Chapter 22: Debt Securities: Pricing, Volatility and Strategies

In this section

  • Bond Market Pricing: Understanding Canadian Fixed-Income Valuation
    Explore how to price bonds, handle accruals, and evaluate yields in Canada's fixed-income market, factoring in unique considerations for credit risk, settlement conventions, and regulatory guidelines.
  • Bond Price Volatility
    Learn the intricacies of bond price volatility, focusing on Duration, Convexity, interest rate risk, credit spreads, and more, in the Canadian fixed-income context.
  • Debt Security Strategies
    Explore key bond investment strategies suitable for Canadian investors, including buy-and-hold, laddering, barbell, bullet, active management, and credit-focused approaches.

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