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Spot USDJPY is trading at 113.15 and the 3
month forward points are -22. The
exchange rate for the long leg of a 3
month swap is
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Solved in 2 steps
- The following are the spot and the swap forward rates of the ZAR/EUR Spot 15.7500–15.9500 One-month 400–205 This means that the rand is selling at a forward discount. the rand is selling at a forward premium. the euro dollar is selling at a forward discount. Both b) and c) after allowing for transaction costs, both currencies sell at par.1. The spot market quotes the exchange rate of the GHS to a CADS as GHS 3.562 while the 90-day forward quotes it at GH3.425. Required: Calculate the annualized forward premium or discount. 2. Suppose bid price for £=GHS6.27, ask price = GHS6.316. Required: Calculate the bid/ask spread.If spot AUD/USD = 0.7351, 255 day interest rates are : AUD = 2%, USD = 2.9%, the implied 255 day AUD/USD FX swap rate is: a. -0.0047 b. 0.0048 c. 0.0049 d. -0.0046 PLEASE EXPLAIN HOW YOU COME UP WITH THE ANSWER, THANK YOU
- On 15 April 2021, JHB Bank quoted the following spot and swap rates between the rand and the euro (ZAR/EUR) to a client called MAZDALtd.Rates quoted by JHB Bank on (ZAR/EUR): Bid – OfferSpot (ZAR/EUR) (Spot date: 15 April 2021): 15.7258 – 19.55672-month swap rate (i.e., Forward value date: 15 June 2021): 1290 – 135012-month swap rate (i.e., Forward value date: 15 April 2022): 7055 – 9534Other important informationExpected inflation rate in SA over next 12 months: 4.67%Expected inflation rate in euro area over next 12 months: 1.95%The price of one Apple MacBook computer in euro area: EUR 689The price of one Apple MacBook computer in South Africa: ZAR 22350Euro area 12-month interest rate: 3.50% South African 12-month interest rate: 8.90% 2.1 The exchange rate at which JHB Bank is willing to sell the ZAR spot is ____? 2.2 The exchange rate at which JHB Bank is willing to buy the EUR two months forward is _____? 2.3 The exchange rate at which MAZDA Ltd. will buy the EUR 12 months forward?…Suppose that a commodity’s respective forward prices for 1 year and 2 years are $150 and $158. The 1-year effective annual interest rate is 5.9%, and the 2-year interest rate is 6.6%. You will pay a fixed rate of $153.85906 in a 2-year swap and receive the floating rate. At the time you enter the swap contract, its value to you is... A.$0.0084 B.$–0.0084 C.$0.0051 D.. $–0.0051 E.$000000If the 60-day interest rates (simple, p.a.) are 3% at home (usd) and 4% abroad (eur) and the spot rate moves from 1.000 to 1.001:What is the actual change in the swap rate?
- EURUSD is trading at 1.0850, US 3 monthinterest rates are 1.25% whilst Euro 3month rates are 2.25%. The exchange ratefor the long leg of a 3 month swap will beRates quoted by USB Bank on (ZAR/EUR): Bid – OfferSpot (ZAR/EUR) (Spot date: 15 April 2021): 18.1449 – 18.45692-month swap rate (i.e., Forward value date: 15 June 2021): 1370 – 449512-month swap rate (i.e., Forward value date: 15 April 2022): 7715 – 9555Other important informationExpected inflation rate in SA over next 12 months: 4.25%Expected inflation rate in euro area over next 12 months: 1.15%The price of one Apple MacBook computer in euro area: EUR 796The price of one Apple MacBook computer in South Africa: ZAR 21550Euro area 12-month interest rate: 2.25% South African 12-month interest rate: 7.55% The exchange rate at which USB Bank is willing to sell the ZAR spot isAssume that the Euro (EUR) futures price for September is USD 1.90. Given that 115,000 units are in a Euro futures contract, the seller of Euro futures will receive which of the following? a. EUR 115000 b. EUR 60526 c. USD 60526 d. USD 218500 e. EUR 218500
- Consider a one-year interest rate swap with semi-annual payments, based on 30/360 day count convention. The term structure of LIBOR spot rates is given as follows: 6-month LIBOR at 7.2%, and 12-month LIBOR at 8.0%. What is the annualized fixed rate on the swap? A. 7.42%. B. 7.93% C. 7.84%. D. 7.56%.Let’s say a CBOT 10-year U.S. Treasury note futures contract has a quoted price of 103-18. If annual interest rates go up by 1.00 percentage point, what is the gain or loss on the futures contract? (Assume a $1,000 par value, round the new interest rate to 3 decimal places when written as a decimal, and round the change in price up to the nearest whole dollar.)Suppose the exchange rate of euro at current spot market is $1.25/€. If a put option has a strike price of $1.18/€ then we can say this option is a) inthemoney b) outofthemoney c) atthemoney d) past breakeven