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SS 9 - Scenario Analysis Example

Hi all,
In the SS 9 - Scenario Analysis Example, Schweser- says the horizon value of reinvested coupon is 5+5(1+0.035)? Shouldn't this be just 5(1+0.035), that we add to the horizon price of bond after an year?
Can somebody please have a look at this.
Many thanks,
Solar

you have coupon at period -1 invested for 1 period at 3.5% and for the current period invested at 0%. (no reinvestment).

so 5$ at 1.035 and 5$ at 1.

CP

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