你上面是holding period的total return吧,要算holding-period yield要把再投资利率考虑进去,然后要计算收到现金流的终值,假设买进价97.89 (coupon@ 6%),两年后卖出在98.95, 假设每半年付息,前三次付息日reinvestment rate分别是5.5%、5.1%、6.8%,那么两年期的holding-period yield计算如下:
y={ [ 3 *(1+5.5%/2)^3+ 3*(1+5.1%/2)^2+ 3* (1+6.8%/2)+(3+98.95) ] / 97.89 }^ (1/4) - 1
因為是半年所以最後要乘以2得到annualize yield