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FV | $1,000 |
PMT | $30 |
N | 12 |
PV | -$980 |
what is the yield to maturity rate? use a financial calculator
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- Sheet 5 Use Sheet 5 to complete the following Date AMZN Return BAC Return Market Return Risk-Free Return AMZN Excess Return* BAC Excess Return* Market Excess Return* 3/1/2017 0.05 -0.04 0.04 0.0050 0.04 -0.05 0.03 4/1/2017 0.04 -0.01 0.00 0.0050 0.04 -0.02 -0.01 5/1/2017 0.08 -0.04 0.01 0.0050 0.07 -0.04 0.00 6/1/2017 -0.03 0.08 0.01 0.0050 -0.03 0.08 0.01 7/1/2017 0.02 -0.01 0.00 0.0050 0.02 -0.01 0.00 8/1/2017 -0.01 -0.01 0.02 0.0050 -0.01 -0.01 0.01 9/1/2017 -0.02 0.06 0.00 0.0050 -0.02 0.06 0.00 10/1/2017 0.15 0.08 0.02 0.0050 0.14 0.08 0.01 11/1/2017 0.06 0.03 0.02 0.0050 0.06 0.02 0.02 12/1/2017 -0.01 0.05 0.03 0.0050 -0.01 0.04 0.02 1/1/2018 0.24 0.08 0.01 0.0050 0.24 0.08 0.00 2/1/2018 0.04 0.00 0.06 0.0050 0.04 0.00 0.05…F.v= 20,000 P.V= 16,000 n= 3 i= ? Use present and future value formula and find out interest rate.use attachment to answer questions This question relates to Diagram 1 from the 9.4 diagrams, which shows the Security Market Line. What is the expected return on the market? Select one: a. 20% b. 10% c. 15% d. 5%
- Interest rates or discount rates. Fill in the interest rates for the following table using one of the three methods below: a. Use the interest rate formula, r=FVPV1n−1. b. Use the TVM keys from a calculator. c. Use the TVM function in a spreadsheet. Present Value Future Value Number of Periods Interest Rate $ 493.61 $ 1,902.61 20 ? $17,077.77 $228,416.84 32 ? $34,251.51 $ 63,755.61 24 ? $26,813.61 $212,279.67 10 ? Present Value Future Value Number of Periods Interest Rate $ 493.61 $ 1,902.61 20 nothing% (Round to two decimal places.) $17,077.77 $228,416.84 32 nothing% (Round to two decimal places.) $34,251.51 $ 63,755.61 24 nothing% (Round to two decimal places.) $26,813.61 $212,279.67 10 nothing% (Round to two decimal places.)What is the result in B12? A 1 Settlement Date 2 Maturity Date 3 First Call Date 4 Time to Maturity (Years) 5 Coupon Rate 6 Required Return 7 Frequency 8 9 10 Basis 11 Value 12 Yield to Call 12 Face Value Call Price O a. 7.39% O b. 12.68% O c. 10.05% O d. 5.58% B 10/23/2020 10/23/2030 10/23/2025 $ $ 10 7.00% 10.00% 2 1,000 1,035 0 $813.07 ?What would you expect the nominal rate of interest to be if the real rate is 4.2 percent and the expected inflation rate is 6.6 percent? Question content area bottom Part 1 The nominal rate of interest would be enter your response here%.
- Sheet 5 Use Sheet 5 to complete the following Date GOOG Return NFLX Return Market Return Risk-Free Return GOOG Excess Return* NFLX Excess Return* Market Excess Return* 3/1/2017 0.7700 4.0000 3.7200 0.0050 0.2700 3.5000 3.2200 4/1/2017 9.2100 2.9700 -0.0400 0.0050 8.7100 2.4700 -0.5400 5/1/2017 6.5000 7.1400 0.9100 0.0050 6.0000 6.6400 0.4100 6/1/2017 -5.8200 -8.3800 1.1600 0.0050 -6.3200 -8.8800 0.6600 7/1/2017 2.4000 21.5800 0.4800 0.0050 1.9000 21.0800 -0.0200 8/1/2017 0.9500 -3.8300 1.9300 0.0050 0.4500 -4.3300 1.4300 9/1/2017 2.1100 3.8000 0.0500 0.0050 1.6100 3.3000 -0.4500 10/1/2017 6.0000 8.3200 1.9300 0.0050 5.5000 7.8200 1.4300 11/1/2017 0.4700 -4.5100 2.2200 0.0050 -0.0300 -5.0100 1.7200 12/1/2017 2.4500 2.3400 2.8100 0.0050 1.9500 1.8400 2.3100 1/1/2018 11.8100 40.8100 0.9800 0.0050 11.3100 40.3100 0.4800 2/1/2018 -5.5700 7.8000 5.6200 0.0050 -6.0700 7.3000 5.1200 3/1/2018 -6.6000 1.3600 -3.8900 0.0050 -7.1000 0.8600…use attachment to answer question This question relates to Diagram 1 from the Quiz 9.4 diagrams, which shows the Security Market Line. What is the expected return on the market? Select one: a. 20% b. 10% c. 15% d. 5%Future values. Fill in the future values for the following table, using one of the three methods below a. Use the future value formula, FV= PVx(1+ b. Use the TVM keys from a calculator c. Use the TVM function in a spreadsheet Present Value $ 222.00 Interest Rate Number of Periods Future Value 3% $5.39 (Round to the nearest cent)
- Given the following, construct a choice table for interest rates from 0% to 100%. Year X Y 0 −$10 −$20 1 15 28QUESTION 1 Find the missing data Coupon Rate Maturity Date Settlement Date Price Yield 3.75% 3/28/2028 9/27/2023 3.6750%What is the interest rate “r” if PV=$1250 and the FV=$2150 in year t=10?