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Sigma KEE - maturityDate
maturityDate

appearance as argument number 1
-------------------------


(documentation maturityDate EnglishLanguage "The date on which the principal amount of the account becomes due and payable.") FinancialOntology.kif 593-594
(domain maturityDate 1 FinancialAccount) FinancialOntology.kif 591-591 The number 1 argument of maturity date is an instance of financial account
(domain maturityDate 2 Day) FinancialOntology.kif 592-592 The number 2 argument of maturity date is an instance of day
(instance maturityDate BinaryPredicate) FinancialOntology.kif 589-589 maturity date is an instance of binary predicate
(subrelation maturityDate agreementExpirationDate) FinancialOntology.kif 590-590 maturity date is a subrelation of expiration date

appearance as argument number 2
-------------------------


(format EnglishLanguage maturityDate "%2 is %n a maturity date of %1") domainEnglishFormat.kif 419-419
(termFormat EnglishLanguage maturityDate "maturity date") domainEnglishFormat.kif 6509-6509 "maturity date" is the printable form of maturity date in english language

antecedent
-------------------------


(=>
    (and
        (instance ?Bond ZeroCouponBond)
        (maturityDate
            (AccountFn ?Bond) ?Date)
        (possesses ?BondHolder ?Bond)
        (principalAmount
            (AccountFn ?Bond) ?Principal)
        (agreementPeriod
            (AccountFn ?Bond) ?Period)
        (interestEarned
            (AccountFn ?Bond) ?Interest ?Period)
        (equal ?Total
            (AdditionFn ?Principal ?Interest)))
    (exists (?Payment)
        (and
            (instance ?Payment Payment)
            (destination ?Payment ?BondHolder)
            (origin ?Payment
                (CurrencyFn ?BondAccount))
            (transactionAmount ?Payment ?Total))))
FinancialOntology.kif 2264-2278
(=>
    (and
        (instance ?CD CertificateOfDeposit)
        (maturityDate ?CD ?MaturityDate)
        (instance ?Withdrawal Withdrawal)
        (origin ?Withdrawal
            (CurrencyFn ?CD))
        (date ?Withdrawal ?DateOfWithdrawal)
        (before
            (EndFn ?DateOfWithdrawal)
            (BeginFn ?MaturityDate)))
    (exists (?Penalty)
        (and
            (instance ?Penalty Penalty)
            (destination ?Penalty
                (CurrencyFn ?CD))
            (causes ?Withdrawal ?Penalty))))
FinancialOntology.kif 1032-1044
(=>
    (and
        (instance ?Loan BalloonLoan)
        (maturityDate ?Loan ?Date)
        (totalBalance ?Loan ?Amount)
        (borrower ?Loan ?Agent))
    (holdsObligation
        (KappaFn ?Payment
            (and
                (date ?Payment ?Date)
                (transactionAmount ?Payment ?Amount)
                (destination ?Payment
                    (CurrencyFn ?Loan)))) ?Agent))
FinancialOntology.kif 1353-1363
(=>
    (and
        (instance ?Loan SinglePaymentLoan)
        (principalAmount ?Loan ?Principal)
        (maturityDate ?Loan ?Maturity))
    (amountDue ?Loan ?Principal ?Maturity))
FinancialOntology.kif 1540-1545
(=>
    (and
        (maturityDate ?Account ?Date)
        (principalAmount ?Account ?Principal))
    (amountDue ?Account ?Principal ?Date))
FinancialOntology.kif 596-600

consequent
-------------------------


(<=>
    (and
        (agreementPeriod ?Account ?Period)
        (finishes ?End ?Period))
    (maturityDate ?Account ?End))
FinancialOntology.kif 602-606 A time interval is an agreement period of a financial account and a day finishes the time interval if and only if the day is a maturity date of the financial account
(=>
    (instance ?Account TraditionalSavingsAccount)
    (not
        (exists (?Date)
            (maturityDate ?Account ?Date))))
FinancialOntology.kif 1054-1058
(=>
    (instance ?Bond Bond)
    (exists (?Date)
        (maturityDate ?Bond ?Date)))
FinancialOntology.kif 2196-2199
(=>
    (instance ?CD CertificateOfDeposit)
    (exists (?Date)
        (maturityDate ?CD ?Date)))
FinancialOntology.kif 1027-1030


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