Optimal Timing of Bond Refunding

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Optimal Timing of Bond Refunding
H Martin Weingartner
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The second term may be summed, and the total discounted cost of interest plus refund- ing from the date of the first refunding after the horizon may be ex- pressed as 17 (8) 1 + At year t=T+m, i. E. , m years after the yield curve first becomes m level, the bond outstanding must necessarily carry a coupon of r, having been issued in year T or subsequently. If it is kept, it will not pay to refund it until it has matured. Thus, if the old bond is j years old at this date, j 1 + r k* t-j Refund:... c .

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