Calculate the maturity risk premium on the 2-year treasury

Assignment Help Finance Basics
Reference no: EM13289354

A 2-year Treasury security currently earns 1.77 percent. Over the next two years, the real interest rate is expected to be 1.00 percent per year and the inflation premium is expected to be 0.30 percent per year. Calculate the maturity risk premium on the 2-year Treasury security.

Reference no: EM13289354

Questions Cloud

What must be the price at which the bond was sold : You determine that the investor's annual rate of return for the year was 2.44%. What must be the price at which the bond was sold?
What is the annual coupon rate : What is the annual coupon rate for a $1000 face value bond with two years until maturity and a price of $1,026.39, if the appropriate discount rate is 9% per year? (You may assume that the next coupon payment is due one year from now.)
Determine the frequency of oscillation in the ruler : A ruler of mass m = 75g and L=3.0meters is placed so that it is exactly balanced across two spinning cylinders a distance d = 1.0meters apart. What is the frequency of oscillation in the ruler
Calculate the default risk premium : Nikki G's Corporation's 10-year bonds are currently yielding a return of 6.50 percent. The expected inflation premium is 1.20 percent annually and the real interest rate is expected to be 3.00 percent annually over the next ten years.
Calculate the maturity risk premium on the 2-year treasury : Over the next two years, the real interest rate is expected to be 1.00 percent per year and the inflation premium is expected to be 0.30 percent per year. Calculate the maturity risk premium on the 2-year Treasury security.
Motive for risk management is identification of opportunitie : Discuss why a key motive for risk management is the identification of opportunities. Give at least one example from your assigned articles and/or textbook readings and one personal example and describe how such opportunity could be capitalize upon. (..
What required reserves ratio is implied : A new bank has vault cash of $1 million and $5 million in deposits held at its Federal Reserve District Bank.
Find how much exhaust heat is discharged per hour : A nuclear power plant operates at 80% of its maximum theoretical (Carnot) efficiency between temperatures of 700°, how much exhaust heat is discharged per hour
Should the firm lease or borrow and buy the equipment : The firm will depreciate the equipment it purchases under the purchase option starting in Year 3, using the MACRS 3-year class schedule. Depreciation will begin in the year in which the equipment is purchased, which is Year 3.

Reviews

Write a Review

Finance Basics Questions & Answers

  Find the npv

Machine used has a 3 year tax life, depreciated by the straight line method over the 3 year life and would have zero salvage value, no new capital required.

  Key financial information

Determine what type of key financial data are available at the page you entered? Write one paragraphs describing what information can be obtained under each "hot link".

  What is the offering price

An open end fund has a NAV of $15.50 per share. The fund charges a 6% load. What is the offering price.

  Calculate trade and cash discounts

Use the Library to go to the SBA US Government, Small Business Administration web site. There is a vast amount of information available on this site.

  Explain gold standard

Describe the gold standard and address the functions of world's major foreign currency exchange markets.

  Steelcase-analysis of deferred taxes-defined benefit plan

The objective is to analyze the financial statements of a publicly traded company: STEELCASE (name of company). Obtain an annual report from a publicly traded corporation. Be sure that the company has deferred taxes, a retirement plan, share-based ..

  What is the sharpe ratio

A portfolio has a beta of 1.23 and a standard deviation of 11.6 percent. What is the Sharpe ratio if the market return is 12.4 percent and the market risk premium is 7.9 percent?

  Describe the term efficient market

Carefully describe what is meant by the term efficient market. Art there different levels of market efficiency discuss those levels?

  Microsoft motives for accumulating and holding cash

What are the business motives for holding cash in general? Of these motives, which one is most likely driving Microsoft's accumulation of cash? Explain your answer in detail.

  Inefficiencies of market

Suppose your uncle made a killing in the stock market yesterday. This implies that markets are inefficient. Determine the correct answer.

  Future growth

You are an analyst in charge of valuing common stocks. You are expected to give a buy-hold-sell recommendation for DEF, a pharmaceutical company specializing in anti-inflammatory drugs. Observing the current market trends, you expect future growth in..

  Variability of the returns

If variability of the returns on big corporation stocks were to rise over the long term you would expect which of the following to occur as a result.

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