Consider the following yields to maturity on various one-year, zero-coupon securities: Security Yield (%) Treasury 4.4 4.6 5.3 6 AAA Corporate BBB Corporate B Corporate The credit spread of the BBB corporate bond is closest to A. 0.9% B. 0.45% O C. 1.8% OD. 1.2%
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- The following table summarizes yields to maturity on several 1-year, zero-coupon securities: Yield Security Treasury 3.100% AAA Corporate ВBB Согрогate B Corporate 3.200% 4.200% 4.900% a. What is the price (expressed as a percentage of the face value) of a 1-year, zero-coupon corporate bond with a AAA-rating and a face value of $1,000? b. What is the credit spread on AAA-rated corporate bonds? c. What is the credit spread on B-rated corporate bonds? d. How does the credit spread change with the bond rating? Why? Note: Assume annual compounding.The following table summarizes yields to maturity on several 1-year, zero-coupon securities: Security Yield Treasury AAA Corporate 2.940% 2.964% ВBB Согрогаte B Corporate 3.925% 4.887% a. What is the price (expressed as a percentage of the face value) of a 1-year, zero-coupon corporate bond with a AAA-rating and a face value of $1,000? b. What is the credit spread on AAA-rated corporate bonds? c. What is the credit spread on B-rated corporate bonds? d. How does the credit spread change with the bond rating? Why? Note: Assume annual compounding.The following table summarizes the yields to maturity on several one-year, zero-coupon securities: Security Yield (%) 3.08 Treasury AAA corporate ВВB согрorate В согрorate 3.19 4.23 4.84 a. What is the price (expressed as a percentage of the face value) of a one-year, zero-coupon corporate bond with a AAA rating? b. What is the credit spread on AAA-rated corporate bonds? c. What is the credit spread on B-rated corporate bonds? d. How does the credit spread change with the bond rating? Why? a. What is the price (expressed as a percentage of the face value) of a one-year, zero-coupon corporate bond with a AAA rating? The price of this bond will be %. (Round to three decimal places.) b. What is the credit spread on AAA-rated corporate bonds? The credit spread on AAA-rated corporate bonds is %. (Round to two decimal places.) c. What is the credit spread on B-rated corporate bonds? The credit spread on B-rated corporate bonds is %. (Round to two decimal places.) d. How does the credit…
- e calculate the prices for bonds A-D and the yields for bonds D-G. Coupon Par Value Cash flows: Market price Yield Ꭰ E F G 6.00% 6.70% 5.40% 0.00% 1,000 (757) (813) (799) (505) 0.5 1.0 1.5 2.0 2.5 3.0 3.5 4.0 4.5 5.0 5.5 6.0 6.5 7.0a. What is the price (expressed as a percentage of the face value) of a one-year, zero-coupon corporate bond with a AAA rating?b. What is the credit spread on AAA-rated corporate bonds?c. What is the credit spread on B-rated corporate bonds?d. How does the credit spread change with the bond rating? Why? Security Yield Treasury 3.120AAA corporate 3.874BBB corporate 4.521B corporate 5.328If 8-year T-bonds have a yield of 6.36%, 8-year corporate bonds yield 8.36%, the maturity risk premium on all 8-year bonds is 1.22%, and corporate bonds have a 0.35% liquidity premium versus a zero liquidity premium for T-bonds, what is the default risk premium on the corporate bond? Group of answer choices 1.77% 1.75% 1.80% 1.65% 1.62%
- Assuming the bonds are trading at face value. Using the table below, what is the required rate of return on debt? Security Security #1 Security #2 Security #3 Security #4 4.1% 3.9% O 5.9% 3.3% Face Value $5,000,000 $6,000,000 $4,000,000 $5,000,000 Coupon 8% 2% 9% 6% YTM 4.0% 4.5% 3.8% 4.1%If 10-year T-bonds have a yield of 7.1%, 10-year corporate bonds yield 9.7%, the maturity risk premium on all 10-year bonds is 1.3%, and corporate bonds have a 0.4% liquidity premium versus a zero liquidity premium for T-bonds, what is the default risk premium on the corporate bond? O a. 2.60% O b. 2.20% O c. 3.00% O d. 5.80% O e. 0.90%he following table summarizes yields to maturity on several 1-year, zero-coupon securities: (Click on the following icon in order to copy its contents into a spreadsheet.) Security Yield Treasury 2.860% AAA corporate 3.287% BBB corporate 3.585% B corporate 4.224% a. What is the price (expressed as a percentage of the face value) of a 1-year, zero-coupon corporate bond with a AAA-rating and a face value of ? b. What is the credit spread on AAA-rated corporate bonds? c. What is the credit spread on B-rated corporate bonds? d. How does the credit spread change with the bond rating? Why? Note: Assume annual compounding. Question content area bottom Part 1 a. What is the price (expressed as a percentage of the face value) of a 1-year, zero-coupon corporate bond with a AAA-rating and a face value of ? The price, expressed as a percentage of the face value, is enter your…
- Use the table for the question(s) below. Consider the following four bonds that pay annual coupons: Coupon Bond Years to maturity YTM A 1 0% 5% B 6% 7% C 10 10% 9% D 20 0% 8% The percentage change in the price of the bond "A" if its yield to maturity increases from 5% (Price0) to 6% (Price1) is closest to: О А. 4%. В. - 1%. C. - 4%. OD. - 6%. O O O OThe following table summarizes prices of various default-free zero-coupon bonds ( $100 face value): Maturity (years) 1 2 3 4 5 {:[" Price (per "$100],[" face value) "]:} $96.33 $91.98 $87.41 $82.53 $77.41 a. Compute the yield to maturity for each bond. b. Plot the zero-coupon yield curve (for the first five years). c. Is the yield curve upward-sloping, downward-sloping, or flat? Note: Assume annual compounding. a. Compute the yield to maturity for each bond. The yield on the 1-year bond is %. (Round to two decimal places.) The yield on the 2-year bond is %. (Round to two decimal places.) The yield on the 3-year bond is %. (Round to two decimal places.) The yield on the 4-year bond is enter your response here%. (Round to two decimal places.) Part 5 The yield on the 5-year bond is enter your response here%. (Round to two decimal places.) Note:- Do not provide handwritten solution. Maintain accuracy and quality in your answer. Take care of plagiarism. Answer completely. You will…Security: Treasury AAA Corporate BBB Corporate B Corporate Yield (%): 5.2 5.4 6.4 6.9 The above table shows the yields to maturity on a number of one-year, zero-coupon securities. What is the price per $100 of the face value of a one-year, zero-coupon corporate bond with a BBB rating? A. $93.98 B. $75.19 C. $112.78 D. $131.58