Essentials of Corporate Finance (Mcgraw-hill/Irwin Series in Finance, Insurance, and Real Estate)
9th Edition
ISBN: 9781259277214
Author: Stephen A. Ross Franco Modigliani Professor of Financial Economics Professor, Randolph W Westerfield Robert R. Dockson Deans Chair in Bus. Admin., Bradford D Jordan Professor
Publisher: McGraw-Hill Education
expand_more
expand_more
format_list_bulleted
Question
Chapter 6, Problem 29QP
Summary Introduction
To determine: The ask price and bid price in dollars.
Introduction:
Bid price refers to the price that an investor would be willing to pay to buy the security.
Ask price refers to the price that a dealer would be ready to accept in exchange for the sale of bond or security instrument.
Expert Solution & Answer
Want to see the full answer?
Check out a sample textbook solutionStudents have asked these similar questions
You find the following Treasury bond quotes. To calculate the number of years until maturity, assume that it is currently May 2022. All
of the bonds have a par value of $1,000 and pay semiannual coupons.
Rate
??
5.774
6.218
Maturity
Month/Year
May 33
May 36
May 42
Bid
103.4755
Asked
103.5483
104.5095 104.6552
??
??
In the above table, find the Treasury bond that matures in May 2036. What is your yield to maturity if you buy this bond?
Note: Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.
Yield to maturity
Change Ask Yield
+.3158 6.219
??
+.4425
+.5548
4.251
Answer is complete but not entirely correct.
4.98%
You find the following Treasury bond quotes. To calculate the number of years until maturity, assume that it is currently May 2022. All
of the bonds have a par value of $1,000 and pay semiannual coupons.
Rate
??
6.052
6.143
Maturity
Month/Year
May 32
May 37
May 47
a. Asked price
b. Bid price
Bid
103.5410
Asked
103.5288
104.4900 104.6357
??
??
Change
+.3248
+.4245
+.5353
Ask Yield
5.919
??
3.951
a. In the above table, find the Treasury bond that matures in May 2047. What is the asked price of this bond in dollars?
Note: Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.
b. If the bid-ask spread for this bond is .0641, what is the bid price in dollars?
Note: Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.
You find the following Treasury bond quotes. To calculate the number of years until maturity, assume that it is currently May 2022. All
of the bonds have a par value of $1,000 and pay semiannual coupons.
Rate
??
6.302
6.168
Maturity
Month/Year
May 29
May 32
May 38
Yield to maturity
Asked
Bid
103.4625
103.5353
104.4965 104.6422
??
??
In the above table, find the Treasury bond that matures in May 2032. What is your yield to maturity if you buy this bond?
Note: Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.
=
Change Ask Yield
+.3028 6.019
??
+.4305
+.5418
4.051
%
Chapter 6 Solutions
Essentials of Corporate Finance (Mcgraw-hill/Irwin Series in Finance, Insurance, and Real Estate)
Ch. 6.1 - What are the cash flows associated with a bond?Ch. 6.1 - What is the general expression for the value of a...Ch. 6.1 - Is it true that the only risk associated with...Ch. 6.2 - Prob. 6.2ACQCh. 6.2 - Prob. 6.2BCQCh. 6.2 - Prob. 6.2CCQCh. 6.3 - What is a junk bond?Ch. 6.3 - What does a bond rating say about the risk of...Ch. 6.4 - Prob. 6.4ACQCh. 6.4 - What do you think would be the effect of a put...
Ch. 6.5 - Prob. 6.5ACQCh. 6.5 - Prob. 6.5BCQCh. 6.5 - Prob. 6.5CCQCh. 6.6 - Prob. 6.6ACQCh. 6.6 - Prob. 6.6BCQCh. 6.7 - What is the term structure of interest rates? What...Ch. 6.7 - Prob. 6.7BCQCh. 6.7 - What are the six components that make up a bonds...Ch. 6 - Section 6.1What is the coupon rate on a bond that...Ch. 6 - Section 6.2What is the provision in the bond...Ch. 6 - Section 6.3Do bond ratings consider default risk?Ch. 6 - Section 6.4What are the features of municipal...Ch. 6 - Prob. 6.5CCh. 6 - Prob. 6.6CCh. 6 - Prob. 6.7CCh. 6 - Prob. 1CTCRCh. 6 - Prob. 2CTCRCh. 6 - Prob. 3CTCRCh. 6 - Prob. 4CTCRCh. 6 - Prob. 5CTCRCh. 6 - Prob. 6CTCRCh. 6 - Prob. 7CTCRCh. 6 - Prob. 8CTCRCh. 6 - LO3 6.9Bond Ratings. Often, junk bonds are not...Ch. 6 - Crossover Bonds. Looking back at the crossover...Ch. 6 - Municipal Bonds. Why is it that municipal bonds...Ch. 6 - Treasury Market. All Treasury bonds are relatively...Ch. 6 - Prob. 13CTCRCh. 6 - Prob. 14CTCRCh. 6 - Prob. 15CTCRCh. 6 - Prob. 1QPCh. 6 - Interpreting Bond Yields. Suppose you buy a 7...Ch. 6 - Bond Prices. Lycan, Inc., has 7 percent coupon...Ch. 6 - Bond Yields. The Timberlake-Jackson Wardrobe Co....Ch. 6 - Prob. 5QPCh. 6 - Bond Prices. Harrison Co. issued 15-year bonds one...Ch. 6 - Prob. 7QPCh. 6 - Coupon Rates. Volbeat Corporation has bonds on the...Ch. 6 - Prob. 9QPCh. 6 - Prob. 10QPCh. 6 - Nominal and Real Returns. An investment offers a...Ch. 6 - Prob. 12QPCh. 6 - LO2 13PRINTED BY: V.SwathiPpreya@spi-global.com....Ch. 6 - Prob. 14QPCh. 6 - Prob. 15QPCh. 6 - Prob. 16QPCh. 6 - Valuing Bonds. Union Local School District has...Ch. 6 - Bond Price Movements. Bond X is a premium bond...Ch. 6 - LO2 19Interest Rate Risk. Both Bond Bill and Bond...Ch. 6 - Interest Rate Risk. Bond J has a coupon rate of 4...Ch. 6 - Bond Yields. PK Software has 6.3 percent coupon...Ch. 6 - Bond Yields. BDJ Co. wants to issue new 25-year...Ch. 6 - Prob. 23QPCh. 6 - Accrued Interest. You purchase a bond with a...Ch. 6 - Prob. 25QPCh. 6 - Prob. 26QPCh. 6 - Finding the Maturity. Youve just found a 10...Ch. 6 - Prob. 28QPCh. 6 - Prob. 29QPCh. 6 - Prob. 30QPCh. 6 - Prob. 31QPCh. 6 - Prob. 32QPCh. 6 - Prob. 33QPCh. 6 - Prob. 34QPCh. 6 - Prob. 35QPCh. 6 - Financing SS Airs Expansion Plans with a Bond...Ch. 6 - Financing SS Airs Expansion Plans with a Bond...Ch. 6 - Financing SS Airs Expansion Plans with a Bond...Ch. 6 - Financing SS Airs Expansion Plans with a Bond...Ch. 6 - Financing SS Airs Expansion Plans with a Bond...Ch. 6 - Financing SS Airs Expansion Plans with a Bond...Ch. 6 - Financing SS Airs Expansion Plans with a Bond...Ch. 6 - Financing SS Airs Expansion Plans with a Bond...Ch. 6 - Financing SS Airs Expansion Plans with a Bond...Ch. 6 - Financing SS Airs Expansion Plans with a Bond...
Knowledge Booster
Similar questions
- Refer to this chart and look at the Treasury bond maturing in March 2022. Required: How much would you have to pay to purchase one of these bonds? Note: Do not round intermediate calculations. Round your answer to 3 decimal places. What is its coupon rate? Note: Round your answer to 3 decimal places. What is the yield to maturity of the bond? Note: Do not round intermediate calculations. Round your answer to 3 decimal places.arrow_forwardYou find the following Treasury bond quotes. To calculate the number of years until maturity, assume that it is currently May 2022. All of the bonds have a par value of $1.000 and pay semiannual coupons. Rate ?? 6.152 6.153 Maturity Month/Year May 34 May 39 May 49 Bid 103.5314 104.4926 ?? Asked Change 103.5436 +.3274 104.6383 +.4269 ?? +.5379 Ask Yield 5.959 ?? 3.991 a. In the above table, find the Treasury bond that matures in May 2049. What is the asked price of this bond in dollars? Note: Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16. b. If the bid-ask spread for this bond is 0647, what is the bid price in dollars? Note: Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16. a. Asked price b. Bid pricearrow_forwardYou find the following Treasury bond quotes. To calculate the number of years until maturity, assume that it is currently May 2022. All of the bonds have a par value of $1,000 and pay semiannual coupons. Asked Rate ??question mark 5.524 6.193 Maturity Month/Year May 34 May 37 May 43 Bid 103.4690 104.5030 ??question mark 103.5418 104.6487 ??question mark Change Ask Yield +.3093 6.119 +.4365 ?? +.5483 4.151 In the above table, find the Treasury bond that matures in May 2037. What is your yield to maturity if you buy this bond?arrow_forward
- You find the following Treasury bond quotes. To calculate the number of years until maturity, assume that it is currently May 2022. All of the bonds have a par value of $1,000 and pay semiannual coupons. Rate 22 6.052 6.143 Maturity Month/Year May 32 May 37. May 47 Coupon rate Asked Bid 103.5410 103.6288 104.4900 22 104.6357 22 Change +.3248 +.4245 +.5353 In the above table, find the Treasury bond that matures in May 2032. What is the coupon rate for this bond? Note: Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16. 2.80% Ask Yield 2.249 77 3.951arrow_forwardYou find the following Treasury bond quotes. To calculate the number of years until maturity, assume that it is currently May 2022. All of the bonds have a par value of $1,000 and pay semiannual coupons. Rate ?? 6.002 6.138 Maturity Month/Year Bid May 32 103.4547 May 35 May 41 104.4887 ?? Asked 103.5275 104.6344 ?? Change +.3235 +.4233 +.5340 Ask Yield 5.899 ?? 3.931 In the above table, find the Treasury bond that matures in May 2035. What is your yield to maturity if you buy this bond? Note: Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16. Yield to maturity %arrow_forwardFind the duration of a bond with a settlement date of May 27, 2025, and maturity date November 15, 2036. The coupon rate of the bond is 6.0%, and the bond pays coupons semiannually. The bond is selling at a bond-equivalent yield to maturity of 8.0%. Use Spreadsheet 16.3. Note: Do not round intermediate calculations. Round your answers to 2 decimal places. X Answer is complete but not entirely correct. Macaulay duration Modified duration 11.98 X 11.52 Xarrow_forward
- Find the YTM of a Treasury bond which you are considering purchasing. The settlement date is Oct. 1, 2023. The bond matures on Dec. 15, 2026 and has a 4.25% coupon rate (the maturity date tells you when the coupon payments are made). The quoted price for the bond is 102:12.arrow_forwardYou find the following Treasury bond quotes. To calculate the number of years until maturity, assume that it is currently May 2019 and the bond has a par value of $1,000. Maturity Mo/Yr Ask Yld Rate Bid Asked 103.5462 103.5340 Chg ?? May 29 5.999 104.4952 104.6409 +.4293 6.252 May 34 ?? +.5405 6.163 May 44 ?? ?? 4.031 a. In the above table, find the Treasury bond that matures in May 2044. What is the asked price of this bond in dollars? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. If the bid-ask spread for this bond is .0654, what is the bid price in dollars? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) a. Asked price b. Bid price +.3015arrow_forwardYou find the following Treasury bond quotes. To calculate the number of years until maturity, assume that it is currently May 2022. All of the bonds have a par value of $1,000 and pay semiannual coupons. Rate ?? 5.774 6.218 Maturity Month/Year May 33 May 36 May 42 Bid Asked 103.5483 103.4755 104.5095 104.6552 ?? ?? Yield to maturity In the above table, find the Treasury bond that matures in May 2036. What is your yield to maturity if you buy this bond? Note: Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16. Change Ask Yield +.3158 6.219 ?? +.4425 +.5548 4.251 % Karrow_forward
- You find the following Treasury bond quotes. To calculate the number of years until maturity, assume that it is currently May 2022. All of the bonds have a par value of $1.000 and pay semiannual coupons. Rate ?? 5.374 6.178 Maturity Month/Year Bid May 29 103.5501 May 34 May 44 104.4991 ?? Asked 103.6383 104.6448 ?? Change +.3054 +.4329 +.5444 Ask Yield 2.389 ?? 4.091 In the above table, find the Treasury bond that matures in May 2029. What is the coupon rate for this bond? Note: Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16. Coupon rate 2.48 %arrow_forwardYou find the following Treasury bond quotes. To calculate the number of years until maturity, assume that it is currently May 2022. All of the bonds have a par value of $1,000 and pay semiannual coupons. Rate ?? 5.424 6.183 Maturity: Month/Year May 32 May 35 May 41 Yield to maturity Asked Bid 103.4664 103.5392 104.5004 104.6461 +.4341 ?? ?? +.5457 Change Ask Yield. 6.079 +.3867 77 4.111 In the above table, find the Treasury bond that matures in May 2035. What is your yield to maturity if you buy this bond? Note: Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16. %arrow_forwardConsider a T-bond maturing in March 2020 with coupon payments on September 1st and March 1st. Assume that the bond has $1000 par value, 10% coupon rate, and YTM = 12.5%. The bond is traded on December 13, 2013. What is the Accrued Interest? What is the full price? What is the flat price?arrow_forward
arrow_back_ios
SEE MORE QUESTIONS
arrow_forward_ios
Recommended textbooks for you
- EBK CONTEMPORARY FINANCIAL MANAGEMENTFinanceISBN:9781337514835Author:MOYERPublisher:CENGAGE LEARNING - CONSIGNMENT
EBK CONTEMPORARY FINANCIAL MANAGEMENT
Finance
ISBN:9781337514835
Author:MOYER
Publisher:CENGAGE LEARNING - CONSIGNMENT