Average weighted maturity: Difference between revisions
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== See also == | == See also == | ||
* [[Weighted average maturity]] | * [[Weighted average maturity]] | ||
[[Category:Financial_products_and_markets]] |
Revision as of 13:05, 27 June 2022
Portfolio analysis.
A calculation of the weighted average of the maturities of fixed income instruments held in a portfolio. Average weighted maturity is correlated to the risk profile of the portfolio, for example, longer Average Weighted Maturity implies greater price volatility.
Also known as Weighted Average Maturity.