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For a bond with an embedded option, the standard yield to maturity based calculations of duration and convexity do not consider how changes in interest rates will alter the cash flows due to option exercise. To address this, effective duration and -convexity are introduced.
In finance, bond convexity is a measure of the non-linear relationship of bond prices to changes in interest rates, and is defined as the second derivative of the price of the bond with respect to interest rates (duration is the first derivative). In general, the higher the duration, the more sensitive the bond price is to the change in ...
In practice the most significant of these is bond convexity, the second derivative of bond price with respect to interest rates. As the second derivative is the first non-linear term, and thus often the most significant, "convexity" is also used loosely to refer to non-linearities generally, including higher-order terms.
The specifics vary from bond to bond, but callable bonds always have one thing in common — the issuer can pay off the bond early. As an investor, there are potential benefits and drawbacks to ...
This difference in convexity can also be used to explain the price differential from an MBS to a Treasury bond. However, the OAS figure is usually preferred. The discussion of the "negative convexity" and "option cost" of a bond is essentially a discussion of a single MBS feature (rate-dependent cash flows) measured in different ways.
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then is called strictly convex. [1]Convex functions are related to convex sets. Specifically, the function is convex if and only if its epigraph. A function (in black) is convex if and only if its epigraph, which is the region above its graph (in green), is a convex set.
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