to find the interest and must be in the range 1 to nper."},nper:{name:"nper",detail:"The total number of payment periods in an annuity."},pv:{name:"pv",detail:"The present value, or the lump-sum amount that a series of future payments is worth right now."},fv:{name:"fv",detail:"The future value, or a cash balance you want to attain after the last payment is made."},type:{name:"type",detail:"The number 0 or 1 and indicates when payments are due."}}},IRR:{description:"Returns the internal rate of return for a series of cash flows",abstract:"Returns the internal rate of return for a series of cash flows",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/irr-function-64925eaa-9988-495b-b290-3ad0c163c1bc"}],functionParameter:{values:{name:"values",detail:`An array or a reference to cells that contain numbers for which you want to calculate the internal rate of return.
|
|
1
|
+
(function(e,t){typeof exports=="object"&&typeof module<"u"?module.exports=t():typeof define=="function"&&define.amd?define(t):(e=typeof globalThis<"u"?globalThis:e||self,e.UniverSheetsFormulaUiFrFR=t())})(this,(function(){"use strict";return{shortcut:{"sheets-formula-ui":{"quick-sum":"Somme rapide"}},formula:{insert:{tooltip:"Fonctions",common:"Fonctions courantes"},functionList:{...{ACCRINT:{description:"Returns the accrued interest for a security that pays periodic interest",abstract:"Returns the accrued interest for a security that pays periodic interest",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/accrint-function-fe45d089-6722-4fb3-9379-e1f911d8dc74"}],functionParameter:{issue:{name:"issue",detail:"The security's issue date."},firstInterest:{name:"first_interest",detail:"The security's first interest date."},settlement:{name:"settlement",detail:"The security's maturity date."},rate:{name:"rate",detail:"The security's annual coupon rate."},par:{name:"par",detail:"The security's par value."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."},calcMethod:{name:"calc_method",detail:"Is a logical value: interest accrues from the issue date = TRUE or ignored; interest accrues from the last coupon payment date = FALSE."}}},ACCRINTM:{description:"Returns the accrued interest for a security that pays interest at maturity",abstract:"Returns the accrued interest for a security that pays interest at maturity",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/accrintm-function-f62f01f9-5754-4cc4-805b-0e70199328a7"}],functionParameter:{issue:{name:"issue",detail:"The security's issue date."},settlement:{name:"settlement",detail:"The security's maturity date."},rate:{name:"rate",detail:"The security's annual coupon rate."},par:{name:"par",detail:"The security's par value."},basis:{name:"basis",detail:"The type of day count basis to use."}}},AMORDEGRC:{description:"Returns the depreciation for each accounting period by using a depreciation coefficient",abstract:"Returns the depreciation for each accounting period by using a depreciation coefficient",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/amordegrc-function-a14d0ca1-64a4-42eb-9b3d-b0dededf9e51"}],functionParameter:{number1:{name:"number1",detail:"first"},number2:{name:"number2",detail:"second"}}},AMORLINC:{description:"Returns the depreciation for each accounting period",abstract:"Returns the depreciation for each accounting period",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/amorlinc-function-7d417b45-f7f5-4dba-a0a5-3451a81079a8"}],functionParameter:{cost:{name:"cost",detail:"The cost of the asset."},datePurchased:{name:"date_purchased",detail:"The date of the purchase of the asset."},firstPeriod:{name:"first_period",detail:"The date of the end of the first period."},salvage:{name:"salvage",detail:"The salvage value at the end of the life of the asset."},period:{name:"period",detail:"The period."},rate:{name:"rate",detail:"The rate of depreciation."},basis:{name:"basis",detail:"The year basis to be used."}}},COUPDAYBS:{description:"Returns the number of days from the beginning of the coupon period to the settlement date",abstract:"Returns the number of days from the beginning of the coupon period to the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdaybs-function-eb9a8dfb-2fb2-4c61-8e5d-690b320cf872"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPDAYS:{description:"Returns the number of days in the coupon period that contains the settlement date",abstract:"Returns the number of days in the coupon period that contains the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdays-function-cc64380b-315b-4e7b-950c-b30b0a76f671"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPDAYSNC:{description:"Returns the number of days from the settlement date to the next coupon date",abstract:"Returns the number of days from the settlement date to the next coupon date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupdaysnc-function-5ab3f0b2-029f-4a8b-bb65-47d525eea547"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPNCD:{description:"Returns the next coupon date after the settlement date",abstract:"Returns the next coupon date after the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupncd-function-fd962fef-506b-4d9d-8590-16df5393691f"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPNUM:{description:"Returns the number of coupons payable between the settlement date and maturity date",abstract:"Returns the number of coupons payable between the settlement date and maturity date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/coupnum-function-a90af57b-de53-4969-9c99-dd6139db2522"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},COUPPCD:{description:"Returns the previous coupon date before the settlement date",abstract:"Returns the previous coupon date before the settlement date",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/couppcd-function-2eb50473-6ee9-4052-a206-77a9a385d5b3"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},CUMIPMT:{description:"Returns the cumulative interest paid between two periods",abstract:"Returns the cumulative interest paid between two periods",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/cumipmt-function-61067bb0-9016-427d-b95b-1a752af0e606"}],functionParameter:{rate:{name:"rate",detail:"The interest rate."},nper:{name:"nper",detail:"The total number of payment periods."},pv:{name:"pv",detail:"The present value."},startPeriod:{name:"start_period",detail:"The first period in the calculation. Payment periods are numbered beginning with 1."},endPeriod:{name:"end_period",detail:"The last period in the calculation."},type:{name:"type",detail:"The timing of the payment."}}},CUMPRINC:{description:"Returns the cumulative principal paid on a loan between two periods",abstract:"Returns the cumulative principal paid on a loan between two periods",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/cumprinc-function-94a4516d-bd65-41a1-bc16-053a6af4c04d"}],functionParameter:{rate:{name:"rate",detail:"The interest rate."},nper:{name:"nper",detail:"The total number of payment periods."},pv:{name:"pv",detail:"The present value."},startPeriod:{name:"start_period",detail:"The first period in the calculation. Payment periods are numbered beginning with 1."},endPeriod:{name:"end_period",detail:"The last period in the calculation."},type:{name:"type",detail:"The timing of the payment."}}},DB:{description:"Returns the depreciation of an asset for a specified period by using the fixed-declining balance method",abstract:"Returns the depreciation of an asset for a specified period by using the fixed-declining balance method",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/db-function-354e7d28-5f93-4ff1-8a52-eb4ee549d9d7"}],functionParameter:{cost:{name:"cost",detail:"The initial cost of the asset."},salvage:{name:"salvage",detail:"The value at the end of the depreciation (sometimes called the salvage value of the asset)."},life:{name:"life",detail:"The number of periods over which the asset is being depreciated (sometimes called the useful life of the asset)."},period:{name:"period",detail:"The period for which you want to calculate the depreciation."},month:{name:"month",detail:"The number of months in the first year. If month is omitted, it is assumed to be 12."}}},DDB:{description:"Returns the depreciation of an asset for a specified period by using the double-declining balance method or some other method that you specify",abstract:"Returns the depreciation of an asset for a specified period by using the double-declining balance method or some other method that you specify",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ddb-function-519a7a37-8772-4c96-85c0-ed2c209717a5"}],functionParameter:{cost:{name:"cost",detail:"The initial cost of the asset."},salvage:{name:"salvage",detail:"The value at the end of the depreciation (sometimes called the salvage value of the asset)."},life:{name:"life",detail:"The number of periods over which the asset is being depreciated (sometimes called the useful life of the asset)."},period:{name:"period",detail:"The period for which you want to calculate the depreciation."},factor:{name:"factor",detail:"The rate at which the balance declines. If factor is omitted, it is assumed to be 2 (the double-declining balance method)."}}},DISC:{description:"Returns the discount rate for a security",abstract:"Returns the discount rate for a security",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/disc-function-71fce9f3-3f05-4acf-a5a3-eac6ef4daa53"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},pr:{name:"pr",detail:"The security's price per $100 face value."},redemption:{name:"redemption",detail:"The security's redemption value per $100 face value."},basis:{name:"basis",detail:"The type of day count basis to use."}}},DOLLARDE:{description:"Converts a dollar price, expressed as a fraction, into a dollar price, expressed as a decimal number",abstract:"Converts a dollar price, expressed as a fraction, into a dollar price, expressed as a decimal number",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/dollarde-function-db85aab0-1677-428a-9dfd-a38476693427"}],functionParameter:{fractionalDollar:{name:"fractional_dollar",detail:"A number expressed as an integer part and a fraction part, separated by a decimal symbol."},fraction:{name:"fraction",detail:"The integer to use in the denominator of the fraction."}}},DOLLARFR:{description:"Converts a dollar price, expressed as a decimal number, into a dollar price, expressed as a fraction",abstract:"Converts a dollar price, expressed as a decimal number, into a dollar price, expressed as a fraction",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/dollarfr-function-0835d163-3023-4a33-9824-3042c5d4f495"}],functionParameter:{decimalDollar:{name:"decimal_dollar",detail:"A decimal number."},fraction:{name:"fraction",detail:"The integer to use in the denominator of the fraction."}}},DURATION:{description:"Returns the annual duration of a security with periodic interest payments",abstract:"Returns the annual duration of a security with periodic interest payments",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/duration-function-b254ea57-eadc-4602-a86a-c8e369334038"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},coupon:{name:"coupon",detail:"The security's annual coupon rate."},yld:{name:"yld",detail:"The security's annual yield."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},EFFECT:{description:"Returns the effective annual interest rate",abstract:"Returns the effective annual interest rate",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/effect-function-910d4e4c-79e2-4009-95e6-507e04f11bc4"}],functionParameter:{nominalRate:{name:"nominal_rate",detail:"The nominal interest rate."},npery:{name:"npery",detail:"The number of compounding periods per year."}}},FV:{description:"Returns the future value of an investment",abstract:"Returns the future value of an investment",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/fv-function-2eef9f44-a084-4c61-bdd8-4fe4bb1b71b3"}],functionParameter:{rate:{name:"rate",detail:"The interest rate per period."},nper:{name:"nper",detail:"The total number of payment periods in an annuity."},pmt:{name:"pmt",detail:"The payment made each period; it cannot change over the life of the annuity."},pv:{name:"pv",detail:"The present value, or the lump-sum amount that a series of future payments is worth right now."},type:{name:"type",detail:"The number 0 or 1 and indicates when payments are due."}}},FVSCHEDULE:{description:"Returns the future value of an initial principal after applying a series of compound interest rates",abstract:"Returns the future value of an initial principal after applying a series of compound interest rates",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/fvschedule-function-bec29522-bd87-4082-bab9-a241f3fb251d"}],functionParameter:{principal:{name:"principal",detail:"The present value."},schedule:{name:"schedule",detail:"An array of interest rates to apply."}}},INTRATE:{description:"Returns the interest rate for a fully invested security",abstract:"Returns the interest rate for a fully invested security",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/intrate-function-5cb34dde-a221-4cb6-b3eb-0b9e55e1316f"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},investment:{name:"investment",detail:"The amount invested in the security."},redemption:{name:"redemption",detail:"The amount to be received at maturity."},basis:{name:"basis",detail:"The type of day count basis to use."}}},IPMT:{description:"Returns the interest payment for an investment for a given period",abstract:"Returns the interest payment for an investment for a given period",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ipmt-function-5cce0ad6-8402-4a41-8d29-61a0b054cb6f"}],functionParameter:{rate:{name:"rate",detail:"The interest rate per period."},per:{name:"per",detail:"The period for which you want to find the interest and must be in the range 1 to nper."},nper:{name:"nper",detail:"The total number of payment periods in an annuity."},pv:{name:"pv",detail:"The present value, or the lump-sum amount that a series of future payments is worth right now."},fv:{name:"fv",detail:"The future value, or a cash balance you want to attain after the last payment is made."},type:{name:"type",detail:"The number 0 or 1 and indicates when payments are due."}}},IRR:{description:"Returns the internal rate of return for a series of cash flows",abstract:"Returns the internal rate of return for a series of cash flows",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/irr-function-64925eaa-9988-495b-b290-3ad0c163c1bc"}],functionParameter:{values:{name:"values",detail:`An array or a reference to cells that contain numbers for which you want to calculate the internal rate of return.
|
|
2
2
|
1.Values must contain at least one positive value and one negative value to calculate the internal rate of return.
|
|
3
3
|
2.IRR uses the order of values to interpret the order of cash flows. Be sure to enter your payment and income values in the sequence you want.
|
|
4
4
|
3.If an array or reference argument contains text, logical values, or empty cells, those values are ignored.`},guess:{name:"guess",detail:"A number that you guess is close to the result of IRR."}}},ISPMT:{description:"Calculates the interest paid during a specific period of an investment",abstract:"Calculates the interest paid during a specific period of an investment",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/ispmt-function-fa58adb6-9d39-4ce0-8f43-75399cea56cc"}],functionParameter:{rate:{name:"rate",detail:"The interest rate for the investment."},per:{name:"per",detail:"The period for which you want to find the interest, and must be between 1 and Nper."},nper:{name:"nper",detail:"The total number of payment periods for the investment."},pv:{name:"pv",detail:"The present value of the investment. For a loan, Pv is the loan amount."}}},MDURATION:{description:"Returns the Macauley modified duration for a security with an assumed par value of $100",abstract:"Returns the Macauley modified duration for a security with an assumed par value of $100",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/mduration-function-b3786a69-4f20-469a-94ad-33e5b90a763c"}],functionParameter:{settlement:{name:"settlement",detail:"The security's settlement date."},maturity:{name:"maturity",detail:"The security's maturity date."},coupon:{name:"coupon",detail:"The security's annual coupon rate."},yld:{name:"yld",detail:"The security's annual yield."},frequency:{name:"frequency",detail:"The number of coupon payments per year."},basis:{name:"basis",detail:"The type of day count basis to use."}}},MIRR:{description:"Returns the internal rate of return where positive and negative cash flows are financed at different rates",abstract:"Returns the internal rate of return where positive and negative cash flows are financed at different rates",links:[{title:"Instruction",url:"https://support.microsoft.com/en-us/office/mirr-function-b020f038-7492-4fb4-93c1-35c345b53524"}],functionParameter:{values:{name:"values",detail:`An array or a reference to cells that contain numbers. These numbers represent a series of payments (negative values) and income (positive values) occurring at regular periods.
|