What is the bonds yield to maturity

Assignment Help Finance Basics
Reference no: EM13265225

You just purchased a bond that matures in 15 years. The bond has a face value of $1,000 and has an 8% annual coupon. The bond has a current yield of 8.37%. What is the bond's yield to maturity? Round your answer to two decimal places.

Reference no: EM13265225

Questions Cloud

Explain catalysts can speed up reactions rates : Which of the following are ways that catalysts can speed up reactions rates? You must check all answers that apply.
What would be the increase in the value of the company : according to MM proposition I with taxes, what would be the increase in the value of the company after the loan?
Write what are those impacts on the ma economy : Write what are those impacts on the MA economy. Are those positive impacts or negative for Liberty Mutual and Ma economy
What is the best estimate of the nominal interest rate : what is the best estimate of the nominal interest rate on new bonds? Round your answer to two decimal places.
What is the bonds yield to maturity : You just purchased a bond that matures in 15 years. The bond has a face value of $1,000 and has an 8% annual coupon. The bond has a current yield of 8.37%. What is the bond's yield to maturity? Round your answer to two decimal places.
Compute the realized rate of return for investors : Compute the realized rate of return for investors who purchased the bonds when they were issued and who surrender them today in exchange for the call price. Round your answer to two decimal places.
What is the current ratio in the transformer windings : An AC generator operates at 22 V and delivers 200 W of power through an ideal (no loss) transformer to the load with the resistance 4.0 \Omega
What is the vector part of e1 normal to the interface : If one of the normal vectors to an interface is n-hat = 1/sqrt(13) (3x-hat + 2z-hat) and the electric field just below the interface is E1 = 9x-hat + 2y-hat + 2z-hat, what is the vector part of E1 normal to the interface
What is the maturity risk premium for the 2-year security : The real risk-free rate is 3%, and inflation is expected to be 3% for the next 2 years. A 2-year Treasury security yields 8.4%. What is the maturity risk premium for the 2-year security?

Reviews

Write a Review

Finance Basics Questions & Answers

  The future value of an investment

The future value of an investment increases as the number of years of compounding at a positive rate of interest declines. Determine which of the following statements best represents what finance is about.

  Prepare a monthly operating budget for the dmv

What other changes would you suggest that might help the DMV's situation and what are the advantages and disadvantages of the various suggested changes

  Types of foreign exchange risk companies

What are the types of foreign exchange risk companies face when they deal internationally? It would be great if you could explain in detail with examples if possible.

  What is the dividend yield

The next dividend payment by Blue Cheese, Inc., will be $1.56 per share. The dividends are anticipated to maintain a growth rate of 4 percent forever. The stock currently sells for $29 per share.

  Case study - green mountain coffee roasters

Case study: Green Mountain Coffee Roasters, Inc. (GMCR).

  Objective type questions on foreign exchange assets

Objective type questions on foreign exchange assets and When a foreign subsidiary is not wholly owned by the parent

  What are the earnings per share

Mustaine, Inc., has a current stock price of $54. For the past year, the company had net income of $7,900,000, total equity of $26,300,000, sales of $50,500,000, and 4.1 million shares of stock outstanding.

  Find a potential capital project

Find a potential capital project for your company describe such a project and write a short summary of the problems you see in getting the funding to see it through.

  What is the estimated floor price

What is the estimated floor price of the convertible at the end of Year 3 if the required rate of return on a similar straight-debt issue is 9.5%?

  Calculate the best-case and worst-case npv figures

Suppose the projections given for price, quantity, variable costs, and fixed costs are all accurate to within ±10 percent.

  Develop a set of family circumstances

Develop a set of family circumstances where each of term insurance and whole life insurance are the most appropriate type of policy to meet the consumer's needs. Explain why a whole life insurance policy requires a larger premium than a term insur..

  Calculate the net roi and eva

The Modern Language Corporation earned $1.6 million on net assets of $20 million

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