Format:
CORP:<TICKER> <MATURITY DATE> <COUPON> <PRICE>
Examples(*):
CORP:NFLX 20261115 4.5 98
CORP:COMM 20270315 5.0 99
<TICKER> Ticker for issuer of bond (US only).
<MATURITY DATE>: String in YYYYMMDD format indicating the maturity date for the bond.
<COUPON>: The coupon for the bond
<PRICE>: The bond price.
Optional Field:
<RATING>: The bond rating formatted in S&P rating syntax e.g., AA, BBB+, etc. Used when the issuer curve is not available or multiple ratings exist for an issuer, e.g., [CORP:PETRD 20440317 7.25 99.396 BB-].
The price is provided to calculate YTM.
(*) Not real bonds. Used for illustrative purposes