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1. Explain how the component of interest rates such as real risk free rate, inflation rate ,default risk premium, liquidity premium and maturity risk premium apply in bonds.
2. Your parents would pay you $3500 a year for 10 years but the first payment you get is when you finish your studies in 5 years time. Calculate present value and future value for what your parents offer you. Assuming the interest rate is 10% p.a.
What was the firm’s 2015 operating cash flow, or OCF?
How much of the third loan payment is interest?
What is the effective annualized an cost + (APY) on this credit card?
What is the future value of $2,800 in 18 years assuming an interest rate of 8.1 percent compounded semiannually?
What will be the "earnings after tax and available for common stockholders" if the money is borrowed?- What will be the "earnings after tax and available for common stockholders" if preferred stock is sold?
In a world with corporate taxes, MM theory implies that that all firms should choose an all-debt capital structure. The optimal capital structure of firm.
Interpret each value.b. Assume now that the bank loan would cost 15 percent, but all other facts remain the same. What is the new NAL? The new IRR?
Use the? black-scholes formula to determine the price of a? six-month European call option on the British pound with a strike price of $1.78/£.
A firm has 12,500 shares of stock outstanding that sell for $42 each. The book value of equity is $400,000. The firm has also issued $250,000 face value of debt that is currently quoted at 101.2. What value should be used as the weight of equity when..
Based on Capital Asset Pricing Model (CAPM) make a recommendation on whether or not to invest in this stock.
Discuss the stock price performance of the holding company of the bank during the past three years. Remember the holding company may have other assets than the bank. But for almost all BHCs the bank is the largest asset.
X and Y are two American call options on the same stock with the same strike price. X has six month to expiration, while Y has three month to expiration. Which of the following must be true?
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