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A: Bond yield =10% Duration = 7.194 Market yield Change by = 50 basis point
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A: Given information in question is as follow Expected rate of return = 18% Standard...
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A: The calculation of the annual coupon payment as follows:
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A: Comparative advantage Invest in unit investment trust Look unit investment trust is hardly like mutu...
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Why is there no futures market in cement?
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- Why are interest rates the least important factor that affects options contracts?What’s the difference between spot markets and futures markets?What are the assumptions that allow us to obtain the prices of futures and forward contracts in the same way? What happens if these assumptions are not satisfied?