Explore the concept of term to maturity, its significance in fixed-income portfolios, and strategies for managing interest rate risk through term selection.
Explore the purpose, strategies, and risks of fixed-income funds, including Canadian and global subcategories, and learn how to manage interest rate and credit risks effectively.
Explore the inverse relationship between bond prices and interest rates, its implications for bond trading, and investment strategies in the Canadian financial market.
Explore how duration measures bond price sensitivity to interest rate changes, combining maturity and coupon rate impacts, and learn strategies for managing interest rate risk in Canadian portfolios.