- yield curve strategies
- Investments that position a portfolio to capitalize on expected changes in the shape of the Treasury yield curve. Bloomberg Financial Dictionary
Financial and business terms. 2012.
Financial and business terms. 2012.
Yield curve strategies — Positioning a portfolio to capitalize on expected changes in the shape of the Treasury yield curve. The New York Times Financial Glossary … Financial and business terms
Economic Affairs — ▪ 2006 Introduction In 2005 rising U.S. deficits, tight monetary policies, and higher oil prices triggered by hurricane damage in the Gulf of Mexico were moderating influences on the world economy and on U.S. stock markets, but some other… … Universalium
Fixed income attribution — refers to the process of measuring returns generated by various sources of risk in a fixed income portfolio, particularly when multiple sources of return are active at the same time. For example, the risks affecting the return of a bond portfolio … Wikipedia
Fixed-income attribution — refers to the process of measuring returns generated by various sources of risk in a fixed income portfolio, particularly when multiple sources of return are active at the same time. For example, the risks affecting the return of a bond portfolio … Wikipedia
Immunization (finance) — In finance, interest rate immunization is a strategy that ensures that a change in interest rates will not affect the value of a portfolio. Similarly, immunization can be used to insure that the value of a pension fund s or a firm s assets will… … Wikipedia
Bond convexity — In finance, convexity is a measure of the sensitivity of the duration of a bond to changes in interest rates, the second derivative of the price of the bond with respect to interest rates (duration is the first derivative). In general, the higher … Wikipedia
Recession — This article is about a slowdown in economic activity. For other uses, see Recession (disambiguation). Economics … Wikipedia
Convertible bond — Financial markets Public market Exchange Securities Bond market Fixed income Corporate bond Government bond Municipal bond … Wikipedia
Model risk — In finance, model risk is the risk involved in using models to value financial securities.[1] Rebonato considers alternative definitions including: After observing a set of prices for the underlying and hedging instruments, different but… … Wikipedia
ИНВЕСТИРОВАНИЕ — INVESTINGПод И. понимается вложение капитала с целью получения прибыли. Ожидаемая прибыль может быть в виде дивидендов, процентов или увеличения реального капитала. Попытка извлечь выгоду из кратковременных изменений стоимости актива называется… … Энциклопедия банковского дела и финансов