What is the yield to maturity on treasury bond

Assignment Help Financial Management
Reference no: EM131954734

1. You have been told that the yield on a particular 10yr bond is 2.5%. This bond pays an 3.5% coupon with semi-annual compounding (i.e., it is a US Treasury bond). What will its price be?

2. Rounded to two decimal places (e.g. x.xx%), what is the yield to maturity on a 30 year US Treasury bond with a 3% coupon and a market price of 93.41? [HINT: if you don’t have a financial calculator, you will have to use trial and error to solve this.]

3. Exactly one year ago you borrowed $300,000 to finance the purchase of an investment property via a 30 year 3.9% mortgage. Interest compounds monthly, and you make monthly payments on the mortgage. (i) To the nearest dollar, what are the montly payments? (ii) To the nearest dollar, how much do you now owe the lender? In other words, what is the current principal balance on the loan? What is the interest component that you have paid to the bank so far (i.e., over the one year life of the loan to date)?

4. The 5.75% coupon, 10-yr US Treasury bond is priced at 100.83, with a yield of 5.64%. (i) Its DV01 (dollar duration) is 8.00. If its yield moves instantaneously to 5.69%, what will its price be (as estimated using DV01)? (ii) What is its “real” new price (using the price-yield formula)?

Reference no: EM131954734

Questions Cloud

Calculate the npv of the project using the apv method : Calculate the NPV of the project using the APV method. Should Carolyn take on the project?
Gift is gift to skip person : Which of the following gift is a gift to a skip person?
For purposes of determining the marital deduction : For purposes of determining the marital deduction, the total value of the property passing to the surviving spouse must be reduced by:
What is the excpected value for the two options : If they don't repair and update the bridge there is a 5% chance it will fail in then next 20 years. What is the ecxpected value for the two options?
What is the yield to maturity on treasury bond : what is the yield to maturity on a 30 year US Treasury bond with a 3% coupon and a market price of 93.41?
What will be the company return on equity : Under these conditions, the tax rate will be 40%. If the changes are made, what will be the company's return on equity?
Find the present value of the ordinary annuities : Find the present value of the following ordinary annuities:
What is times-interest-earned ratio : Its basic earning power (BEP) ratio is 11%, and its return on assets (ROA) is 5%. What is MPI's times-interest-earned (TIE) ratio?
Ratio calculations and tie and roic ratios : What are its TIE ratio and its return on invested capital (ROIC)? What is its times-interest-earned (TIE) ratio?

Reviews

Write a Review

Financial Management Questions & Answers

  Determine the implied repo rate on the spread

On March 16, the June T-bond futures contract was priced at 100 17/32 and the September contract was at 99 17/32. Determine the implied repo rate on the spread.

  Appreciation or depreciation rate for each currency

If we are comparing the U.S. dollar to the euro, and the euro increased in value from $1.35 to $1.45, what happened to the two currencies? Show the appreciation or depreciation rate for each currency.

  Compute expected share price of using price ratio analysis

Given the information below for StartUp.Com, compute the expected share price at the end of 2014 using price ratio analysis.

  What is the current share price

Leisure Lodge Corporation is expected to pay the following dividends over the next four years: $21, $15, $5.8 and $3. Afterwards, the company pledges to maintain a constant 3 percent growth rate in dividends forever. If the required return on the sto..

  What are the break-even levels of ebit for each plan

what are the break-even levels of EBIT for each plan as compared to that for an all-equity plan?

  Firms cost of equity using each of these three approaches

Barton Industries estimates its cost of common equity by using three approaches: the CAPM, the bond-yield-plus-risk-premium approach, and the DCF model. Barton expects next year's annual dividend, D1, to be $1.80 and it expects dividends to grow at a..

  Bonds on the market making annual payments

Kiss the Sky Enterprises has bonds on the market making annual payments, with 13 years to maturity,

  Sensitivity-risk-bias and ethics in capital budgeting

Investment projects should never be selected through purely mechanical processes. Calculate the project's NPV for the best-case scenario.

  What is the firm market-to-book ratio

The company has 9.42 million shares outstanding. What is the firm's market-to-book ratio?

  What is the market price per bond if the face value

The bonds mature in 10 years. What is the market price per bond if the face value is $1,000?

  How can a company set a hurdle rate

what shoes a hurdle rate be based on I.e. how can a company set a hurdle rate?

  What is the difference in net present values

What is the difference in net present values if Nautical Creations buys the new equipment instead of keeping their current equipment?

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