Bond relative value analysis helps investors decide if a bond is priced fairly. It compares a bond's yield to similar bonds and market curves. This skill takes bond prices, yield curves, and credit spreads to find out if a bond is rich, cheap, or fair.
You can break down a bond's total spread into parts like risk-free rates and credit risk. The leftover part shows true value. The skill also runs scenario stress tests to see how the bond behaves if interest rates change. This gives a clear buy, sell, or hold recommendation.
Any finance professional or fixed income analyst can use this to make smarter decisions. It combines multiple data sources into one simple table for easy understanding.
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