Determine how annualized yield of a t-bill would be affected

Assignment Help Finance Basics
Reference no: EM131027798

Part 1

1. T-Bill Yield Assume an investor purchased a six month T-bill with a $10,000 par value for $9,000 and sold it 90 days later for $9,100. What is the yield?

2. Repurchase Agreement Stanford Corporation arranged a repurchase agreement in which it purchased securities for $4.9 million and will sell the securities back for $5 million in 40 days. What is the yield (or repo rate) to Stanford Corporation?
8. Effective Yield A U.S. investor obtains British pounds when the pound is worth $1.50 and invests in a one-year money market security that provides a yield of 5 percent (in pounds). At the end of one year, the investor converts the proceeds from the investment back to dollars at the prevailing spot rate of $1.52 per pound. Calculate the effective yield.

3. T-Bill Yield

a. Determine how the annualized yield of a T-bill would be affected if the purchase price were lower. Explain the logic of this relationship.

b. Determine how the annualized yield of a T-bill would be affected if the selling price were lower. Explain the logic of this relationship.

c. Determine how the annualized yield of a T-bill would be affected if the number of days were reduced, holding the purchase price and selling price constant. Explain the logic of this relationship.

Part 2

1. Global Interaction of Bond Yields: If bond yields in Japan rise, how might U.S. bond yields are affected? Why?

2. Impact of Credit Crisis on Junk Bonds Explain how the credit crisis affected the default rates of junk bonds and the risk premiums offered on newly issued junk bonds.

Part 3

1. Bond Valuation Assume the following information for an existing bond that provides annual coupon payments: Par value = $1,000 Coupon rate = 11% Maturity = 4 years Required rate of return by investors = 11%

a. What is the present value of the bond?
b. If the required rate of return by investors were 14 percent instead of 11 percent, what would be the present value of the bond?
c. If the required rate of return by investors were 9 percent, what would be the present value of the bond?

2. Bond Value Sensitivity to Exchange Rates and Interest Rates Cardinal Company, a U.S.-based insurance company, considers purchasing bonds denominated in Canadian dollars, with a maturity of six years, a par value of C$50 million, and a coupon rate of 12 percent. Cardinal can purchase the bonds at par. The current exchange rate of the Canadian dollar is $0.80. Cardinal expects that the required return by Canadian investors on these bonds four years from now will be 9 percent. If Cardinal purchases the bonds, it will sell them in the Canadian secondary market four years from now. It forecasts the exchange rates as follows:

YEAR

EXCHANGE RATE OF C$

YEAR

EXCHANGE RATE OF C$

1

$0.80

4

$0.72

2

0.77

5

0.68

3

0.74

6

0.66

a. Refer to earlier examples in this Part to determine the expected U.S. dollar cash flows to Cardinal over the next four years. Determine the present value of a bond.
b. Does Cardinal expect to be favorably or adversely affected by the interest rate risk? Explain.
c. Does Cardinal expect to be favorably or adversely affected by exchange rate risk? Explain.

Part 4

1. Mortgage Rates and Risk: What is the general relationship between mortgage rates and long-term government security rates? Explain how mortgage lenders can be affected by interest rate movements. Also explain how they can insulate against interest rate movements.

2. Mortgage Maturities: Why is the 15-year mortgage attractive to homeowners? Is the interest rate risk to the financial institution higher for a 15-year or a 30- year mortgage? Why?

Reference no: EM131027798

Questions Cloud

Find greatest common divisor of f(x) and g(x) : If f(x) = x^5 + 2x^3 + x^2 + 2x + 3, g(x) = x^4 + x^3 + 4x^2 + 3x + 3, then find greatest common divisor of f(x) and g(x) over the field of residue classes modulo 5 and express it in the form
Identify seven different types of ambulatory care settings : Identify seven different types of ambulatory care settings and describe what they do, why ambulatory care makes sense in today's healthcare environment, and compare and contrast free-standing versus hospital-based settings
What is the resulting increase in the speed of the flatcar : A man (weighing 915 N) stands on a long railroad flatcar (weighing3270N) as it rolls at 16.0 m/s in the positive direction of anxaxis, with negligible friction. Then the man runs along the flatcar in the negativexdirection at 37.00 m/s relative to..
The data mining process is to define the target variable : MTC (MegaTelCo) has decided to use supervised learning to address its problem of churn in its wireless phone business. As a consultant to MTC, you realize that a main task in the business understanding/data understanding phases of the data mining pro..
Determine how annualized yield of a t-bill would be affected : Determine how the annualized yield of a T-bill would be affected if the purchase price were lower. Explain the logic of this relationship.
Heard the term knowledge management : Recently, they heard the term "knowledge management" and are curious where they might purchase this "technology." You know, of course, that knowledge management is a business process, not a technology. How might you describe the difference to your co..
What method did the authors use in collecting data : What method did the authors use in collecting data to answer their research questions? (e.g., Experimentation? Sample survey? Self-Report? Secondary data analysis? Content analysis? ) Give a brief description. Do NOT describe sampling issues
Foster temporary loyalty : What steps could you take at your company to foster “temporary loyalty” from the independent gaming programmers you frequently hire for short duration (one to six months)?
Personal or business context : Relationships take time, and if you want them to succeed in a personal or business context, you have to make them a priority.

Reviews

Write a Review

Finance Basics Questions & Answers

  Metallica bearings inc is a young start-up company no

metallica bearings inc. is a young start-up company. no dividends will be paid on the stock over the next nine years

  A share of stock is now selling for 130 it will pay a

a share of stock is now selling for 130. it will pay a dividend of 6 per share at the end of the year. its beta is 1.

  If the tax rate is 40 percent what is the aftertax salvage

an asset used in a four-year project falls in the five-year macrs class macrs table for tax purposes. the asset has an

  How many more payments would we need to give

Furthermore, if we had enough after 3 years, how much do we need to give the lender to amortize? If we gave the lender 2,000 in addition to our regular amount after 4 years, how many more payments would we need to give?

  What are the elements of a strategic staffing diagnostic

What are the elements of a strategic staffing diagnostic model? That is, a structured approach to determining where the personnel needs of the organization exist?

  Calculating short-term liquidity with current ratio

Which company has the strongest short-term liquidity as measured by the current ratio? Which company is NOT able to pay off all current liabilities at this time?

  Project acquisition management

What are Key Performance Parameters (KPP) and why are they necessary to be stated in the acquisition process? What are the four componets of Net-Ready Key Performance Parameter (NR-KPP)?

  On july 1 of current year unrestricted partnership interest

thomas and richard formed the happy go lucky partnership four years ago. because they decided the company needed some

  What should the management do when evaluating the project

what should the management do when evaluating this project. United Fried Co. is considering investing in a project in which the risk is greater than the firm's current risk based on any method for assessing risk

  The asset will be depreciated on a straight line basis to

blain corporation is considering the purchase of a machine which has an expected 8 year life and costs 20000. the

  Oklahoma instruments oi is considering a project called

real option excel problem oklahoma instruments oi is considering a project called f-200 that has an up-front cost of

  What is the break-even point in units

Florida. Stan sells his cans for $8 a piece and they have a variable cost of $2.40 a piece. Stan's tax rate is currently 34%.

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