to view the bond listing from the table below. the close of the selling day of the bond BUD.ID is a decimal.) Bond Listing from Wall Street Journal Online Issuer Name CITIGROUP GENERAL ELECTRIC 2 3 Symbol Coupon C.HRY 8.500% GE.HMX 5.500% Maturity May 2019 Jan 2020 5 Rating Moody's/S&P/ Fitch A3/A/A+ Aa2/AA+/- - 7 8 High Low Last Change Yield 119.268 116.615 117.733 0.448 5.940 105.307 102.374 103.097 -0.028 5.090 6 10
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- You find a bond quote online listing a bond's price as "91". The bond's current price is $_______.From page 9-2 of the VLN, what is the first thing you want to identify when approaching a bond problem? Group of answer choices A. Annual bond or semiannual bond B. Whether the market rate is different from the stated rate. C. The cash flows provided by the bond. D. The company's debt to equity ratio.Refer to the bond listing table below to determine the coupon rate and maturity of a bond issued by Citigroup. Bond Listing from Wall Street Journal Online 1 2 3 4 5 6 7 8 9 10 Issuer Name Symbol Coupon Maturity Rating Moody's/S&P/ Fitch High Low Last Change Yield % CITIGROUP C.HRY 8.500% May 2019 A3/A/A+ 119.268 116.615 117.733 0.448 5.940 GENERAL ELECTRIC CAPITAL GE.HMX 5.500% Jan 2020 Aa2/AA+/−− 105.307 102.374 103.097 −0.028 5.090 KRAFT FOODS KFT.GX 5.375% Feb 2020 Baa2/BBB−/BBB− 106.081 101.999 103.411 0.687 4.930 BANK OF AMERICA BAC.ICB 7.625% Jun 2019 A2/A/A+ 113.172 111.839 112.847 0.283 5.786 ANHEUSER- BUSCH BUD.ID 5.375% Jan 2020 Baa2/BBB+/−− 104.693 104.061 104.526 −0.466 4.784 COMCAST CORP CMCD.GC 5.150% Mar 2020 Baa1/BBB+/BBB+ 104.832…
- I need help using the present value of a bond calculator at https://www.thecalculator.co/finance/Bond-Price-Calculator-606.html. Approximate the present value for the following $1,000 bonds. Note: Round answers to 2 decimal places.The following Bond Data is provided on the FINRA website: Suppose Today's date is 07/11/2023 • Bond Maturity Date: 07/11/2031 Today's Bond Price: $81.95 Bond PAR value: $100 Bond Coupon Rate: 1.8% (coupons are paid semiannually). What is the computed yield to maturity of this Bond? Enter your answer in the format: 0.1234 Hint: Gather N, PV, PMT, FV and compute I/Y; Assume there are 365 days in a year.The prices of several bonds with face values of $1,000 are summarized in the following table: state whether it trades at a discount, at par, or at a premium. Bond A is selling at (Select from the drop-down menu.) . For each bond,
- Calculate the purchase price of the $1,000 face value bond using the information given below. (Do not round the intermediate calculations. Round your final answer to 2 decimal places.) Issue date Dec 15, 2013 Maturity date Dec 15, 2043 Purchase date June 15, 2023 Coupon rate (%) Market rate (%) 5.00 6.4 Assume that • Bond interest is paid semiannually. . The bond was originally issued at its face value. Bonds are redeemed at their face value at maturity. • Market rates of return are compounded semiannually. Bond priceRefer to the bond listing table below to determine the current bond yield for BAC.IOP. Bond Listing from Wall Street Journal Online 1 2 3 4 5 6 7 8 9 10 Issuer Name Symbol Coupon Maturity Rating Moody's/S&P/ Fitch High Low Last Change Yield % CITIGROUP C.HRY 8.500% May 2019 A3/A/A+ 119.268 116.615 117.733 0.448 5.940 GENERAL ELECTRIC CAPITAL GE.HMX 5.500% Jan 2020 Aa2/AA+/−− 105.307 102.374 103.097 −0.028 5.090 KRAFT FOODS KFT.GX 5.375% Feb 2020 Baa2/BBB−/BBB− 106.081 101.999 103.411 0.687 4.930 BANK OF AMERICA BAC.ICB 7.625% Jun 2019 A2/A/A+ 113.172 111.839 112.847 0.283 5.786 ANHEUSER- BUSCH BUD.ID 5.375% Jan 2020 Baa2/BBB+/−− 104.693 104.061 104.526 −0.466 4.784 COMCAST CORP CMCD.GC 5.150% Mar 2020 Baa1/BBB+/BBB+ 104.832 100.923 101.225 0.441…Show all workings. Complete the following table and draw a graph showing how bond pricefor each bond changes over time as they move towards their maturitydates. Describe the relationship between bond prices and timeremaining for maturity.YearsreminingtomaturityBOND ACoupon rate = 8% p.a.Market interest rate =6% p.a.BOND BCoupon rate = 6% p.a.Market interest rate =6% p.a.BOND CCoupon rate = 4% p.a.Market interest rate =6% p.a.109876543210
- Calculate the market price of each bond on 23rd April 2021 that issued by AAA Ltd., using the data provided in the table below. What is the current total value of minimum application? Time to Maturity U.S. Treasury Bond Yield 1 Yr 0.12% 2 Yr 0.14% 3 Yr 0.20% 4 Yr 0.25% 5 Yr 0.27% 7 Yr 0.46% 10 Yr 0.67% Corporate Bonds Fact Sheet Issuer AAA Company Ltd. Issuing date 23rd April 2021 Bond expiration date 25th April 2025 Face value $ 1000 per bond. Minimum application 50 Bonds ($ 50,000) Interest rate Floating Interest Rate. The Interest Rate is the sum of the Market Rate plus the Margin. Coupon rate (annual) Central Government Bond Yield + 1.86% p.a. Coupon payment Annually (coupon payment is paid on 10th July every year) Market Yield 4.00%The prices of several bonds with face values of $1,000 are summarized in the following table: For each bond, state whether it trades at a discount, at par, or at a premium.Calculate the value of each bond and discuss whether it sells at par, discount, or premium. (Annual interest rate) O A. Bond Bond Value A B C O B. Bond A B C O C. Bond A B с O D. Bond A B C $1,149.39 Discount $1,000.00 Par $85.60 Premium Bond Value Sells at par/discount/premium Bond Value $1,149.39 Premium $1,000.00 Par $85.60 Discount Sells at par/discount/premium Bond Value Sells at par/discount/premium $1,149.39 Premium $1,000.00 Par $85.60 Premium Sells at par/discount/premium $1,049.39 Premium $1,100.00 Premium $85.60 Discount Bond Par value Coupon interest Years to rate maturity JA B IC $1000 14% $1000 18% $100 10% 120 16 18 Required return 12% 8% 13%