Which of the following descriptions does not apply to money market securities? Multiple Choice O O Shortterm Lowrisk Highly liquid Long maturity High denominations
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- Q12. The following are commonly used plug items, except a. cash and marketable securities b. equity c. short-term debt d. long-term debt e. all of the choicesWhich of the following are money market securities?I. Jumbo CDsII. Short-term municipal debtIII. U.S. Treasury billsIV. Commercial paper A. I and IV only B. II and III only C. I, II, and IV only D. II, III, and IV only E. I, II, III, and IVWhat is the CAPM required return for Stock Z, in decimal form? Round your answer to 4 decimal places (example: if your answer is .13579, you should enter .1358). Margin of error for correct responses: +/- .0005. expected return (implied by market price) Beta Stock Z 9.7% 1.43 MRP 6% ? T-bonds 5% ?
- D6) Finance What is the OAS on the MBS with the following characteristics: 1. Coupon rate: 9.5% 2. Current market price: 97.75 3. Forward rate at T=0, 1.95%, Forward rates at T=1 +/- 75bps from T=0 rate, Forward rates at T=2 6%, 4%, and 4% from top to bottom of the forward rate tree Submit your response in X.XXX% out to 3 decimals.Assume that the risk-free rate (i.e., Rf) is 2.8%. If, for a particular company bond issue, the default risk premium (i.e., DP) is 3.1%, the maturity risk premium ( i.e., MP) is 0.9%, and the market risk premium ( i.e., MRP) for that company's stock is 12.9% what is the required rate of return for the company's fixed income securities ? Record your answer as a percent , rounded to one decimal place , but do not include a percent sign in your answer . For example , enter 0.1578658 = 15.78625% as 15.8 .Q24. A particular security's equilibrium rate of return is 10%. For all securities, the inflation premium is 2.00% and the risk free rate is 4.0%. The security's liquidity risk premium is 0.25% and maturity risk premium is 1.00%. The security has no special covenants. Calculate the security's default risk premium.
- Calculate the durations and volatilities of securities A, B, and C. Their cash flows are shown below. The interest rate is 8%. (Do not round intermediate calculations. Round "Duration" to 4 decimal places and "Volatility" to 2 decimal places.)Which of the following are characteristics of money market securities? I. Long term maturities. II. Low default risk. III. Highly Marketable. IV. Very liquid. A. I and III only. B. II and III only. C. II, III and IV only. D. I, II, III and IVQ1) A. Referring to the standards that mention in the table below, compare between bond and common stock. Area Bond Common Stock 1 Profile 2 Return Form 3 Risks 4 Rights 5 Par Value
- which one is correct please confrm? Q19: Financial derivatives include stocks. bonds. futures none of the aboveExplain why y0u disagree 0r agree with the f0ll0wing statements. The answer sh0uld n0t be m0re than 3 sentences (with reference of google links) Step 1 Define Treasusy BondS & Corporate Bonds Step 2 Difference between annuity due and ordinary annuity Step 3 Treasury b0nds are riskier than c0rp0rate b0nds. All 0ther things held c0nstant; the future value 0f an 0rdinary annuity is always having a higher future value than annuity due. All 0ther things held c0nstant, the price 0r interest rate risk 0f sh0rt-term b0nd is always l0wer than l0ng-term b0ndExplain why y0u disagree 0r agree with the f0ll0wing statements. The answer sh0uld n0t be m0re than 3 sentences Step 1 Define Treasusy BondS & Corporate Bonds Step 2 Difference between annuity due and ordinary annuity Step 3 Treasury b0nds are riskier than c0rp0rate b0nds. All 0ther things held c0nstant; the future value 0f an 0rdinary annuity is always having a higher future value than annuity due. All 0ther things held c0nstant, the price 0r interest rate risk 0f sh0rt-term b0nd is always l0wer than l0ng-term b0nd.