A practical, rigorous guide to option-adjusted spread analysis, written for readers who need to understand not only how OAS is calculated, but also what it reveals about fixed-income value, risk, and relative performance. Beginning with the distinction between quoted yield spreads, Z-spreads, and OAS, the book establishes a clear framework for separating credit, liquidity, interest-rate, and embedded-option effects. It then follows the complete valuation process, from mapping contractual cash flows and selecting a reference curve to building discount factors, modeling interest-rate paths, and solving for the spread that reconciles model value with market price. Step-by-step illustrations show why a quoted spread can mislead, how a rate tree is constructed, how a callable bond is valued, and how OAS is estimated for mortgage pools and other structured securities. Later chapters connect security-level analysis to portfolio construction, relative-value decisions, credit research, liquidity assessment, and performance attribution. Suitable for fixed-income analysts, portfolio managers, risk professionals, students, and investment committee members, this book combines mathematical foundations with practical judgment. Its emphasis on assumptions, sensitivities, exercise rules, and limitations helps readers interpret OAS responsibly rather than treat it as a single all-purpose measure of value.
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