found the following information: Government bonds: Maturity Yield 1 1% 2 2.2% 3 3% 4 5%...
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found the following information: Government bonds: Maturity Yield 1 1% 2 2.2% 3 3% 4 5% BB Bonds: Maturity Yield 1 6% 2 8% 3 11% 4 17% Draw the credit spread curve. If you know that the market is assuming a constant recovery rate for all maturities, What must be their assumption for the probability of default? found the following information: Government bonds: Maturity Yield 1 1% 2 2.2% 3 3% 4 5% BB Bonds: Maturity Yield 1 6% 2 8% 3 11% 4 17% Draw the credit spread curve. If you know that the market is assuming a constant recovery rate for all maturities, What must be their assumption for the probability of default?
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