What is the bond yield to maturity

Assignment Help Finance Basics
Reference no: EM131757779

You own a 20 year semi-annual 8% coupon bond with a face value of $1,000. The current yield of the bond is 8.2%. What is the bond's yield to maturity?

Reference no: EM131757779

Questions Cloud

A company market-to-book ratio : A company's market-to-book ratio is higher than peer firms (comparable firms). Which of the following is most likely to be the case? All else equal
Prepare martinezs journal entry to record the sales : Prepare Martinez's journal entry to record the sales (ignore cost of goods sold) and the December 31 adjusting entry, assuming the expenditures are inventory
Portfolio assists in diversifying the portfolio : Negative correlation between stocks in a portfolio assists in diversifying the portfolio. Is this statement true or false? Explain why.
Display the goal differential for the same games : U.S. women's soccer-2012 Earlier, we examined data on the number of goals scored by the U.S. women's soccer team in games played in the 12 months prior.
What is the bond yield to maturity : You own a 20 year semi-annual 8% coupon bond with a face value of $1,000. The current yield of the bond is 8.2%. What is the bond's yield to maturity?
Determine itemized deductions for the weavers for schedule a : Use information and publications from IRS and the other IRS resources linked in the Resources to determine itemized deductions for Weavers for Schedule A.
Discuss journal entries for jeffrey underwriters associates : Prepare the necessary journal entries for Jeffrey Underwriters Associates on July 1 and December 31
Benefits and risks of these changes : Globalization and technological advances have also significantly impacted derivatives markets since 1990. What are the benefits and risks of these changes?
What is the new portfolio return : The risk free rate is 5% and the market risk premium is 8%. What is the new portfolio's return?

Reviews

Write a Review

Finance Basics Questions & Answers

  Briefly explain two ways interest rates influence

Briefly explain two (2) ways interest rates influence the U.S. and global financial environment. Provide at least one (1) example of such influence for both the U.S. financial environment and one (1) example for the global financial environment.

  The firm paid dividends to preferred stockholders of 40000

pdq corp. has sales of 4000000 the firms cost of goods sold is 2500000 and its total expenses are 600000. the firms

  What advice would you give silvio regarding his decision on

1. do you think silvio was the right choice for general manager of schindlers india operations? why? why not?2. as luc

  How is a project classification scheme used in the capital

How is a project classification scheme (for example, replacement, expansion into new markets, and so forth) used in the capital budgeting process?

  What is the firm levered value

What is the firm's levered value if it issues $200,000 of perpetual debt to buy back stock?

  Calculate the initial investment associated with the replace

Calculate the initial investment associated with the replacement of the existing grinder by the new one. Determine the incremental operating cash inflows associated with the proposed grinder replacement. Determine the terminal cash flow expected at t..

  What is the probability that both of the cards have a point

What is the probability that both cards dealt are aces or 10-point cards? What is the probability that both of the cards are aces? What is the probability that both of the cards have a point value of 10?

  What is a production report

What is a production report? What purpose does this report serve?- In assigning costs to goods transferred out, how do the weighted average and FIFO methods differ?

  Insurance price of the bond

A 10-year zero-coupon bond that yields a 5% is issued with a $1000 par value. What is the insurance price of the bond?

  Determine the required moles of steam

Determine the moles of solvent required per mole of VOC free carrier gas if the exiting gas stream is to contain only 0.2 mol % VOC and if 1.5 times the minimum solvent is used.

  You notice that the risk-free rate is 8 and the market

you notice that the risk-free rate is 8 and the market expected return is 14. if the stock you are aiming at has a beta

  Calculate the weighted average cost of capital

Based on the information below, calculate the weighted average cost of capital.

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