Bond portfolio management Problem
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I need to solve a portfolio management problem I have... I have 3 bonds with different coupons and different rates and different YTM.
I need to find the duration of the portfolio as well as describe the risk my strategy faces.
Will send more once interested
ID Proiect: #37248292
Detalii despre proiect
16 freelanceri plasează o ofertă medie de 90$ pentru proiect
Hello, I'm a quantitative financial analyst with extensive experience in bond valuation. I can complete the task accurately. Let's discuss the details in chat. Kind regards