vanhenemispäivät
Vanhenemispäivät, a Finnish term, refers to the days on which a financial instrument, such as a bond or derivative, reaches its maturity date. This is the date when the issuer is obligated to repay the principal amount to the holder. For bonds, the vanhenemispäivät signify the end of the bond's term and the final repayment of the invested capital. For options and futures contracts, it's the final date on which the contract can be exercised or settled. Understanding vanhenemispäivät is crucial for investors to manage their cash flows and investment portfolios effectively, as it determines when funds will be returned or when a transaction will be finalized. The concept is fundamental to the lifecycle of many financial products, influencing trading strategies and risk management.