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maturity_date


The maturity_date property represents the date at which an investor can expect to have the principal of their investment repaid and the date before which this instrument must be repaid in order not to be in default (as in securitisation regulations).

It is in date-time format in accordance with the ISO 8601 standard (YYYY-MM-DDTHH:MM:SSZ).

See also issue_date and end_date