The recent war in Ukraine, inflation, global interest rate rise and other factors make the domestic financial market face extreme volatility and uncertainty. In this case, suppose each of you has 100 million won left in 2022.425. The funds will be invested in listed corporate bonds (including stock related corporate bonds) and collected by April 24 next year. In terms of which investment and recovery strategies will improve the return rate with the highest risk ratio, please describe with specific figures.
1. Invest 100 million won in three or more products.
2. Specify the issuing company, project and frequency of the bonds invested in.
3. Detailed investment strategies such as investment time, amount of money, price (rate of return), return time, YTM and YTC, regardless of taxes and commission fees of securities companies.
4. Assuming the economic situation one year later, the credit rating and future price changes of the bonds are reasonable inferences. For the income during the period of cash holding in the investment process, the market interest rate should also be predicted and reflected.
* For all claims and predictions, please provide justification and evidence (bibliography must be submitted)
* I need subjective narration and evidence based on objective facts, not superficial editing.