Calculate the fair present value of the given bonds

Assignment Help Finance Basics
Reference no: EM131632273

Question: Calculate the fair present value of the following bonds, all of which have a 10 percent coupon rate (paid semiannually), face value of $1,000, and a required rate of return of 8 percent.

a. The bond has 10 years remaining to maturity.

b. The bond has 15 years remaining to maturity.

c. The bond has 20 years remaining to maturity.

d. What do your answers to parts (a) through (c) say about the relation between time to maturity and present values?

Reference no: EM131632273

Questions Cloud

Find the relation between coupon rates and present values : Calculate the fair present values of the following bonds, all of which pay interest semiannually, have a face value of $1,000, have 12 years remaining.
Discuss asian american film movement : What was the early Asian American film movement concerned with mostly? Discuss the political and/or philosophical of the Asian American media/film movement
Aspects of plant operations are affected by lean systems : Which aspects of plant operations are affected by Lean Systems? The concept of Poka-yoke involves.
What is the most common form of political participation : In state elections from 2002 to 2012, which sector contributed the most amount of PAC money to campaigns?
Calculate the fair present value of the given bonds : Calculate the fair present value of the following bonds, all of which have a 10 percent coupon rate (paid semiannually), face value of $1,000.
Describe what ics should have been in place and why : Use the terms and proper titles from our course. Describe what ICS should have been in place, and why. Did they follow the ICS system?
Leading health concerns posed by healthy people 2020 : An overview of Healthy People 2020 and your perspectives regarding at least one of the leading health concerns posed by Healthy People 2020.
The official phreaker manual : What information contained in the manual "The Official Phreaker's Manual" to help a security administrator to protect a communications system?
Define developing a research strategy : Describe your experiences using resources, including concerns encountered when conducting academic research through the Ashford University Library

Reviews

Write a Review

Finance Basics Questions & Answers

  Relationship between risk and expected return

What is risk? What is the relationship between risk and expected return? describe and discuss the role of the investment banker. When is a syndicate formed and what is the purpose?

  Compute the value of the firm

Compute (i) the value of the firm, (ii) the price per share, and (iii) the number of shares outstanding after the capital structure change.

  What are the main goals of the federal open market committee

FOMC : What are the main goals of the Federal Open Market Committee (FOMC)? - How does it attempt to achieve these goals?

  Value of a share of common stock today

Suppose Nabisco Corporation just issued a dividend of $ 2.84 per share. Subsequent dividends will grow at a constant rate of 7.7% indefinitely. If the required rate of return for this stock is 14.4%, what is the value of a share of common stock to..

  Te variable costs per unit are estimated at 500 what is

wexford industrial supply is considering a new project with estimated depreciation of 32000 fixed costs of 36000 and

  Provide an estimate of the option overhang at that date

Reformulation of an Equity Statement and Accounting for the Exercise of Stock Options: Starbucks Corporation (Hard) The statement of shareholders.

  Determine the optimal inventory policy

An item sells for $25 a unit but a 10% discount is offered for lots of 150 or more. A company uses this item at the rate of 20 units per day. The setup cost for ordering a lot is $50 and the holding cost per unit per day is $.30. The lead time is ..

  How do sinking funds reduce default risk

What is a trustee? Why do bondholders insist that a trustee be included in all public bond offerings? Why are these less necessary in private debt placements?

  What will be the interest rates on a three year bond six

The one-year interest rate over the next 10 years will be 3%, 4.5%, 6%, 7.5%, 9%, 10.5%, 13%, 14.5%, 16%, and 17.5%. Using the expectations theory, what will be the interest rates on a three-year bond, six-year bond, and nine-year bond?

  What short-term bank credit is an excellent way of financing

From the banker's point of view, short-term bank credit is an excellent way of financing. Cash balances are usually determined by the amount of cash flowing through the firm on a yearly basis.

  Calculate the effective annual rate of borrowing

Corporation X has a line of credit at Bank A that requires it to pay 11 percent interest on its borrowing and to maintain a compensating balance equal to 15 percent of the amount borrowed.

  Typical time period for a repurchase agreement

1. How is the discount yield on a U.S. Treasury bill computed? 2. What's the typical time period for a repurchase agreement?

Free Assignment Quote

Assured A++ Grade

Get guaranteed satisfaction & time on delivery in every assignment order you paid with us! We ensure premium quality solution document along with free turntin report!

All rights reserved! Copyrights ©2019-2020 ExpertsMind IT Educational Pvt Ltd