Which of the following refers to the rate that bond investors expect to get for investing in a bond?
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Which of the following refers to the rate that bond investors expect to get for investing in a bond?
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- . When choosing between long and short term borrowing, which of the following is not usually a relevant consideration for a company? Any costs associated with refinancing, such as arrangement fees and penalties. Likely interest rate movements. Matching the term of the loan with the nature of the assets being financed. The principal agent problem.Why should the rate of return demanded by investors be different for a corporate bond and a Treasury bond?Analyse the interest rate risk of the following securities, and rank them from lowest risk to highest risk. Justify your ranking. (i) (ii) (iii) (iv) 270-day Treasury Bill Government treasury 30-year zero coupon bond 180-day commercial paper 10-year 5% coupon bond with "B" rating
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- what is the best investment strategy when selecting stocks for a portfolio account. Give a detailed 2 paragraph explanationDicuss some current trends in financial risk management?If you were to add a capital investment of $500,000 and a loan amount for $250,000. Can you provide the statements including those?