subject
Business, 07.11.2019 07:31 ben5445

The process of bond valuation is based on the fundamental concept that the current price of a security can be determined by calculating the present value of the cash flows that the security will generate in the future.

there is a consistent and predictable relationship between a bond’s coupon rate, its par value, a bondholder’s required return, and the bond’s resulting intrinsic value. trading at a discount, trading at a premium, and trading at par refer to particular relationships between a bond’s intrinsic value and its par value. these result from the relationship between a bond’s coupon rate and a bondholder’s required rate of return.

remember, a bond’s coupon rate partially determines the interest-based return that a bond (might/, and a bondholder’s required return reflects the return that a bondholder(would like/is receive from a given investment.

the mathematics of bond valuation imply a predictable relationship between the bond’s coupon rate, the bondholder’s required return, the bond’s par value, and its intrinsic value. these relationships can be summarized as follows:

• when the bond’s coupon rate is equal to the bondholder’s required return, the bond’s intrinsic value will equal its par value, and the bond will trade at par.

ansver
Answers: 1

Other questions on the subject: Business

image
Business, 21.06.2019 18:30, gracie0818
What is the communication process? why isnt it possible to communicate without using all the elements in the communication process?
Answers: 3
image
Business, 22.06.2019 09:50, niele123
The returns on the common stock of maynard cosmetic specialties are quite cyclical. in a boom economy, the stock is expected to return 22 percent in comparison to 9 percent in a normal economy and a negative 14 percent in a recessionary period. the probability of a recession is 35 percent while the probability of a boom is 10 percent. what is the standard deviation of the returns on this stock?
Answers: 2
image
Business, 22.06.2019 21:10, kmacho9726
Krier industries has just completed its sales forecasts and its marketing department estimates that the company will sell 43,800 units during the upcoming year. in the past, management has maintained inventories of finished goods at approximately 3 months' sales. however, the estimated inventory at the start of the year of the budget period is only 7,300 units. sales occur evenly throughout the year. what is the estimated production level (units) for the first month of the upcoming budget year?
Answers: 3
image
Business, 22.06.2019 21:40, supasavb99
Western electric has 32,000 shares of common stock outstanding at a price per share of $79 and a rate of return of 13.00 percent. the firm has 7,300 shares of 7.80 percent preferred stock outstanding at a price of $95.00 per share. the preferred stock has a par value of $100. the outstanding debt has a total face value of $404,000 and currently sells for 111 percent of face. the yield to maturity on the debt is 8.08 percent. what is the firm's weighted average cost of capital if the tax rate is 39 percent?
Answers: 2
You know the right answer?
The process of bond valuation is based on the fundamental concept that the current price of a securi...

Questions in other subjects:

Konu
English, 03.12.2020 22:50
Konu
Mathematics, 03.12.2020 22:50
Konu
Mathematics, 03.12.2020 22:50