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Portfolio models for fixed income securities

Portfolio models for fixed income securities. Agenda. Portfolio dedication Modell for porteføljeimmunisering Modeller for faktorimmunisering Statsobligasjoner Selskapsobligasjoner Oppsummering. Risk management for fixed income securities. Risk associated with changes in interest rates.

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Portfolio models for fixed income securities

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  1. Portfolio models for fixed income securities

  2. Agenda • Portfolio dedication • Modell for porteføljeimmunisering • Modeller for faktorimmunisering • Statsobligasjoner • Selskapsobligasjoner • Oppsummering Financial Optimization and Risk Management

  3. Risk management for fixed income securities • Risk associated with changes in interest rates Financial Optimization and Risk Management

  4. Risk management for fixed income securities, cont. • Price of a bond which makes predetermined risk free payments Financial Optimization and Risk Management

  5. Risk management for fixed income securities, cont. • Yield to maturity Financial Optimization and Risk Management

  6. Risk management for fixed income securities, cont. • Risk measure: sensitivity of price with respect to term stucture Financial Optimization and Risk Management

  7. Risk management for fixed income securities, cont. • Approximation of price/yield curve Financial Optimization and Risk Management

  8. Risk management for fixed income securities, cont. • Different concepts of duration Financial Optimization and Risk Management

  9. Risk management for fixed income securities, cont. • Different concepts of duration, cont. Financial Optimization and Risk Management

  10. Risk management for fixed income securities, cont. • Convexity: quadratic approximation Financial Optimization and Risk Management

  11. Risk management for fixed income securities, cont. • Factor analysis of the term structure • Small parallel shifts are not what happen in real markets Financial Optimization and Risk Management

  12. Risk management for fixed income securities, cont. • Factor models, cont. • Estimate factors • Keep only a few first ones Financial Optimization and Risk Management

  13. Faktorimmunisering Financial Optimization and Risk Management

  14. Faktorimmunisering (2) Financial Optimization and Risk Management

  15. Faktorimmunisering (3) Financial Optimization and Risk Management

  16. Statsobligasjoner Financial Optimization and Risk Management

  17. Statsobligasjoner (2) Financial Optimization and Risk Management

  18. Statsobligasjoner (3) Financial Optimization and Risk Management

  19. Selskapsobligasjoner Financial Optimization and Risk Management

  20. Selskapsobligasjoner (2) Financial Optimization and Risk Management

  21. Selskapsobligasjoner (3) Financial Optimization and Risk Management

  22. Selskapsobligasjoner (4) Financial Optimization and Risk Management

  23. Selskapsobligasjoner (5) Financial Optimization and Risk Management

  24. Selskapsobligasjoner (6) Financial Optimization and Risk Management

  25. Selskapsobligasjoner (7) Financial Optimization and Risk Management

  26. Selskapsobligasjoner (8) Financial Optimization and Risk Management

  27. Oppsummering/konklusjon • ”Matching” av kontantstrømmer • Modell for porteføljeimmunisering • Modeller for faktorimmunisering for stats- og selskapsobligasjoner • Nyttige for problemer med (tilnærmet) kjente kontantstrømmer Financial Optimization and Risk Management

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