Analyzing Risk Implications: Fixed Income's Impact on Derivative Pricing in the Bond Market – Ing. Nirav Bipinchandra Vyas
Ing. Nirav Bipinchandra Vyas
Master's thesis
Analyzing Risk Implications: Fixed Income's Impact on Derivative Pricing in the Bond Market
Analyzing Risk Implications: Fixed Income's Impact on Derivative Pricing in the Bond Market
Abstract:
This study delves into the impact of specific financial metrics associated with the fixed income sector, particularly bonds, on forecasted volatility within the Bond Futures market. This volatility bears significant implications for options pricing. This study examines the Implied Volatility Index's effectiveness as a predictive tool for options market volatility and assesses its sensitivity to bond …more
Language used: English
Date on which the thesis was submitted / produced: 23. 4. 2024
Identifier:
https://is.vsfs.cz/th/vbup8/
Thesis defence
- Date of defence: 18. 6. 2024
- Supervisor: Ing. Miroslav Halouzka, CSc.
- Reader: doc. RNDr. Petr Budinský, CSc.
Citation record
ISO 690-compliant citation record:
VYAS, Nirav Bipinchandra. \textit{Analyzing Risk Implications: Fixed Income's Impact on Derivative Pricing in the Bond Market}. Online. Master's thesis. Praha: University of Finance and Administration. 2024. Available from: https://theses.cz/id/kz8qdx/.
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Institution archiving the thesis and making it accessible: Vysoká škola finanční a správníUniversity of Finance and Administration
Master programme / field:
Economics and Management / Economics and Management
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