Answer Question
Term structure of interest rates.
A bond with par val. 1000 $ bought today at issueing date ,& mat. 5 years and interest of 4% , at the end of the 5th year how much will
Does anybody know the actual formula that is used to compute the 'Yield from Issue Date'?
What is meant by collective action clause?
What is renminbi-denominated bonds?
What is the difference between the tenor of a loan and the maturity date of the loan?
With regard to a bond trade, what is significance of "bid to cover"?
What is the meaning of the acronym -bund- listed among the european bonds?