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What are different types of securitization? How have they changed the models of finance companies?
The total reserves are $50 million and current reserve requirement is 7% reserve. If the Fed decreases reserve requirements by 1% then what will be the total deposits in long run?
here is the following extension of the three date diamond-dybvig model agents can invest in following three possible
What is the primary purpose of a stock split? Explain how shareholders can avoid earnings per share di- lution from common stock issuances?
Compute the duration for bond C, and rank the bonds of their price volatility. The current rate of interest is 8%, so the prices of bonds A and B are 1000dollars and 1268dollars respectively.Bond A Bond B Bond C
Assuming interest and dividends are paid annually, calculate the annual holding period return on each security. During the year, management of Stock 2 spent $10 million, or $0.50 a share, repurchasing 7.7 million of the company's shares.
what are the two definitions of cash and why do corporate treasurers often use the second
Assume capital markets are perfect. Kay Industries currently has $100 million invested in short term Treasury securities paying 7%, and it pays out the interest payments on these securities each year as a dividend.
warr corporation just paid a dividend of 1.50 per share d0 1.50. is projected to increase 5 annually over the next 3
Assuming that the S&P 500 had simply continued to earn the average return from (a),calculate the amount that $100 invested at the end of 1925 would have grown to by the end of 2008.
Computation of the future contracts and the margin money and how much money will be required for margin account
Assuming that interest rated in the economy are expected to remain at their current level, what is the best estimate of the nominal interest rate on new bonds?
explain why a 6-month treasury bill rate is not an appropriate riskless rate in discounting a five-year cash
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