The market price of a semi-annual pay bond is $992.86. It has 15.00 years to maturity and a coupon rate of 7.00%. Par value is $1,000. What is the yield to maturity?

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Answer 1

How to calculate YTM

To calculate the yield to maturity (YTM) of a semi-annual pay bond, you'll need to consider the bond's market price, time to maturity, coupon rate, and par value.

The bond has a market price of $992.86, 15 years to maturity, a 7% coupon rate, and a $1,000 par value.

Since the bond pays semi-annually, the coupon rate should be divided by 2, resulting in a 3.5% semi-annual coupon rate.

Similarly, double the number of years to maturity for semi-annual periods, which gives us 30 periods.

Now, you can use a financial calculator or software to find the YTM.

Input the following values:

PV = -$992.86, N = 30, PMT = (3.5% x $1,000) = $35, and FV = $1,000.

Once you solve for the interest rate (I/Y), you'll get the semi-annual YTM.

Lastly, multiply the semi-annual YTM by 2 to get the annual YTM. This will provide you with the yield to maturity for this semi-annual pay bond.

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Related Questions

these ______may assist in design and specification processes, installation of equipment, training of the customer’s employees, and follow-up service of a technical nature.

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These technical support services or engineering services may assist in design and specification processes, installation of equipment, training of the customer’s employees, and follow-up service of a technical nature.

These services encompass a wide range of activities, such as design and specification processes, equipment installation, employee training, and technical follow-up service.

Technical support services may include activities like designing systems or components, developing specifications, and offering technical advice on product selection. Engineering services can involve the actual installation of equipment, ensuring that it is set up correctly and functioning optimally.

Training customer's employees is another important aspect of these services, as it ensures that the end-users are capable of operating and maintaining the equipment efficiently. This may involve providing manuals, conducting workshops, or offering on-site demonstrations.

Finally, follow-up service of a technical nature can involve periodic maintenance checks, troubleshooting, and resolving any issues that may arise over time. This ensures that the equipment continues to function efficiently and effectively, providing the customer with a reliable and high-quality product.

In conclusion, technical support services and engineering services are crucial for assisting in design and specification processes, installation of equipment, training of customer's employees, and providing follow-up service of a technical nature.

These services help ensure that the customer's needs are met and that their equipment continues to perform optimally.

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The following facts are available about a convertible bond: Face Value = $2,000; Issue Price = $1,900; Parity = $1,750; Coupon 4%; Dividend Yield = 2.5%; Premium = $150. What is this CB s breakeven in years?
a. 4
b. 5
c. 6
d. 7

Answers

To calculate the breakeven in years for the convertible bond, we need to determine how long it would take for the convertible bond to earn enough interest and dividends to offset the difference between the issue price and the conversion price.

The conversion price is calculated by dividing the face value by the parity value:

Conversion Price = Face Value / Parity

= $2,000 / $1,750

= $1.143 per share

The premium is the difference between the issue price and the conversion price:

Premium = Issue Price - Conversion Price

= $1,900 - $1.143

= $756.00

To calculate the annual interest and dividend income, we first need to determine the annual coupon and dividend payments:

Annual Coupon Payment = Face Value x Coupon Rate

= $2,000 x 0.04

= $80.00

Annual Dividend Payment = Parity x Dividend Yield

= $1,750 x 0.025

= $43.75

The total annual income from the bond is the sum of the annual coupon and dividend payments:

Total Annual Income = Annual Coupon Payment + Annual Dividend Payment

= $80.00 + $43.75

= $123.75

To calculate the breakeven in years, we divide the premium by the total annual income:

Breakeven in Years = Premium / Total Annual Income

= $756.00 / $123.75

= 6.1 (rounded to the nearest tenth)

Therefore, the breakeven in years for this convertible bond is approximately 6 years. The answer is (c) 6.

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all else remaining equal, if the amount of money market deposit accounts increases, this will increase the size of

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If the amount of money market deposit accounts increases, this will increase the size of the money market. Money market deposit accounts are a type of financial instrument that is used for short-term savings and investments. They are a form of deposit account offered by banks and other financial institutions, and they typically offer a higher interest rate than traditional savings accounts.

Money market accounts are one of the key components of the money market, which is a market for short-term borrowing and lending of funds. The money market also includes other financial instruments such as treasury bills, commercial paper, and certificates of deposit. The size of the money market is determined by the total value of these financial instruments that are available for trading.

Therefore, if the amount of money market deposit accounts increases, it means that there are more funds available in the money market for lending and borrowing, which increases the size of the market.

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-According to the law of demand, when all other factors are held constant, the higher the price, the greater the quantity supplied.
true
false

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-According to the law of demand, when all other factors are held constant, the higher the price, the greater the quantity supplied. false

The law of demand states that, all other factors being equal, as the price of a good or service increases, the quantity demanded of that good or service will decrease, and vice versa. In other words, there is an inverse relationship between price and quantity demanded.

This means that if the price of a good or service increases, people will demand less of it, assuming all other factors remain constant. The law of supply, on the other hand, states that as the price of a good or service increases, the quantity supplied of that good or service will also increase.

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false -According to the demand, when all other factors are held constant, the higher the price, the greater the quantity supplied.  The law of demand states that,

all other factors being equal, as the price of a good or service increases, the quantity demanded of that good or service will decrease, and vice versa. In other words, there is an inverse relationship between price and quantity demanded. This means that if the price of a good or service increases, people will demand less of it, assuming all other factors remain constant. The law of supply, on the other hand, states that as the price of a good or service increases, the quantity supplied of that good or service will also increase.

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the amount of money that a dollar will grow to at some point in the future is known as the multiple choice question. present value. market value. future value.

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The amount of money that a dollar will grow to at some point in the future is known as the future value.

The concept of future value

This concept is important in finance and helps determine the potential growth of an investment over time.

The future value takes into account factors such as interest rates and the time period involved.

By calculating the future value, individuals and businesses can make informed decisions about investments and savings.

In contrast, the present value represents the current worth of a future cash flow, and market value refers to the price at which an asset can be bought or sold in the marketplace.

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You purchased a machine for $1.07 million three years ago and have been applying​ straight-line depreciation to zero for a​ seven-year life. Your tax rate is 40%. If you sell the machine right now​ (after three years of​ depreciation) for $756 000​, what is your incremental cash flow from selling the​ machine?

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The incremental cash flow from selling the machine is $498,600.

Since the machine has a seven-year life and has been depreciated straight-line to zero over this period, the annual depreciation expense is

$1.07 million / 7 = $153,571.43.

After three years, the accumulated depreciation is

$153,571.43 x 3 = $460,714.29.

Therefore, the book value of the machine is

$1.07 million - $460,714.29 = $609,285.71.

When the machine is sold for $756,000, there is a gain of

$756,000 - $609,285.71 = $146,714.29.

Since the tax rate is 40%, the tax on this gain is

0.4 x $146,714.29 = $58,685.71.

The incremental cash flow from selling the machine is therefore the after-tax gain from the sale plus the return of the book value:

$146,714.29 - $58,685.71 + $609,285.71 = $498,600.

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the mission of a majority of businesses typically includes which of the following? multiple choice question. treating employees equitably reducing their carbon footprint expressing the ceo's political position maximizing stockholders' wealth

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The mission of a majority of businesses typically includes Maximizing stockholders' wealth.

Maximizing stockholders' wealth is often the primary objective of most businesses. It means that a company's primary goal is to generate profits and increase the value of the company's stock for its shareholders. This is achieved through various means, such as increasing revenue, cutting costs, improving efficiency, expanding operations, and making strategic investments.

By focusing on maximizing shareholder value, a company can attract investors, obtain funding, and grow its business. This mission also creates an incentive for management to make decisions that benefit shareholders and generate long-term value, ultimately leading to higher stock prices and increased wealth for shareholders.

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when developing software or any sort of product or service, there exists a tension between time, quality, and cost. this is referred to as the .

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When developing software or any sort of product or service, there exists a tension between time, quality, and cost. This is referred to as the "triple constraint" or the "project management triangle."

It is a fundamental principle in project management that these three elements are interrelated, and that any changes to one will affect the other two. For example, if you want to reduce the development time, you may need to increase the cost or sacrifice some of the quality. Similarly, if you want to improve the quality, it may take more time and cost more money. It is important for project managers to carefully balance these three factors in order to deliver a successful product or service.

Software is a set of instructions, data or programs used to operate computers and execute specific tasks. It is the opposite of hardware, which describes the physical aspects of a computer. Software is a generic term used to refer to applications, scripts and programs that run on a device.

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how are investments in equity securities with readily determinable market values, and their related unrealized gains and losses, reported by a not-for-profit entity?

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Investments in equity securities with readily determinable market values and their related unrealized gains and losses are reported by a not-for-profit entity on its financial statements at fair value.

The fair value of these investments is readily determinable because they are traded in active markets, and the values can be obtained from published stock prices or quotes. Any changes in fair value, including unrealized gains and losses, are recognized in the statement of activities as a component of change in net assets for the period in which they occur.

These changes are not included in the statement of cash flows, as they do not represent cash inflows or outflows. The not-for-profit entity should disclose information about the methods and significant assumptions used to determine fair value, as well as the nature and risks of the investments held.

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00 8 Skipped Quad Enterprises is considering a new 3-year expansion project that requires an initial fixed asset investment of $4.0 million. The fixed asset falls into the 3-year MACRS class (MACRS Table) and will have a market value of $310,800 after 3 years. The project requires an initial investment in net working capital of $444,000. The project is estimated to generate $3,552,000 in annual sales, with costs of $1.420,800. The tax rate is 23 percent and the required return on the project is 14 percent What is the project's year o net cash flow? Year O cash flow -Book References What is the project's year 1 net cash flow? Year 1 cash flow Ť What is the project's year 2 net cash flow? Year 2 cash flow What is the project's year 3 net cash flow? Year 3 cash flow ما What is the NPV? NPV Year Seven-Year 1 2 Property Class Three-Year Five-Year 33.33% 20.00% 44.45 32.00 14.81 19.20 7.41 11.52 11.52 5.76 3 4 14.29% 24.49 17.49 12.49 8.93 8.92 8.93 4.46 5 6 7 8.

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The project's year 0 net cash flow is given as the amount of $4,444,000, project's year 1 net cash flow is $1,947,660, project's year 2 net cash flow is  $2,049,964 and project's year 3 net cash flow is $2,528,764.

After all debts have been settled, net cash flow can represent either a gain or a loss in money over a time period. A company is considered to have positive cash flow if, after paying all of its operational expenses, it still has cash left over. A corporation is considered to have a negative cash flow if it has to pay more in commitments and liabilities than it makes from operations.

A negative cash flow simply indicates that the funds received for that time period were inadequate to fulfil the firm's commitments for that same time period. This does not imply that a corporation cannot meet all of its obligations. if other savings accounts are emptied to pay the debt.

When utilising net cash as a gauge to assess a company's financial health, it is crucial to examine what factors lead to positive or negative net cash. A well-run, healthy company may show positive net cash from occasions like rising sales profits or declining commitments. However, some operations, such as those connected with a lump-sum loan deposit or money received as a result of acquiring additional debt, may provide a positive cash flow that may not be beneficial to a company's financial health.

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Last year Janet purchased a $1,000 face value corporate bond with an 11% annual coupon rate and a 30-year maturity. At the time of the purchase, it had an expected yield to maturity of 12.2%. If Janet sold the bond today for $1,045.79, what rate of return would she have earned for the past year? Do not round intermediate calculations. Round your answer to two decimal places.

Answers

The rate of return Janet earned for the past year on the corporate bond is 15.58%.

We'll use the terms face value, annual coupon rate, maturity, yield to maturity, and rate of return in the explanation.

Calculate the annual coupon payment.
Face value = $1,000
Annual coupon rate = 11%
Annual coupon payment = Face value * Annual coupon rate
Annual coupon payment = $1,000 * 0.11 = $110

Calculate the total amount Janet received from selling the bond.
Selling price = $1,045.79

Calculate Janet's total return for the past year.
Total return = Annual coupon payment + Selling price - Face value
Total return = $110 + $1,045.79 - $1,000 = $155.79

Calculate the rate of return as a percentage.
Rate of return = (Total return / Face value) * 100
Rate of return = ($155.79 / $1,000) * 100 = 15.579%

After rounding to two decimal places, Janet's rate of return for the past year is 15.58%

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one health insurance policy provision states that after the policy has been in force for two years, the insurer cannot void the policy or deny a claim because of a misstatement in the application. this provision is called the

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The provision mentioned in your question is known as the "incontestability clause."

This clause protects the policyholder from having their insurance policy voided or a claim denied due to any misstatement in their application, but only after the policy has been in force for two years. It is a consumer protection measure that ensures that insurance companies cannot use minor errors or omissions in the application to deny claims or cancel policies after a certain period. However, if the misstatement was found to be intentional, the incontestability clause may not apply, and the insurer may still be able to deny a claim or void the policy.

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The shift from Corporate Planning to Strategy-Making implies: a. From the sources of profit outside the firm to the sources of profit within the firm b. To the Resource-based view of the firm c. Both a and b d. From the structure-based approach to the value-added perspective

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The shift from Corporate Planning to Strategy-Making implies a move away from the traditional structure-based approach to a more value-added perspective.

This involves looking at the sources of profit within the firm, rather than outside of it. This shift is also associated with the Resource-based view of the firm, which considers the resources and capabilities of a firm as the primary drivers of competitive advantage and value creation.

This shift away from the structure-based approach to a value-added perspective is important because it allows firms to identify new sources of value and differentiate their offerings from those of their competitors. Additionally, it provides a framework for developing and implementing strategies that are tailored to the firm's particular strengths and weaknesses.

Finally, it enables firms to identify and capitalize on opportunities for growth and expansion.

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today, effective supervisors treat the performance appraisal as a(n) , as well as a formal legal document.

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Today, effective supervisors treat the performance appraisal as both a tool for providing feedback and guidance to their employees, as well as a formal legal document.

This  can be used to document performance, set goals and expectations, and make decisions related to promotions, raises, and other employment-related matters.

Effective supervisors are individuals who possess the skills, qualities, and behaviors necessary to effectively manage and lead a team of employees or subordinates. They play a crucial role in ensuring that the team is productive, motivated, and engaged.

By approaching performance appraisals in this manner, effective supervisors are able to not only provide valuable feedback and support to their employees, but also to ensure that their organization is compliant with legal requirements and best practices related to performance management.

the act of estimating or judging the nature or value of something or someone. an estimate of value, as for sale, assessment, or taxation; valuation. an estimate or considered opinion of the nature, quality, importance, etc: the critics' appraisal of pop art; an incorrect appraisal of public opinion.

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The appropriate discount rate to use when finding present value is the rate of return we can earn on other investments of similar risk Select one: True O False

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The statement "The appropriate discount rate to use when finding present value is the rate of return we can earn on other investments of similar risk" is true because the appropriate discount rate to use when finding the present value of a future cash flow is the rate of return that could be earned on an investment with similar risk.

This is known as the opportunity cost of capital, which represents the return foregone by investing in one opportunity instead of another with similar risk. Using a discount rate that is too low or too high can result in inaccurate valuations and investment decisions.

Therefore, selecting an appropriate discount rate that reflects the level of risk associated with the cash flow is critical to accurately determining its present value.

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The Booth Company's sales are forecasted to double from $1,000 in 2019 to $2,000 in 2020. Here is the December 31, 2019, balance sheet:
Cash $ 100 Accounts payable $ 50
Accounts receivable 200 Notes payable 150
Inventories 200 Accruals 50
Net fixed assets 500 Long-term debt 400
Common stock 100
Retained earnings 250
Total assets $1,000 Total liabilities and equity $1,000
Booth's fixed assets were used to only 50% of capacity during 2019, but its current assets were at their proper levels in relation to sales. All assets except fixed assets must increase at the same rate as sales, and fixed assets would also have to increase at the same rate if the current excess capacity did not exist. Booth's after-tax profit margin is forecasted to be 5% and its payout ratio to be 70%. What is Booth's additional funds needed (AFN) for the coming year? Round your answer to the nearest dollar.

Answers

Booth's additional funds needed for the coming year is $335, rounded to the nearest dollar.

How to Calculate the Additional Funds Needed?

To calculate the Additional Funds Needed (AFN), we can use the following formula:

AFN = (A*/S) ΔS - (L*/S) ΔS - MS1(RR)

In this case, Booth Company's sales are expected to double from $1,000 in 2019 to $2,000 in 2020. We are given that the company's fixed assets were used to only 50% of capacity during 2019, but its current assets were at their proper levels in relation to sales. This means that all assets except fixed assets must increase at the same rate as sales, and fixed assets would also have to increase at the same rate if the current excess capacity did not exist.

Using this information, we can calculate the assets that vary directly with sales (A*) and the spontaneous liabilities that vary directly with sales (L*) as follows:

A* = (Accounts receivable + Inventories) + (Net fixed assets x 50%)

= ($200 + $200) + ($500 x 50%)

= $450

L* = (Accounts payable + Accruals) + (Notes payable x (1 - payout ratio))

= ($50 + $50) + ($150 x (1 - 0.7))

= $95

Next, we can use the AFN formula to calculate the additional funds needed:

AFN = (A*/S) x (ΔS) - (L*/S) x (ΔS) - (MS1 x (RR))

where S = projected sales, ΔS = increase in sales, MS1 = increase in retained earnings, and RR = retention ratio.

Substituting the values, we get:

AFN = ($450/$1,000) x ($2,000 - $1,000) - ($95/$1,000) x ($2,000 - $1,000) - ($250 x (1 - 0.7))

= $335

Therefore, Booth Company's additional funds needed for the coming year is $335. The company will need to raise external financing of this amount to support its projected increase in sales.

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Muller's Investigative Services has stock is trading at $50 per share. The stock is expected to have just paid dividend of $3 per share and it is expected to grow at some constant rate, g, throughout time.
The stock's required rate of return is 14%.

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Muller's Investigative Services stock is currently priced at $50 per share and has just paid a dividend of $3 per share. The stock's expected growth rate is constant and denoted by the variable "g". Stock is expected to grow at a constant rate of 20%.

The required rate of return, which is the minimum return that investors expect to earn for taking on the risk of investing in the stock, is 14%. To calculate the expected growth rate "g", we can use the Gordon growth model, which is represented by the formula: P0 = D1 / (r - g)

where P0 is the current stock price, D1 is the next expected dividend payment, r is the required rate of return, and g is the expected growth rate.

Rearranging the formula, we get: g = (D1 / P0) + r. Substituting the given values, we get: g= ($3 / $50) + 0.14 = 0.06 + 0.14 = 0.20 or 20%.

Therefore, the stock is expected to grow at a constant rate of 20% per year, which means that the dividend payment and stock price will increase by 20% each year.

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The modern Keynesian Model assumes that
Since the modern Keynesian Model allows for some price​ response, the aggregate supply curve

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The modern Keynesian Model assumes that there can be short-term market failures and imbalances in the economy that can result in high unemployment and low economic growth. It emphasizes the role of government intervention through fiscal policies, such as increased spending and tax cuts, to stimulate demand and boost economic activity.

In contrast to the traditional Keynesian Model, the modern version recognizes that prices can adjust to changes in supply and demand in the long run, allowing for some price response in the aggregate supply curve. This means that the economy can eventually return to its natural equilibrium level of output and employment, even without government intervention. However, in the short run, the modern Keynesian Model still stresses the need for government intervention to address economic imbalances and stabilize the economy.
The modern Keynesian Model assumes that there is a combination of both rigid and flexible prices in the economy. Since the modern Keynesian Model allows for some price response, the aggregate supply curve will have a positive slope, indicating that as the price level increases, the quantity of goods and services produced will also increase.

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The modern Keynesian Model assumes that the economy may experience short-run fluctuations in output and employment, which are primarily caused by changes in aggregate demand. Unlike the classical model, the modern Keynesian Model allows for some degree of price stickiness, which means that changes in aggregate demand may not always result in immediate price adjustments.

As a result, the modern Keynesian Model suggests that changes in aggregate demand can have a significant impact on the level of output and employment in the short run. However, over time, prices and wages will eventually adjust, leading to a new long-run equilibrium.

Since the modern Keynesian Model allows for some price response, the aggregate supply curve is upward sloping in the short run. This means that as aggregate demand increases, firms will be willing to increase output, but at higher prices. Conversely, if aggregate demand decreases, firms will reduce output, but at lower prices.

In the long run, the aggregate supply curve becomes more elastic as prices and wages adjust to changes in aggregate demand. At this point, the economy reaches a new equilibrium level of output and employment.

Overall, the modern Keynesian Model provides a framework for understanding the short-run dynamics of the economy and the role of aggregate demand in driving fluctuations in output and employment. By allowing for some degree of price stickiness, the model can help to explain why changes in aggregate demand can have a significant impact on the economy, even in the absence of major supply-side shocks.

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equipment that was purchased for $700,000 has a current book value of $350,000. assume a capital gains tax rate of 28%. compute the net tax payment or savings if you sell the equipment for $584,367.

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The net tax payment or savings if the equipment is sold for $584,367 would be a tax savings of $56,840.

To calculate the net tax payment or savings, we first need to determine the gain or loss on the sale of the equipment. The gain is calculated as the selling price minus the book value, which in this case is $584,367 - $350,000 = $234,367.

Next, we need to calculate the capital gains tax on the gain. The tax rate is given as 28%, so the tax would be 0.28 x $234,367 = $65,790. Finally, we can calculate the net tax payment or savings by subtracting the tax from the gain: $234,367 - $65,790 = $168,577.

We need to take into account the tax that would have been paid if the equipment had not been sold. Since the book value is $350,000 and the selling price is $584,367, the company would have paid tax on the difference between the selling price and the book value, or $234,367.

The tax on this amount would be 0.28 x $234,367 = $65,790. Therefore, the net tax payment or savings is $65,790 - $8,950 = $56,840, where $8,950 is the tax savings from the original book value.

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other things the same, if the fed increases the rate at which it increases the money supply then the short-run phillips curve shifts right in the long run. a. true b. false

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False. An increase in the money supply does not cause the Phillips curve to shift in either the short or long run.

The Phillips Curve is an economic theory that states that there is an inverse relationship between inflation and unemployment. It does not directly factor in changes in the money supply.

In the short run, an increase in the money supply can lead to an increase in aggregate demand, and can cause inflation to increase.

In the long run, the increase in the money supply has no effect, as it is offset by an equal decrease in the demand for money.

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Bayon Enterprises bonds currently sell for $1,000. They have a 9-year maturity, an annual coupon of $80 paid once a year, and a par value of $1,000. What is the price 5 years from now if YTM remains the same overtime? 1105 1080 1000 1022.96 1090

Answers

YTM stands for Yield to Maturity,  YTM that makes the price closest to $1,080 is approximately 5.6%. Therefore, the answer is 1080.

To calculate the price of the bond in 5 years, we need to find the future value of all the cash flows and then discount them back to the present using the yield to maturity (YTM).

The annual coupon payment is $80, and it will be paid for the next 9 years. Therefore, the future value of the coupon payments will be:

FV of coupons = $80 x (1 + YTM)^8 + $80 x (1 + YTM)^7 + ... + $80 x (1 + YTM)^1

We can use the formula for the sum of a geometric series to simplify this expression:

FV of coupons = $80 x [(1 + YTM)^9 - (1 + YTM)^1] / YTM

The future value of the face value (or par value) of the bond will simply be $1,000.

Therefore, the future value of the bond in 5 years will be:

FV of bond = FV of coupons + FV of face value

= $80 x [(1 + YTM)^9 - (1 + YTM)^1] / YTM + $1,000 x (1 + YTM)^5

To find the price of the bond in 5 years, we need to discount this future value back to the present using the YTM. The price of the bond in 5 years will be:

Price = FV of bond / (1 + YTM)^5=[$80 x [(1 + YTM)^9 - (1 + YTM)^1] / YTM + $1,000 x (1 + YTM)^5] / (1 + YTM)^5

Using a financial calculator or spreadsheet software, we can find that the YTM that makes the price closest to $1,080 is approximately 5.6%. Therefore, the answer is 1080.

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You have a bond with a coupon rate of 8% and a market rate ofreturn of 10%, is the bond selling at a discount, premium, orpar?

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The coupon rate (8%) is less than the market rate (10%), so the bond is selling at a discount.

Is the bond selling at a discount, premium, orpar?

You have a bond with a coupon rate of 8% and a market rate of return of 10%. To determine if the bond is selling at a discount, premium, or par, we'll compare the coupon rate and the market rate.

Compare the coupon rate and market rate
- Coupon rate: 8%
- Market rate: 10%

Determine the bond's selling status
- If the coupon rate is less than the market rate, the bond sells at a discount.
- If the coupon rate is equal to the market rate, the bond sells at par.
- If the coupon rate is greater than the market rate, the bond sells at a premium.

In this case, the coupon rate (8%) is less than the market rate (10%), so the bond is selling at a discount.

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If someone asks you a question in the workplace, but you don't know what to answer, what is something you should not say

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When you're stumped for an answer in workplace  to a question, use this tried-and-true "fail-safe" solution.

What to say in an interview when you're unable to respond to a question?

Think about responding with something like, "That's a good question; can I think about it for a bit and get back to you later?" or "Great query! I can respond to some of it, but I'd like to consider it further and get back to you.

What should you say when you don't have the answer to a question?

Try saying something like, "That's an interesting question, could I take some time to think it over and get back to you?" or "I can give you a partial answer to that enormous question.

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Question:-

How do you respond when you don't know the answer at work?

Imagine that you are filing for bankruptcy. Make a list of your assets and a list of your debts (can be pretend) and analyze what you own compared to what you owe. Then determine which assets you could choose to exempt. From a financial point of view, does declaring bankruptcy appear to be a favorable alternative for you at this time? Why or why not? If you choose to file for bankruptcy, which type would you file for and why?

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The assets include properties, cars, investments, and cash in bank accounts. The debts could be credit card balances, medical bills, or personal loans. Exempt assets: primary residence, retirement accounts, and tools used for work. Depending on a person's particular financial situation, bankruptcy may or may not be a good option for them. It is advisable to file for Chapter 7 bankruptcy, as you are not obligated to pay some debts.

In general, when someone files for bankruptcy, they need to make a list of their assets and debts. The assets may consist of real estate, automobiles, investments, and money in bank accounts. The debts may include unpaid personal loans, credit card balances, and medical expenses.
After analyzing what they own compared to what they owe, the person filing for bankruptcy may choose to exempt certain assets. These could be assets that are protected by state or federal law from being used to pay off debts.
From a financial point of view, declaring bankruptcy could be a favorable alternative for someone who has a significant amount of debt and no realistic way to pay it off.

However, bankruptcy has long-term consequences, such as a negative impact on credit scores and difficulties obtaining credit in the future.
If someone decides to file for bankruptcy, they would need to choose between Chapter 7 and Chapter 13 bankruptcy. Chapter 7 bankruptcy is often chosen when the individual has little income and few assets to protect.

In contrast, Chapter 13 bankruptcy is chosen when the individual has a regular income and wants to pay off their debts through a payment plan.
Ultimately, whether or not declaring bankruptcy is a favorable alternative for an individual depends on their unique financial situation, the amount of debt they have, and their long-term financial goals.

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which of the following statements applies to the discount rate? the federal funds rate is the same as this rate. this rate is charged to depositors who are unable to meet their reserve requirement. the fed does not directly control this rate. this rate is used when banks borrow directly from the fed.

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The discount rate is the interest rate that the Fed charges commercial banks when they borrow directly from the Fed's discount window. It is a tool used by the Fed to provide liquidity to the banking system, and its level influences borrowing and lending decisions by banks. The federal funds rate is not the same as the discount rate, and the Fed does not directly control the discount rate.

The discount rate is the interest rate that the Federal Reserve charges commercial banks to borrow funds from the Fed's discount window. The primary purpose of the discount rate is to provide liquidity to the banking system. When banks face a shortage of funds, they can borrow from the Fed's discount window to meet their reserve requirements and continue their lending operations.

Out of the given statements, the statement that applies to the discount rate is this rate is used when banks borrow directly from the Fed.This is because the discount rate is the interest rate charged by the Fed to commercial banks when they borrow directly from the Fed's discount window.

The federal funds rate, on the other hand, is the interest rate that banks charge each other for overnight loans of their excess reserves. This rate is not the same as the discount rate, as stated in one of the given statements. The Fed sets the federal funds rate through its open market operations, where it buys and sells government securities to influence the supply of reserves in the banking system.

Another statement that is not applicable to the discount rate is ""this rate is charged to depositors who are unable to meet their reserve requirement."" This statement describes the penalty rate that the Fed charges banks for failing to maintain the required level of reserves. The penalty rate is higher than the discount rate and is meant to encourage banks to maintain adequate reserves to meet their obligations.

Lastly, the Fed does not directly control the discount rate, but it does influence it through changes in its monetary policy. When the Fed wants to stimulate economic activity, it can lower the discount rate to encourage borrowing and lending by commercial banks. Conversely, when the Fed wants to slow down the economy, it can increase the discount rate, making it more expensive for banks to borrow from the Fed and reducing the money supply.

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on may 31, acc corporation's cash account showed a balance of $10,000 before the bank reconciliation was prepared. after examining the may bank statement and items included with it, the company's accountant found the following items: checks outstanding$2,250 deposits outstanding 1,900 nsf check 100 service fees 40 error: acc corp. wrote a check for $30 but recorded it incorrectly for $300. what is the amount of cash that should be reported in the company's balance sheet as of may 31?

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Explanation: the bank had a lot so when the personrobbed it there was still money and all the moeny was restored because the cops found the robber

since nominal wages fell by the same percentage as the price level, you explain that a decrease in the price level leads to

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A decrease in the price level leads to a decrease in nominal wages.

Nominal wages refer to the actual dollar amount paid to employees. When the price level decreases, the cost of goods and services decreases. Therefore, businesses do not need to pay as much for the same amount of goods or services. In order to maintain profitability, businesses decrease the amount they pay in nominal wages to their employees.

As nominal wages decrease, the real wage (the purchasing power of the wage) may remain constant or increase. This is because the decrease in nominal wages may be less than the decrease in the price level, resulting in a higher real wage. Alternatively, the real wage may remain the same if the decrease in nominal wages is equal to the decrease in the price level.

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A stock recently paid a $4/share dividend. They maintain the same dividend payments for the next 11 years. Afterwards, they will steadily increase their dividend payments by 2.5%/year, forever. R=14%. Calculate the stock price.

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The stock price is $63.09.To calculate the stock price , we need to find the present value of all future dividends and the future stock price. We can use the dividend discount model (DDM) to do this.

First, we need to find the present value of the first 11 years of dividends. Since the dividend payment remains constant for those years, we can use the perpetuity formula:

PV = (D / R) * (1 - (1 + g)⁻ⁿ)

where PV is the present value, D is the dividend payment, R is the required rate of return, g is the growth rate, and n is the number of periods.

In this case, D = $4, R = 14%, g = 0%, and n = 11. Plugging in these values, we get:

PV = (4 / 0.14) * (1 - (1 + 0)⁻¹¹) = $28.57

This is the present value of the first 11 years of dividends.

Next, we need to find the present value of all future dividends beyond year 11. Since the dividend payment increases by 2.5% per year, we can use the growing perpetuity formula:

PV = (D * (1 + g)) / (R - g)

where PV is the present value, D is the first dividend payment after year 11, R is the required rate of return, and g is the growth rate.

To find the first dividend payment after year 11, we need to calculate the dividend payment in year 11 and then increase it by 2.5% each year. The dividend payment in year 11 is:

D11 = D * (1 + g)^11 = 4 * (1 + 0)¹¹ = $4

The first dividend payment after year 11 is:

D12 = D11 * (1 + g) = 4 * (1 + 0.025) = $4.10

Plugging in these values, we get:

PV = (4.10 / (0.14 - 0.025)) = $34.52

This is the present value of all future dividends beyond year 11.

Finally, we need to find the future stock price at the end of year 11, which is simply the expected dividend payment in year 12 divided by the difference between the required rate of return and the growth rate:

P11 = D12 / (R - g) = 4.10 / (0.14 - 0.025) = $34.52

Adding the present values of the first 11 years of dividends and all future dividends, we get the total present value of the stock:

Total PV = $28.57 + $34.52 = $63.09.Therefore, the stock price is $63.09.

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which of the following statements are true? multiple select question. a project with a positive npv creates cash inflows, but it may or may not recover the cost of the original investment. a project with a positive npv will recover the original cost of the investment plus sufficient cash inflows to compensate for tying up funds. the net present value method automatically provides for return of the original investment. the net present value method does not provid

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Based on the given statements, the true statements are:
1. A project with a positive NPV will recover the original cost of the investment plus sufficient cash inflows to compensate for tying up funds.
2. The net present value method automatically provides for return of the original investment.

Explanation of true statements?

1. A positive NPV indicates that the present value of cash inflows is greater than the present value of cash outflows, which means the project will generate more cash than the initial investment, compensating for the funds tied up.
2. The net present value (NPV) method calculates the difference between the present value of cash inflows and the present value of cash outflows, inherently accounting for the return of the original investment.    

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Applied Nanotech is thinking about introducing a new surface cleaning machine. The marketing department has come up with the estimate that Applied Nanotech can sell 15 units per year at $303,000 net cash flow per unit for the next five years. The engineering department has come up with the estimate that developing the machine will take a $14.9 million initial investment. The finance department has estimated that a discount rate of 16 percent should be used. a. What is the base-case NPV? (A negative answer should be indicated by a minus sign. Enter your answer in dollars, not millions of dollars, e.g., 1,234,567. Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) Base-case NPV $ b. If unsuccessful, after the first year the project can be dismantled and will have an aftertax salvage value of $10.8 million. Also, after the first year, expected cash flows will be revised up to 20 units per year or to 0 units, with equal probability. What is the revised NPV? (Enter your answer in dollars, not millions of dollars, e.g., 1,234,567. Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) Revised NPV

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a. The base-case NPV is $4,640,000.95. b. The revised NPV is -$2,548,439.12.

a. To calculate the base-case NPV, we need to find the present value of the cash flows generated by the project, using the given discount rate of 16%.

The net cash flow per unit is $303,000, and the project is expected to sell 15 units per year for 5 years. Therefore, the total net cash flow for the project is:

$303,000 x 15 x 5 = $22,725,000

To find the present value of this cash flow stream, we can use the formula:

PV = CF / (1 + r)ⁿ

where PV is the present value, CF is the cash flow, r is the discount rate, and n is the number of years.

Plugging in the values, we get:

PV = $22,725,000 / (1 + 0.16)¹ + $22,725,000 / (1 + 0.16)² + $22,725,000 / (1 + 0.16)³ + $22,725,000 / (1 + 0.16)⁴+ $22,725,000 / (1 + 0.16)⁵

PV = $22,725,000 / 1.16 + $22,725,000 / 1.3456 + $22,725,000 / 1.5625 + $22,725,000 / 1.8145 + $22,725,000 / 2.1073

PV = $19,540,000.95

The initial investment is $14.9 million, so the base-case NPV is:

Base-case NPV = $19,540,000.95 - $14,900,000 = $4,640,000.95

b. To calculate the revised NPV, we need to calculate the expected cash flows for the project after the first year, taking into account the salvage value and the possibility of selling 20 units or 0 units.

If the project is dismantled after the first year, the cash flow will be the salvage value of $10.8 million, discounted back to year zero using the discount rate of 16%. Therefore, the salvage value in year zero is:

Salvage value = $10,800,000 / (1 + 0.16) = $9,310,344.83

If the expected cash flows are revised up to 20 units per year, the total net cash flow will be:

$303,000 x 20 x 4 = $24,240,000

If the expected cash flows are revised down to 0 units per year, the total net cash flow will be $0.

To calculate the revised NPV, we need to calculate the expected value of the cash flows after the first year:

Expected cash flows = (0.5 x $9,310,344.83) + (0.25 x $24,240,000) + (0.25 x $0) = $10,650,172.42

The expected cash flows are then discounted back to year zero using the discount rate of 16%:

Revised NPV = -$14,900,000 + $10,650,172.42 / (1 + 0.16) = -$2,548,439.12

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