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正在读一门FINANCE 的课程. ASSIGNMENT 里面有一题, 想来想去解不出, 请论坛里的能人指点指点:
Consider the securities listed in (1) to (4) below which all mature in 2008. Align the following yields to each
security and explain why you have allocated the yield to each security:
- 5.82% p.a.
- 5.51% p.a.
- 6.37% p.a.
- 5.25% p.a.
Issuer Maturity date Coupon Rating Yield Reason
(1) Treasury Bond 15.11.2008 6.75% p.a. AAA ? ?
(2) Treasury Corp Victoria 15.11.2008 10.25% p.a. AAA ? ?
(3) Westpac Banking Corp 15.11.2008 5.75%p.a. AA- ? ?
(4) Qantas 03.08.2008 7.00% p.a. BBB+ ? ?
题目好象假设今天是01/01 /2008
谢谢大家... 能提供点CLUE 也可以呀, 根据COUPON 计算YIELD 的公式? |
上一篇:明天面试要成功啊下一篇:谁有Internal auditing report?
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