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Adi and Shubham will be passing:- type(buy/sell); price_placed; qty; ISIN; timestamp(6 fields); total of 10 fields
A corresponding query would be written and the databse would be updated with the new order placed.
FOR computaion:
From the UI screen ISIN and the computational option will be passed; desired_yeild/cleanprice/dirtyprice(any one and other two will get computed); qty (total 3 paramaters)
on java side we will retrieve bond attributes(coupon rate,frequency,yrs to maturity) based on the ISIN.
we will compute the desired yeild; clean price; dirty price; settlement amount; accrued amount.