AWSEC2PriceSchedule

@interface AWSEC2PriceSchedule

Describes the price for a Reserved Instance.

  • The current price schedule, as determined by the term remaining for the Reserved Instance in the listing.

    A specific price schedule is always in effect, but only one price schedule can be active at any time. Take, for example, a Reserved Instance listing that has five months remaining in its term. When you specify price schedules for five months and two months, this means that schedule 1, covering the first three months of the remaining term, will be active during months 5, 4, and 3. Then schedule 2, covering the last two months of the term, will be active for months 2 and 1.

    Declaration

    Objective-C

    @property (readwrite, strong, nonatomic) NSNumber *_Nullable active;

    Swift

    var active: NSNumber? { get set }
  • The currency for transacting the Reserved Instance resale. At this time, the only supported currency is USD.

    Declaration

    Objective-C

    @property (assign, readwrite, nonatomic) AWSEC2CurrencyCodeValues currencyCode;

    Swift

    var currencyCode: AWSEC2CurrencyCodeValues { get set }
  • The fixed price for the term.

    Declaration

    Objective-C

    @property (readwrite, strong, nonatomic) NSNumber *_Nullable price;

    Swift

    var price: NSNumber? { get set }
  • The number of months remaining in the reservation. For example, 2 is the second to the last month before the capacity reservation expires.

    Declaration

    Objective-C

    @property (readwrite, strong, nonatomic) NSNumber *_Nullable term;

    Swift

    var term: NSNumber? { get set }