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Nikki G's Corporation's 10-year bonds are currently yielding a return of 7.05 percent. The expected inflation premium is 1.10 percent annually and the real risk-free rate is expected to be 2.10 percent annually over the next ten years. The liquidity risk premium on Nikki G's bonds is 0.25 percent. The maturity risk premium is 0.40 percent on 2-year securities and increases by 0.07 percent for each additional year to maturity. Calculate the default risk premium on Nikki G's 10-year bonds. (Round your answer to 2 decimal places.)
When Susan considers the effect of this change in risk premium, what will determine the new rK to be?
what are some factors a manager should consider when establishing his or her firms target capital
consider the following condensed income statement2004sales 8000000cogs 6500000gross profit 1500000sales growth in 2005
"Variance Analysis" propose at least two actions a budget analyst can take to avoid assumptions in budget items to avoid overlooking favorable or adverse line items in the budget. Provide examples to justify your response.
directions the current exchange rate between japan and u.k. is one british pound equals 150 japanese yen. the one year
A company has paid the following annual dividends: 0.21, 0.23, 0.24, 0.26, 0.27, 0.29, 0.31, 0.33, 0.36, 0.39, 0.42, 0.48. Based on these historical dividend payments, what growth rate should be used in a stock pricing model?
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Would you expect share you select to affect return that you earn on your portfolio. Go through the method of working out why C is the best option for portfolio.
Two mortgage options are available: a 30-year fixed-rate loan at 6% with no discount points, and a 30-year fixed-rate loan at 5.75% with 1 discount point. How long do you have to stay in the house for the mortgage with points to be a better option? A..
Tax rate was= 36.6%. Determine the amount of costs acquired by firm for last year?
Suppose are running a study/poll about the probability of a true negative on a test for a certain cancer. You randomly sample 140 people and find that 70 of them match the condition you are testing.
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?
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