Abvout the real risk-free rate

Assignment Help Financial Management
Reference no: EM131130349

Real Risk-Free Rate

You read in The Wall Street Journal that 30-day T-bills are currently yielding 4.5%. Your brother-in-law, a broker at Safe and Sound Securities, has given you the following estimates of current interest rate premiums:

Inflation premium = 3%

Liquidity premium = 0.6%

Maturity risk premium = 1.55%

Default risk premium = 2.6%

On the basis of these data, what is the real risk-free rate of return? Round your answer to two decimal places.

%

Reference no: EM131130349

Questions Cloud

Standard bent glass wanted to buy a machine for its factory : Standard Bent Glass wanted to buy a machine for its factory that would produce cut glass. In March 1998, it started negotiations with Glass robots Oy, a Finnish corporation. By February 1999, negotiations had reached a critical juncture. On Februa..
About the expectations theory : Interest rates on 4-year Treasury securities are currently 6.7%, while 6-year Treasury securities yield 7.4%. If the pure expectations theory is correct, what does the market believe that 2-year securities will be yielding 4 years from now? Calculate..
Indicate the amount of mortgage note payable : Indicate the amount of mortgage note payable to be reported as a current liability and as a long-term liability at December 31, 2010.
Who are the key stakeholders in this case : What actions should Mothers Work, Inc. take? What messages should the company send to the public? Who is Mothers Work target audience?
Abvout the real risk-free rate : You read in The Wall Street Journal that 30-day T-bills are currently yielding 4.5%. Your brother-in-law, a broker at Safe and Sound Securities, has given you the following estimates of current interest rate premiums: On the basis of these data, what..
How to manage our every day stress : When I am under stress, I always feel my heart beating. We should definitely learn how to manage our every day stress.
A calendar-year, cash- method taxpayer : Ralph owns a building that he is trying to lease. Ralph is a calendar-year, cash- method taxpayer and is trying to evaluate the tax consequences of three differ- ent lease arrangements.
Explain the results of these more recent empirical tests : What general conclusion can be reached with respect to the utility and acceptance of the H-O model?
What protections does the law provide for employees : What are employers' responsibilities under the law? What protections does the law provide for employees?

Reviews

Write a Review

Financial Management Questions & Answers

  Exchange rate be in order to prevent triangular arbitrage

Assume that one U.S. dollar buys 115 Japanese Yen, and one U.S. dollar buys 0.54 Pound Sterling. What must the dollar – pound exchange rate be in order to prevent triangular arbitrage (ignore transaction costs)?

  Affect the value of a foreign currency

Given the factors that affect the value of a foreign currency, describe the type of economic or other conditions in Mexico that could cause the Mexican peso to weaken, and therefore to adversely affect your business.

  Use nonconvertible preferred stock extensively

_____use nonconvertible preferred stock extensively as a means of long-term financing.

  An investor has researched financial information

An investor has researched financial information for Dixie Chicken Corporation over the past three years. He has provided you a report with the returns for the company. YEAR RETURN 2011 4.52% 2012 6.13% 2013 14.88% The investor put $800.00 into Dixie..

  Bond equivalent and effective annual yield to maturity bond

A 25-year maturity bond with par value $1,000 makes semi-annual coupon payments at a coupon rate of 8%. Find the bond equivalent and effective annual yield to maturity of the bond if the bond price is $960.

  How expensive a home mortgage can you afford

Suppose you have budgeted $ 1175 a month towards a mortgage. If you are offered a 30 year mortgage at an interest rate of 7.5%, how expensive a home mortgage can you afford?

  What is the profitability index for above set of cash flow

What is the profitability index for the above set of cash flows if the relevant discount rate is 8 percent?  What is the profitability index if the discount rate is 13 percent?

  What must the coupon rate be on these bonds

Coupon rate. mike corp has bonds on the market with 13.5 years to maturity, a YTM OF 7.3 PERCENT, , and a current price of $1,080 The bond make semi annual payments. What must the coupon rate be on these bonds. Please explain using a TI BA II PLUS

  Bonds have six years remaining to maturity

The Brownstone Corporation's bonds have 6 years remaining to maturity. Interest is paid annually, the bonds have a $1,000 par value, and the coupon interest rate is 9%. What is the yield to maturity at a current market price of $803?

  Calculate the discount yield and bond equivalent yield

You can buy commercial paper of a major U.S. corporation for S985,000. The paper has a face value of SI,000,000 and is 215 days from maturity. Calculate the discount yield and bond equivalent yield on the commercial paper.

  What is the pre-tax cost of debt

Aspen's Distributors has a cost of equity of 13.84% and an unlevered cost of capital of 12%. The company has $5,000 in debt that is selling at par value. The levered value of the firm is $12,000 and the tax rate is 34%. What is the pre-tax cost of de..

  Market risk premium-reward-to-risk ratios

Stock Y has a beta of 1.4 and an expected return of 15.3 percent. Stock Z has a beta of .6 and an expected return of 8.3 percent. If the risk-free rate is 5.4 percent and the market risk premium is 6.4 percent, the reward-to-risk ratios for stocks Y ..

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