What is the annual coupon rate

Assignment Help Finance Basics
Reference no: EM13289357

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.)

Answer

7.0%

8.25%

9.0%

10.5%

 

Reference no: EM13289357

Questions Cloud

Calculate the final pressure and temperature : As a 1.00 mol sample of a monatomic ideal gas expands adiabatically, the work done on it is -2500 J. Calculate the final pressure and temperature
Calculate the percentage change in the u.s. national debt : Calculate the percentage change in the U.S. national debt since August 22, 2007 and analyze the figures.
What is the surface charge density sigma prime : Fixed in the frame F is a sheet of charge, of uniform surface density sigma, which bisects the dihedral angle formed by the x-y and the y-z planes. What is the surface charge density sigma prime
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. (..

Reviews

Write a Review

Finance Basics Questions & Answers

  Currencies of industrialized countries

Why do you think the bid/ask spread is higher for pesos than it is for currencies of industrialized countries. Elucidate how does this affect a U.S. firm which does substantial business in Mexico.

  Calculate the firms sales and roa

Grossman Enterprises has an equity multiplier of 2.31 times, total assets of $2,014,436, an ROE of 16.50 percent, and a total assets turnover of 2.41 times. Calculate the firm's sales and ROA.

  What is a way to keep managers accountable

What is a way to keep managers accountable for their capital budgeting forecasts and estimates?

  What is the yield to maturity on these bonds

Task Oriental Corporation's bonds make an annual coupon interest payment of 7.35%. The bonds have a par value of $1,000, a current price of $1,130, and mature in 12 years.

  Determination of stock price

An investment advisor forecasts yearly dividends for Safe Energy Corporation as given below. If the stock can be presently purchased for $50.00,

  What are operating profits and invested capital expected

what are operating profits and invested capital expected to be next year? What are two critical operating assumptions (identify one for profits, and one for capital) embedded in this forecast method?

  Determine the payback period for the project

A project requires an initial outlay of $100,000, and is expected to generate annual net cash inflows of $28,000 for the next 5 years. Determine the payback period for the project.

  What is the beta of stock b

Your portfolio has a beta of 1.48. The portfolio consists of 15 percent U.S. Treasury bills, 32 percent stock A, and 53 percent stock B. Stock A has a risk level equivalent to that of the overall market. What is the beta of stock B?

  Electronics is a midsized electronics manufacturer

MT 217 Electronics is a midsized electronics manufacturer located in Melbourne, Florida. The company president is Sherry Jones. When it was founded over 70 years ago, the company originally repaired radios and other household appliances. Over the ..

  Comparing different capital structures

The Corporation is planning two different capital structures. Plan 1 would result in 2,000 shares of stock and $40,000 in debt and plan 2 would result in 4,000 shares of stock and $20,000 in debt. The interest rate is 10%.

  Guidance for non-profit organizations

Determine which of the following would not be an important factor in understanding an entity's industry, regulatory environment and other external factors.

  Interest accrues during nine months

How much interest accrues during nine months in which you have short position.

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