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Determinants of Interest Rate for Individual Securities You are considering an investment in 30-year bonds issued by a corporation. The bonds have no special covenants. The Wall Street Journal reports that 1-year T-bills are currently earning 3.90 percent. Your broker has determined the following information about economic activity and the corporation bonds:
Real interest rate = 3.20%
Default risk premium = 3.15%
Liquidity risk premium = 1.40%
Maturity risk premium = 2.90%
What is the inflation premium? What is the fair interest rate on the corporation's 30-year bonds?
Mutual Fund “A” which pays 6.12% compounded monthly. Money Market “B” which pays 6.00% compounded quarterly
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Ethier Enterprise has an unlevered beta of 1.3. Ethier is financed with 35% debt and has a levered beta of 1.5. If the risk free rate is 6.5% and the market risk premium is 5%, how much is the additional premium that Ethier's shareholders require to ..
In an efficient market, the price of a security will:
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Calculate the incremental free cash flow for the well using the following additional assumptions:
Huit Industries common stock has an expected return of 11.4 and a beta of 1.2. If the expected risk free return is 3%. What is the expected return for the market (round your answer to the nearest .1%)
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