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Yield to put (YTP): same as yield to call, but when the bond holder has the option to sell the bond back to the issuer at a fixed price on specified date. Yield to worst (YTW): when a bond is callable, puttable, exchangeable, or has other features, the yield to worst is the lowest yield of yield to maturity, yield to call, yield to put, and others.
In finance, the yield curve is a graph which depicts how the yields on debt instruments – such as bonds – vary as a function of their years remaining to maturity. [ 1 ] [ 2 ] Typically, the graph's horizontal or x-axis is a time line of months or years remaining to maturity, with the shortest maturity on the left and progressively longer ...
Holding that bond for one year (to maturity) would result in a yield of 5%. That would be its coupon yield or nominal yield. Current Yield – But now consider how yield changes if the price of ...
Here, the yield to maturity on the bond is determined based on the bond's Credit rating relative to a government security with similar maturity or duration; see Credit spread (bond). The better the quality of the bond, the smaller the spread between its required return and the YTM of the benchmark.
Your original maturity date: ... That’s not bad, but it’s also not as high as some high-yield savings accounts and CDs. 30 years: Once you’re three decades past the purchase date, it’s ...
The average maturity of bonds in its portfolio is 24.6 years, and the average yield to maturity is 4.5%. Second, the Vanguard Long-Term Bond ETF (NYSEMKT: BLV) is similar in nature, but with a ...
yield to call uses the same methodology as the yield to maturity, but assumes that the issuer calls the bond at the first opportunity instead of allowing it to be held until maturity; yield to put assumes that the bondholder sells the bond back to the issuer at the first opportunity; and; yield to worst is the lowest of the yield to all ...
The fund held about 1,200 bonds as of August 2024 with a weighted average maturity of about four years. Yield: 5.84 percent. Expense ratio: 0.49 percent. Fund assets: $15.2 billion.