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A firm has $3 million in outstanding 10-year bonds, with a fixed rate of 8% (assume annual payments). The bonds trade at a price of $92 per $100 par in the open market. The firm’s marginal tax rate is 35%. What is the after-tax component cost of debt to be used in the we...
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百度试题 结果1 题目 Floating-rate bonds are riskier than fixed rate bonds especially when inflation rate is high. ( )答案( ) 相关知识点: 试题来源: 解析 错误 反馈 收藏
3) Fixed-rate Bonds 固定利率债券 例句>> 4) fixed rate liabilities 固定利率负债5) fixed rate government bond 固定利率公债6) availability of fixed rate medium-term financing (固定利率中期融资)可得到程度补充资料:固定利率 固定利率 月J叼J闷声闷侣4p编气,J止J匕‘.4)户屯孟‘,人J习弓产,...
The article reports on the plan of the city council in Dallas, Texas to offer investors with 236 million worth of highly rated water and sewer bonds to reduce spending. It sates that the 30-year fixed-rate bonds can rise up to 170 millio... R Williamson - 《Bond Buyer》 被引量: 0...
The portfolio’s modified duration is closest to 7.62.Portfolio duration is commonly estimated as the market-value-weighted average of the yield durations of the individual bonds that compose the portfolio.The total market value of the bond portfolio is 170,000+ 120,000+ 100,000= 390,000.The...
The real value of a fixed rate bond is susceptible to loss due to inflation. Because the bonds are long-term securities, rising prices over time can erode the purchasing power of each interest payment a bond makes. For example, if a ten-year bond pays $250 fixed coupons semi-annually, ...