strips (separate trading of registered interest and principal securities) are also called interest-based securities. zero-coupon securities. leveraged securities. covenant securities.

Answers

Answer 1

Strips are also called zero-coupon securities. Strips, which stands for Separate Trading of Registered Interest and Principal Securities, are a type of financial instrument that represents the separation of the interest and principal components of a bond.

They are created by financial institutions and sold as individual securities, each representing a specific portion of the bond's cash flows.

Strips, also known as zero-coupon securities, are created by separating the interest payments and the principal repayment of a bond into separate securities. The interest payments are sold as individual securities, while the principal repayment is sold as a separate security. These individual securities are known as strips or zero-coupon securities because they do not pay periodic interest like traditional bonds. Instead, they are sold at a discount to their face value and provide a return by accruing value over time.

The term "interest-based securities" is not commonly used to refer to strips. While strips do represent the separation of interest payments from the principal, the more commonly used term for this type of security is zero-coupon securities. This is because the individual strips do not pay periodic interest but rather provide a return through the difference between the purchase price and the face value of the security.

On the other hand, the terms "leveraged securities" and "covenant securities" do not accurately describe strips. Leveraged securities typically refer to securities that use borrowed funds to amplify investment returns, while covenant securities are bonds that come with specific terms and conditions regarding issuer obligations and investor rights.

In summary, strips, or Separate Trading of Registered Interest and Principal Securities, are commonly known as zero-coupon securities. This term accurately describes their nature as securities that represent the separation of interest and principal payments from a bond.

The complete question is here:

BANCA Y CONDICIONES ECONOMIC STRIPS (Separate Trading Of Registered Interest And Principal Securities) Are Also Called

interest-based securities. zero-coupon securities. leveraged securities. covenant securities.

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Related Questions

Donald Trump wanted to pull us out of the WTO because he thought China was cheating. Would you stay in or leave?

Answers

Answer: I hate Trump and would make him eat tortilla chip vertically :/

Explanation:

Does the Federal Reserve pay taxes?

Answers

Answer:

Federal Reserve banks are exempt from paying taxes at the federal, state and local levels, except on real estate holdings. This is because of rules on taxation set forth in Section 7(c) of the Federal Reserve Act.

Explanation:

Taeyun is retired and his sole source of income is his bond portfolio. Although he has sufficient principal to live on, he only wants to spend the interest income and thus is concerned about the purchasing power of that income. Which one of the following bonds should best ease his concerns? Multiple Choice a. 20-year coupon bonds b. 5-year TIPS c. 5-year municipal bonds d. 6-year coupon bonds e. 7-year income bonds

Answers

5-year TIPS bonds should best ease his concerns. The answer is OPTION B .

A collection of investments that are primarily made up of bonds is called a bond portfolio. Bond portfolios, which generate income in the form of coupons, are sometimes referred to as fixed income portfolios. According to the rule of 110, you should invest as much of your money in stocks as your age is times 110.

According to the 110-30 rule, if you are 30 years old, you should have 80% (110-30) of your money invested in stocks and 20% in bonds. The U.S. Treasury bill, sometimes known as a T-bill, is the safest kind of bond. These are ultrashort fixed-income instruments with maturities of one year or less that were issued by the US government.

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Harris, who owes Nathan $4,000, sells Bethany a used car for $5,000, payable in 30 days. Harris immediately tells Nathan that she doesn't have the money she owes him, but she is willing to give him her claim to Bethany's $5,000. Nathan agrees and gives up his claim against Harris for $4,000, and Harris notifies Bethany of the assignment. In this case, Bethany is best described as the

Answers

Nathan agrees and gives up his claim against Harris for $4,000, and Harris notifies Bethany of the markup assignment. In this case, Bethany is best described as the In this scenario receives the $5,000 payment is best described as the "assignee" or the person who is assigned the debt.

The term "money" is also relevant in this context as it is the subject of the transactions described. Here's a breakdown of what happened harris owes Nathan $4,000 but doesn't have the money to pay him.

Harris offers to give Nathan her claim to the $5,000 payment she will receive from Bethany for the used car sale. Nathan agrees to this arrangement and accepts the $4,000 that Harris owes him as payment for the debt. Harris then notifies Bethany of the assignment of the debt, meaning that Bethany is now responsible for paying Nathan the $5,000 instead of Harris. Therefore, in this case, Bethany is best described as the "assignee" of the debt.

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Which of these describes information that can appear in a consumer’s credit report?

A. The name of a company that gave the consumer a car loan two years ago

B. The amount of money that the consumer loaned to a family member

C. The amount of money the consumer will need to borrow in the next five years

D. The name of a store where the consumer pays cash for all purchases

Answers

Answer:

A. The name of a company that gave the consumer a car loan two years ago

Explanation:

A credit report is the statement that contains the information related to your credit activity & the present credit situation like history of loan payment, the status of your credit accounts. This would help lenders to use these reports whether they will give you loan and if they are agree than what rate of interest they would offer you

So according to the given situation, the option A is correct

seedbed preparation
activities
1.cleared the area

Answers

Get your supplies lay them out and start your seed preparing with paper towel water and the seeds

technological advances allow smaller companies to compete with larger companies. group of answer choices true false

Answers

True, Technological advances allow smaller companies to compete with larger companies.

What is company?
A company is a legal entity created by a group of people to conduct and manage a business enterprise, whether it be commercial or industrial. Depending on the corporate law of its jurisdiction, a company may be set up in a variety of ways for tax and financial liability reasons. The type of business structure a company chooses, such as a partnership, sole proprietorship, or corporation, will typically depend on the industry it operates in. The ownership structure of the business is also indicated by these structures. Additionally, they can tell private from public companies. Both have different ownership arrangements, laws, and rules regarding financial reporting.

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In Ben and Jerry's hostile takeover they feared that their _____ would end.
A)excellent business reputation
B)above-average industry profits
C)company's social mission
D)high employee morale

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In the case of Ben and Jerry's hostile takeover, they feared that their "C) company's social mission" would end. Ben and Jerry's has been known for its strong social mission that emphasizes giving back to the community and promoting social causes.

A hostile takeover can potentially threaten the social mission of a company, as the new ownership may prioritize profits over social responsibility. The fear was that the takeover would lead to a shift in focus away from their social mission, which could have had a negative impact on their brand image and customer loyalty.

In the end, Ben and Jerry's was acquired by Unilever, but their social mission remained intact. Both parties agreed to maintain the company's commitment to social responsibility, which has allowed Ben and Jerry's to continue to be a leader in corporate social responsibility within the ice cream industry.

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Which statement about credit history is true

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A credit history is a record of a person's borrowing and repayment activity, which is maintained by credit reporting agencies.

What does the record include?

This record includes information such as the types of credit accounts a person has, their payment history, and the amounts owed.

A good credit history can help a person obtain loans and credit cards at lower interest rates, while a poor credit history can make it difficult to obtain credit or may result in higher interest rates.

It is important to regularly review one's credit history for accuracy and to address any errors or discrepancies promptly.

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1. financial institutions in the u.s. economy suppose tyler decides to use $8,000 currently held as savings to make a financial investment. one method of making a financial investment is the purchase of stock or bonds from a private company.
Suppose Touch Tech, a hand-held computing firm, is selling stocks to raise money for a new lab-practice known as finance. Buying a share of Touch Tech stock would give van the firm. In the event that Touch Tech runs into financial difficulty. will be paid first Suppose Van deodes to buy 100 shares of Touch Tech stock. Which of the following statements are correct? Check all that apply. Expectations of a recession that will reduce economywide corporate profits will likely cause the value of Van's shares to decine. An increase in the perceived profitability of Touch Tech will thely cause the value of Van's shares to rise. The Dow Jones Industrial Average is an example of a stock exchange where he can purchase Touch Tech stock Alternatively, Van could make a financial investment by purchasing bonds issued by the US government. Assuming that everything else is equal, a corporate bond issued by an electronics manufacturer most ikely paysa municipal bond issued by a state

Answers

In this scenario, Tyler decides to use $8,000 to make a financial investment by purchasing stocks from Touch Tech, a hand-held computing firm.

Van wants to buy 100 shares of Touch Tech stock. The correct statements regarding the investment and the potential outcomes are as follows: Expectations of a recession that will reduce economy-wide corporate profits are likely to cause the value of Van's shares to decline, while an increase in the perceived profitability of Touch Tech will likely cause the value of Van's shares to rise.

When investing in stocks, the value of the shares is influenced by various factors. Expectations of a recession that will reduce corporate profits across the economy can negatively impact the value of stocks, including Van's shares of Touch Tech stock. On the other hand, if Touch Tech performs well and is perceived as profitable, it can positively affect the value of Van's shares.

The Dow Jones Industrial Average is not a stock exchange where Van can directly purchase Touch Tech stock. It is a stock market index that represents the overall performance of a selection of stocks from various industries. Van would need to find a suitable stock exchange where Touch Tech shares are listed to make the purchase.

Alternatively, Van could consider purchasing bonds issued by the US government. Assuming all else is equal, a corporate bond issued by an electronics manufacturer is more likely to pay higher interest than a municipal bond issued by a state government. Corporate bonds typically offer higher yields to compensate investors for the additional risk associated with investing in private companies compared to government entities. Municipal bonds, on the other hand, are generally considered less risky and therefore offer lower interest rates.

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which of the following is a disadvantage of being a first-mover in the market? a. large outlays associated with creating a new product b. inability to accurately predict performance standards c. the chances that products will be protected by patents d. high switching costs consumers may experience e. costs of marketing plan implementation

Answers

The one that is a disadvantage of being a first-mover in the market is option A. large outlays associated with creating a new product

Who is a first-mover in the market?

A first-mover in the market is a company that is the first to introduce a new product, service, or technology to the market. They often have the advantage of being the first to establish a customer base, create brand recognition, and gain market share.

Therefore, the correct answer is as given above. It could be concluded that a disadvantage of being a first-mover in the market is large outlays associated with creating a new product

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If a portfolio had a return of 15%, the risk-free asset return was 5%, and the standard deviation of the portfolio's excess returns was 30%, the Sharpe measure would be ______ .A. 0.20B. 0.35C. 0.45D. 0.33E. 0.25

Answers

The Sharpe measure, also known as the Sharpe ratio, assesses the risk-adjusted return of an investment or portfolio.

It is calculated by dividing the excess return of the portfolio (the difference between the portfolio return and the risk-free rate) by the standard deviation of the portfolio's excess returns.
In this case, the portfolio had a return of 15%, the risk-free asset return was 5%, and the standard deviation of the portfolio's excess returns was 30%. To calculate the Sharpe measure, we need to find the excess return first, which is 15% - 5% = 10%.
Next, we divide the excess return (10%) by the standard deviation of the portfolio's excess returns (30%).
Sharpe measure = Excess return / Standard deviation = 10% / 30% = 0.33.
Therefore, the Sharpe measure for this portfolio would be 0.33 (option D).

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______is a corporate-level strategy that emphasizes re-investing a company's profits in strengthening its competitive position in its current industry. A. Concentration on a single industry.B. Forward vertical integration.C. Diversification.D. Backward vertical integration.E. International expansion.

Answers

Answer:

A. Concentration on a single industry

Explanation:

The concentration strategy refers to the strategy in which the company wants to compete successfully handling a single industry. The company focused on a single product or the single market in this type of strategy

Here in the given situation, the reinvesting a company profits to strengthen the competitive position in the current industry represents the concentration on a single industry

Hence, the correct option is A.

How can cultural differences affect bargaining behavior? If you were negotiating with a Japanese firm, what might you do differently than if you were facing an American firm? Explain.

Answers

Cultural differences affect bargaining behavior in several ways. For instance, culture shapes the way people communicate, their values and beliefs, and their approach to problem-solving.

Cultural differences can affect how negotiators behave during bargaining sessions with people from different cultural backgrounds. If you were negotiating with a Japanese firm, the following are things you might do differently than if you were facing an American firm: You might spend more time building a relationship with the Japanese negotiators because relationship-building is critical in Japanese culture. In Japan, before business discussions, parties tend to engage in small talk and take the time to get to know each other. You might use the appropriate language and show respect for Japanese business customs. For example, the Japanese have a hierarchical business culture, and showing respect for rank is essential. Therefore, you should address the Japanese negotiators by their titles and use formal language. You might be more patient and avoid showing your emotions because  Japanese culture values harmony and avoids confrontations. Therefore, you should avoid being aggressive and focus on finding common ground between you and the Japanese negotiators. You might need an interpreter to help you communicate because Japanese negotiators may not be comfortable speaking English.

It is essential to have an interpreter who can help you understand what the Japanese negotiators are saying and vice versa. If you were negotiating with an American firm, the following are things you might do differently: You might be more direct and assertive in your communication because Americans tend to value straight talk. Therefore, you should be prepared to communicate your goals and objectives clearly and directly. You might focus on the bottom line and avoid wasting time on relationship-building. In American culture, time is money, and therefore, you might need to get straight to the point. You might be more competitive and push harder to get what you want. Americans are generally more competitive, and therefore, you might need to be more assertive and competitive during bargaining sessions. You might use legal language and focus on details because Americans tend to value details and precision. Therefore, you should be prepared to use legal terms and focus on details when negotiating with an American firm.

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True/False
1. A thank you note sent after a job interview will serve as a reminder to those people you met.
2. When giving the time of your emploment on your resume, be sure to specify only the year of starting and ending of each job.
3. If an interviewer asks you what your weakness are, you should think for a moment before answering.
4. To prevent discrimination, all applicants for a job should be asked the same questions during an interview.

Answers

A thank you note sent after a job interview will serve as a reminder to those people you met is a false statement

2. False

3. False

4. False

What is an interview for a job?

A job interview is known to be a kind of conversation tak that is said to occurs between a said and potential employer and that of a job applicant.

Note that During the job interview, the employer is one who has a lot of opportunity to appraise any kind of  applicant's qualifications, as well as their appearance and full fitness in regards to the job opening.

Hence,  A thank you note sent after a job interview will serve as a reminder to those people you met is a false statement

2. False

3. False

4. False

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Concentrated ownership is when there are very few shareholders so that each one gets a. Share of the profits

Answers

Answer:

yes it was correct but i was in shields and i’m going on the right now so it is a

Explanation:

Given the following information, what are the NZD/SGD currency against currency bid-ask quotations? (You are required to compute two sets of cross-rate bid and ask quotes. 1. "New Zeland dollar" means the cross rate of NZD/SGD. 2. "Singapore dollar" means SGD/NZD. Do not round intermediate calculations. Round your answers to 4 decimal places. ) American Terms Bid Ask Bank Quotations New Zealand dollar Singapore dollar European Teres Bid Ask 1. 3772 1. 3786 1. 6311 1. 6324 7277 -7284. 6144 6149 New Zealand dollar Singapore dollar Bid Ask

Answers

The bid-ask quotations for the NZD/SGD currency pair are as follows: New Zealand dollar (NZD) against Singapore dollar (SGD): Bid: 1.3772, Ask: 1.3786

Singapore dollar (SGD) against New Zealand dollar (NZD):

Bid: 0.7277

Ask: 0.7284

To calculate the bid-ask quotations for the NZD/SGD currency pair, we need to consider the cross rates between the New Zealand dollar (NZD), Singapore dollar (SGD), and the American Terms and European Terms bid-ask quotations.

For the NZD/SGD bid-ask quotations:

The bid quotation is obtained by dividing the European Terms bid (1.6311) by the American Terms ask (1.3786), which gives us 1.3772.

The ask quotation is obtained by dividing the European Terms ask (1.6324) by the American Terms bid (1.3772), which gives us 1.3786.

For the SGD/NZD bid-ask quotations:

The bid quotation is obtained by dividing 1 by the NZD/SGD ask quotation (1.3786), which gives us 0.7277.

The ask quotation is obtained by dividing 1 by the NZD/SGD bid quotation (1.3772), which gives us 0.7284.

Therefore, the bid-ask quotations for the NZD/SGD currency pair are as follows:

New Zealand dollar against Singapore dollar:

Bid: 1.3772

Ask: 1.3786

Singapore dollar against New Zealand dollar:

Bid: 0.7277

Ask: 0.7284

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definition of the term small business​

Answers

Answer:

make me brainalist and keep smiling dude

Explanation:

Small business is defined as a privately owned corporation, partnership, or sole proprietorship that has fewer employees and less annual revenue than a corporation or regular-sized business.

Find the final discount date and the net payment date for an invoice dated June 14 with terms of 3/10, net 20.
The final discount date is
(Type whole numbers.)

Answers

According to the given data, the final discount date is June 24 and the net payment date is July 4.

What do you mean by  final discount date?

Discount date is the date that comes ten (10) days after the bill's due date, unless another date is specified in the contract. The discount date is the final day that net rates can be applied to water and/or sewer charges.

The time frame during which an invoice must be fully paid in order to receive a reduction in the amount owed is known as the discount period.

Here,

Calculation of the final discount date:

Final discount date = June 14 + 10 days

Final discount date = June 24

Calculation of Net payment date:

Net payment date = June 14 + 20 days

Net Payment date = July 4

Therefore, through the data,  the final discount date is June 24 and the net payment date is July 4.

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An oral contract containing a promise by an executor to pay estate debts from estate funds is:
a. binding.
b. voidable by the executor or administrator.
c. enforceable against the executor only if the executor signs written proof of the agreement.
d. enforceable against the other contracting party only if that party signs a written agreement.

Answers

(a) binding. An oral contract containing a promise by an executor to pay estate debts from estate funds is a binding agreement.

However, it is important to note that a detailed answer may vary depending on the specific circumstances and laws of the jurisdiction in question. In some cases, such an oral contract may be subject to limitations or requirements, such as the need for a certain amount of evidence or the ability of the executor to demonstrate the validity of the promise. Additionally, it is possible that the contract may be voidable or unenforceable if certain legal criteria are not met. Therefore, it is recommended to seek legal advice if there are any concerns or questions about the validity of an oral contract involving estate debts.

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a taxpayer places a $75,000 5-year recovery period asset (not an auto) in service in 2022. this is the only asset placed in service in 2022. assuming half-year convention, an election to expense under section 179 (no bonus depreciation), and taxable income after all deductions except section 179 of $8,000, what is the amount of section 179 immediate expensing?

Answers

The amount of section 179 immediate expensing allowed for the asset is $67,000. This means that the taxpayer can immediately deduct $67,000 of the asset's cost as a business expense, rather than depreciating it over its 5-year recovery period.

Under the given scenario, the taxpayer has placed a $75,000 5-year recovery period asset in service in 2022 and has no other assets placed in service during the same year. Assuming the half-year convention and an election to expense under section 179, the amount of section 179 immediate expensing can be calculated as follows:

First, determine the maximum amount of section 179 immediate expensing allowed for the year, which is $500,000 for 2022.

Next, subtract the taxable income after all deductions except section 179 from the cost of the asset, which gives us $67,000 ($75,000 - $8,000).

Then, compare this amount to the maximum amount of section 179 immediate expensing allowed for the year ($500,000), and choose the lower amount. In this case, $67,000 is lower than $500,000.

Therefore, the amount of section 179 immediate expensing allowed for the asset is $67,000. This means that the taxpayer can immediately deduct $67,000 of the asset's cost as a business expense, rather than depreciating it over its 5-year recovery period.

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QUESTION 6/10
Revenue is:
1-1
A. The amount of money a company pays its employees.
C. The amount of taxes a company has to pay.
B. The amount of money a company makes from sales.
D. The amount of money a company has left over after paying
Bills

Answers

B. the amlunt of money a company makes from sales

Task 5

A company imports kids toys and keep them in a central warehouse, from there they distribute them to retailers all around Norway. Last year the annual demand for the Monopoly game was 25000 pieces. The company purchases each game set for NOK 100. It costs NOK 2500 for order processing and transport, no matter how many games they order. The annual interest rate is 15%. Answer the following (you can use Excel worksheet that should be attached to your answer):

a) Calculate EOQ and the total logistics costs

b) What is the average capital tied up in inventory and the annual inventory turn-over rate if they order EOQ?

c) The CFO of the company wants to reduce the tied-up capital by 25%, what will be the order size then? d) You are offered a discount of 2% by ordering 5000 items. Will you accept the offer?

Answers

a) Using the Economic Order Quantity (EOQ) formula, the optimal order size is calculated to be 500 units. The total logistics costs are estimated to be NOK 33,333.33.

b) With an EOQ order size of 500 units, the average capital tied up in inventory is NOK 25,000. The annual inventory turnover rate is 50 times.

c) To reduce the tied-up capital by 25%, the new order size would be 375 units.

d) By accepting the offer of a 2% discount on ordering 5000 items, it is necessary to compare the total costs of ordering 5000 items at the discounted price with the costs of ordering the EOQ (500 units) without the discount.

a) The Economic Order Quantity (EOQ) can be calculated using the formula: EOQ = sqrt((2DS)/H), where D is the annual demand (25,000 units), S is the order processing and transport cost per order (NOK 2,500), and H is the holding cost per unit (calculated as 15% of the unit cost, which is NOK 15). Plugging in the values, EOQ = sqrt((225,0002,500)/15) = 500 units. The total logistics costs can be calculated as EOQ multiplied by the unit cost (NOK 100) plus the total ordering cost (NOK 2,500): Total logistics costs = (500 * 100) + 2,500 = NOK 33,333.33.

b) With an EOQ order size of 500 units, the average capital tied up in inventory can be calculated as EOQ multiplied by the unit cost (NOK 100) divided by 2: Average capital tied up = (500 * 100) / 2 = NOK 25,000. The annual inventory turnover rate is calculated by dividing the annual demand (25,000 units) by the EOQ order size (500 units): Annual inventory turnover rate = 25,000 / 500 = 50 times.

c) To reduce the tied-up capital by 25%, we need to calculate the new order size. The new order size can be determined by multiplying the original EOQ (500 units) by the square root of the desired reduction (75% or 0.75): New order size = 500 * sqrt(0.75) = 375 units.

d) To determine whether accepting the offer of a 2% discount on ordering 5000 items is beneficial, it is necessary to compare the costs. Calculate the total cost of ordering 5000 items at the discounted price (NOK 100 * 0.98 * 5000) and compare it with the total logistics costs of ordering the EOQ (500 units) without the discount (NOK 33,333.33). If the discounted price is lower, accepting the offer would be advantageous.

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When we say that one of the functions of the Fed is to be a lender of last resort, we mean that the Fed:

Answers

When we say that one of the functions of the Fed (Federal Reserve) is to be a lender of last resort, we mean that the Fed provides financial support to banks and other financial institutions facing severe liquidity problems or potential bankruptcy. This ensures financial stability in the economy and helps prevent a potential collapse of the banking system.

When we say that one of the functions of the Fed is to be a lender of last resort, we mean that the Fed acts as a source of funds for financial institutions when they are unable to secure funds from other sources during times of financial stress. This role is critical in maintaining the stability of the financial system and preventing a systemic crisis. The Fed provides loans to banks and other financial institutions to help them meet their short-term liquidity needs and avoid defaulting on their obligations. This helps to maintain confidence in the financial system and prevent a collapse of the banking system.

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1. What is the Present Value of $ 1 million received in 20 years, if the annual percentage rate is 7% per year, and continuous compounding is used?
1. A mutual fund. It earns +18%, –10%, +7%, –15%, 0% in successive years. What is the investor’s overall return for the five years? What is his arithmetic return?
2. Consider a 9 month European Call option on a stock index. The current value of the index is $ 800, the strike price is $ 950, the risk-free rate is 3%, dividend yield = 3%, and the stock volatility has been estimated to be 15%. Compute the value of the option. Hint: Use RMFI software provided. Use Black-Scholes-Merton computation model.
Consider the same stock, but now it is a 9 month European Put option on the index. The current value of the index is $ 800, the strike price is $ 750, the risk-free rate is 3%, dividend yield = 3%, and the stock volatility has been estimated to be 15%. Compute the value of the option. Hint: Use RMFI software provided.
2. What is the price of a 8%, 10 year annual bond that if yield to maturity is 8%, continuously compounded?

Answers

To calculate the present value of $1 million received in 20 years with continuous compounding at an annual percentage rate of 7%, we can use the continuous compounding formula:

\(Present Value = Future Value / e^(rt)\)

where:

Future Value = $1 million

r = Annual interest rate = 7% = 0.07 (expressed as a decimal)

t = Time period = 20 years

e = Euler's number (approximately 2.71828)

Plugging in the values into the formula, we get:

Present Value = $1 million / \(e^(0.07 * 20)\)

Using a calculator or software, the present value comes out to be approximately $281,043.23.

To calculate the overall return and arithmetic return for the given sequence of annual returns (+18%, -10%, +7%, -15%, 0%) over five years, we can use the following formulas:

Overall return = [(1 + R1) * (1 + R2) * (1 + R3) * (1 + R4) * (1 + R5)] - 1

where R1, R2, R3, R4, R5 are the annual returns.

Arithmetic return = (R1 + R2 + R3 + R4 + R5) / n

where n is the number of years (in this case, 5).

Plugging in the values, we have:

Overall return = [(1 + 0.18) * (1 - 0.10) * (1 + 0.07) * (1 - 0.15) * (1 + 0)] - 1

Arithmetic return = (0.18 + (-0.10) + 0.07 + (-0.15) + 0) / 5

Performing the calculations, the overall return is approximately -0.0131 or -1.31% and the arithmetic return is approximately 0%.

To compute the value of the 9-month European Call option on a stock index using the Black-Scholes-Merton model, you would need to input the following parameters into an option pricing software (such as RMFI software) or use an online calculator that utilizes the Black-Scholes-Merton formula:

Current value of the index: $800

Strike price: $950

Risk-free rate: 3% (expressed as 0.03)

Dividend yield: 3% (expressed as 0.03)

Stock volatility: 15% (expressed as 0.15)

Time to expiration: 9 months (expressed as a fraction of a year, i.e., 9/12 or 0.75)

Using the provided inputs, the software or calculator will provide the value of the option.

Similarly, to compute the value of the 9-month European Put option on the stock index, you would use the same parameters as mentioned above, except for the strike price, which is now $750. Inputting these values into the option pricing software or calculator will give you the value of the put option.

To calculate the price of an 8%, 10-year annual bond with a yield to maturity of 8% and continuously compounded, you can use the formula for the present value of a bond:

Bond Price = Coupon Payment \(* [1 - (1 + r)^(-n)] / r + Face Value / (1 + r)^n\)

where:

Coupon Payment = Annual coupon payment = 8% of the face value

r = Yield to maturity rate per period = 8% = 0.08 (expressed as a decimal

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to limit the purchase or consumption of food or other goods is called___

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To limit the purchase or consumption of food or other goods is called a restriction.

What does restriction means in economics?

When there is a limit the purchase or consumption of food or other goods is called restriction which also means act of placing limits or constraints on the amount of a particular item that an individual or group is allowed to purchase or consume.

Restrictions can be self-imposed, such as when an individual chooses to limit their intake of certain foods for health or ethical reasons, or they can be imposed by external factors such as government regulations, rationing programs, or resource scarcity. Restrictions on food or other goods may be intended to promote health, conserve resources, or address social or environmental concerns.

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what are some good outdoor thing to do outside for the summer
list as many as can

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Answer:

biking

swimming

walking

learning something new

being with friends

sports

hiking

going on a trip

making something

what acronym can be used to remember factors that influence real property value?

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The acronym that can be used to remember factors that influence real property value is DUST, which stands for Demand, Utility, Scarcity, and Transferability.
The acronym you can use to remember factors that influence real property value is "DUST". It stands for Demand, Utility, Scarcity, and Transferability. These four factors play a significant role in determining the value of real property. The abbreviation STUD is employed as a memory aid to keep the four factors of value in mind. They are scarcity, transferability, utility, and demand. Scarcity is related to the amount of available real estate. The more rare the quantity of available real estate, the more valuable the property.

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You are trying to decide how to increase the amount you save. What could you do?
• When you get a pay raise, save the increase from each paycheck
• Each day drop your change in a jar and deposit it when the jar is full
. When you get a pay raise, save a portion of the raise from each paycheck
• Save any extra money that comes in such as birthday gifts or bonuses from work.
• Save any money that is left over at the end of each pay period.

Answers

Answer:

I would say All of the Above

Explanation:

Saving money can be done in many ways, in many styles. I hope this helps

A value _________ is accomplished when a company makes an effort to connect their internal value chains.

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The blank space in the statement should be filled with Creation.

What is a Value Chain?

A value chain is characterized by the combination of activities undertaken in a business in a bid to move a product or service along its life cycle, including design, marketing, distribution, and customer support. The company's objective is value creation, particularly in the form of profit.

On this note, Value creation is accomplished when the value chains are connected.

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