q interest rate risk in financial


Q. Interest Rate Risk in financial management

Interest rate risk is the variation in the single period rates of return caused by the fluctLlaoons in the market interest rate. Mo~ commonly interest rate risk affects the price

Risk and Return Analysis.

Whereat = holding period

It = Bonds coupon interest during period t

Pt = Bonds price at the beginning of holding period P = Change in Bond Price over the period.

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Financial Management: q interest rate risk in financial
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