Suppose that the risk-free interest rate

Assignment Help Financial Management
Reference no: EM131013494

Suppose that the risk-free interest rate is 10% per annum with continuous compounding and that the dividend yield on a stock index is 4% per annum. The index is standing at 400, and the futures price for a contract deliverable in four months is 405. What arbitrage opportunities does this create? How do I input data into the calculator once the equation is set up to get the futures price?

Reference no: EM131013494

Questions Cloud

Calculate the true anomaly : An earth satellite has a speed of 7.5 km/s and a flight path angle of 100 when its radius is 8000 km. Calculate the true anomaly (degrees).
The irs adjustment caused a tax deficiency : Samual was allowed a miscellaneous intemized deduction (subject to the 2% floor) for the fee paid to the attorney. The IRS adjustment caused a tax deficiency to be assessed for both the regular income tax and the AMT.
What were the reasons for change : Find a recent news article about an organization that changed its marketing strategy. What were the reasons for change
What drives customer satisfaction and business performance : What drives customer satisfaction and business performance at the National Choice Bank - what recommendations would you give the National Choice Bank to help improve its performance?
Suppose that the risk-free interest rate : Suppose that the risk-free interest rate is 10% per annum with continuous compounding and that the dividend yield on a stock index is 4% per annum. The index is standing at 400, and the futures price for a contract deliverable in four months is 405. ..
Create a process map for the wholesale large format : Value Stream Analysis: Create a process map for the Wholesale Large Format Printing using BPMN notation. Perform analysis of each step/activity and label as: Value-Added (VA), Non-Value Added (NVA), Necessary-Non-Value Added (NNVA)
Calculate the eccentricity of its orbit : A satellite in polar orbit around the earth comes within 200 km of the North Pole at its point of closest approach. If the satellite passes over the pole once every 100 min, calculate the eccentricity of its orbit.
Obtain a parametrization of the curve : Obtain a parametrization of the curve C and use your result to evaluate surface∫c F · dr. Use Stokes' theorem to evaluate surface∫c F · dr.
Determine angular velocity required for d to remain constant : Consider the motion of any one of the particles about the system center of mass G and, using G as the origin of the inertial frame, employ Newton's second law to determine the angular velocity u required for d to remain constant.

Reviews

Write a Review

Financial Management Questions & Answers

  What is its future value and present value

Present and Future Value of an Uneven Cash Flow Stream An investment will pay $200 at the end of each of the next 3 years, $400 at the end of Year 4, $500 at the end of Year 5, and $700 at the end of Year 6. If other investments of equal risk earn 12..

  What is the annual value of the depreciation tax shield

Corner Market is considering adding a new product line that is expected to increase annual sales by $418,000 and cash expenses by $337,000. The initial investment will require $237,000 in fixed assets that will be depreciated using the straight-line ..

  Annual interest rates consider the effect of interest earned

Annual interest rates consider the effect of interest earned on reinvested interest payments: When comparing loans, you should compare the effective annual rates: Annual and effective interest rates are equal when interest is compounded annually:

  How much does jack pay for the loan

Manny borrows 8600 dollars from Moe at an effective rate of 5.3 percent, and agrees to make 10 equal annual payments (the first a year from now) to repay the loan. Immediately after Manny makes the third payment, Moe sells the loan to Jack at a price..

  About after-tax return on their investment

Municipal bonds are usually tax-free. Since investor’s car about after-tax return on their investment, these bonds have higher yield than bonds whose interest rate payments are taxable. Investors demand compensation for default risk in the form of ri..

  The relationship between discounting and compounding

Your task this week is to teach Grammy and the board the time value of money and its related concepts. She would like you to address several specific questions to demonstrate the use of time value of money techniques. What is the relationship between..

  The firm will not be issuing any new common stock

You were hired as a consultant to Quigley Company, whose target capital structure is 35% debt, 10% preferred, and 55% common equity. The interest rate on new debt is 6.50%, the yield on the preferred is 6.00%, the cost of common from retained earning..

  Risk and return-coefficient of variation

Risk and Return, Coefficient of Variation. Based on the following information, calculate the coefficient of variation and select the best investment based on the risk/reward relationship: Std Dev. Exp. Return Company A 10.4 13.2 Company B 7.6 8.7

  Calculate the present value of this investment

Cash flows from a new factory are expected to be $3,000,000 per year, every year for the next ten (10) years. If investor's use 6.25% as the discount rate, calculate the present value of this investment.

  Expected return and standard deviation of portfolio

You manage a risky fund with expected return of 18% and standard deviation of 28%. The T-Bill rate is 8%. Your client invests 70% in your risky fund and 30% in T-Bills. What is the expected return and standard deviation of your client’s portfolio? Wh..

  Firm reduced its net working capital investment

The 2014 balance sheet of Sugarpova's Tennis Shop, Inc., showed long-term debt of $5.5 million, and the 2015 balance sheet showed long-term debt of $5.7 million. The 2015 income statement showed an interest expense of $180,000. Suppose you also know ..

  About establishing a credit line facility

You recently approached your bank about establishing a credit line facility. The terms offered by your bank include a nominal rate of prime + 1.5% (prime is currently 5%) on the amount borrowed, a commitment fee of 25 basis points on the unused porti..

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