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INV3702 Assignment 2 (ANSWERS) Semester 1 2025 - DISTINCTION GUARANTEED

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INV3702
Assignment 2 Semester 1 2025
Unique Number:
Due Date: May 2025
QUESTION 1

The price of the 2-year coupon bond (as a percent of par) is:

N = 2; I/YR = 2.496; PMT = 6; FV = 100;

Compute PV = 106.75



The no-arbitrage price of the 2-year coupon bond based on spot (zero-coupon) rates is:




The 2-year coupon bond's price equals its no-arbitrage value, therefore the bond is fairly
valued.




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QUESTION 1

The price of the 2-year coupon bond (as a percent of par) is:

N = 2; I/YR = 2.496; PMT = 6; FV = 100;

Compute PV = 106.75



The no-arbitrage price of the 2-year coupon bond based on spot (zero-coupon) rates
is:




The 2-year coupon bond's price equals its no-arbitrage value, therefore the bond is
fairly valued.




QUESTION 2

Bond B has a current yield of 8.5%, which is higher than the average yield of similar
bonds (8.0%). This suggests that Bond B is underpriced compared to its peers. If
the bond's yield moves back in line with the peer group yield, its price will rise.
Therefore, buying Bond B now would allow the trader to benefit from the price
increase as the yield normalizes.



QUESTION 3

Ms Koko aims to reduce her portfolio's Macaulay duration from 12 years to 6 years
by selling a portion of her current holdings and reinvesting in shorter-duration bonds.
She has two bond options: Bond Y, a 5-year semiannual-coupon bond with a
Macaulay duration of approximately 5 years, and Bond Z, a 4-year zero-coupon
bond with a Macaulay duration of 4 years.

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