TI BA II+: How to compute bond price or yield when settlement date falls on coupon date (TIBA2-03)

There are two ways to price a bond with the calculator: using the built-in bond worksheet, or using the time value of money (TVM) functions (i.e., N, I/Y, PV, PMT, and FV). This video shows you how to use the set of TVM to quickly find the price or yield of a bond. Notice that the approach is: input four, solve for the fifth. Maybe the most important first step is to simply decide on the length of each period, is it one year, six months (aka, semi-annual), quarterly, or daily? Then remember your output will solve in the same "periodicity." In general, we want to keep the defaults of P/Y = C/Y = 1. Finally, realize that you are implicitly using discounted cash flow (DCF) here, so the bond's returned price is the full (aka, cash) price, not its flat price. Discuss this video here in our forum: https://trtl.bz/2Gq9IYW Subscribe here https://www.youtube.com/c/bionicturtl... to be notified of future tutorials on expert finance and data science, including the Financial Risk Manager (FRM), the Chartered Financial Analyst (CFA), and R Programming! If you have questions or want to discuss this video further, please visit our support forum (which has over 50,000 members) located at http://bionicturtle.com/forum You can also register as a member of our site (for free!) at https://www.bionicturtle.com/register/ Our email contact is [email protected] (I can also be personally reached at [email protected]) For other videos in our Financial Risk Manager (FRM) series, visit these playlists: Texas Instruments BA II+ Calculator    • Texas Instruments BA II+ Calculator   Risk Foundations (FRM Topic 1)    • Risk Foundations (FRM Topic 1)   Quantitative Analysis (FRM Topic 2)    • Quantitative Analysis (FRM Topic 2)   Financial Markets and Products: Intro to Derivatives (FRM Topic 3, Hull Ch 1-7)    • Financial Markets and Products: Intro to D...   Financial Markets and Products: Option Trading Strategies (FRM Topic 3, Hull Ch 10-12)    • Financial Markets and Products: Option Tra...   FM&P: Intro to Derivatives: Exotic options (FRM Topic 3)    • FM&P: Intro to Derivatives: Exotic options...   Valuation and Risk Models (FRM Topic 4)    • Valuation and RIsk Models (FRM Topic 4)   Coming Soon .... Market Risk (FRM Topic 5) Credit Risk (FRM Topic 6) Operational Risk (FRM Topic 7) Investment Risk (FRM Topic 8) Current Issues (FRM Topic 9) For videos in our Chartered Financial Analyst (CFA) series, visit these playlists: Chartered Financial Analyst (CFA) Level 1 Volume 1    • Level 1 Chartered Financial Analyst (CFA ®...   #bionicturtle #risk #financialriskmanager #FRM #finance #expertfinance Our videos carefully comply with U.S. copyright law which we take seriously. Any third-party images used in this video honor their specific license agreements. We occasionally purchase images with our account under a royalty-free license at 123rf.com (see https://www.123rf.com/license.php); we also use free and purchased images from our account at canva.com (see https://about.canva.com/license-agree.... In particular, the new thumbnails are generated in canva.com. Please contact [email protected] or [email protected] if you have any questions, issues or concerns.

TI BA II+: How to compute bond price on realistic (between coupons) settlement date (TIBA2-02)
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TI BA II+: How to compute bond price on realistic (between coupons) settlement date (TIBA2-02)

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