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关注:1
2013-05-23 12:21
求翻译:A corporation is planning to sell its 90-day commericial paper to investors offering an 8.4 percent yield.If the three-month T-bills annualized rate is 7 percent,the default risk premium is estimated to be 0.6 percent,and there is a 0.4 percent tax adjustment,What is the appropriate liquidity premium是什么意思? 待解决
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A corporation is planning to sell its 90-day commericial paper to investors offering an 8.4 percent yield.If the three-month T-bills annualized rate is 7 percent,the default risk premium is estimated to be 0.6 percent,and there is a 0.4 percent tax adjustment,What is the appropriate liquidity premium
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2013-05-23 12:21:38
甲公司是其计划出售90天的文件,商业投资者发售8.4%年yield.If三个月国库券利率为7%的年,违约风险溢价估计为0.6%,并有一个0.4 %的税的调整,什么是适当的流动性溢价
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2013-05-23 12:23:18
A公司是规划,出售其90天向投资者提供文件Peter Rubenovitch年收益率8.4%。Si的三个月T-法案年率为7%,拖欠风险溢价估计为0.6%,有0.4%的税款调整、克尔Est Le适当流通量溢价
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2013-05-23 12:24:58
假设,利率为1年的债券今天预计是2%, 4%从现在起从现在起一年和6%二年。使用仅纯净的期望理论,什么是当前利率在2年和3年的债券自现在
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2013-05-23 12:26:38
公司计划出售其 90-天浓厚纸向投资者提供 8.4%的产量。如果三个月年度国债利率是 7%,默认的风险溢价估计为 0.6%,并且有 0.4%纳税调整,什么是适当的流动性溢价
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2013-05-23 12:28:18
公司计划出售其 90-天浓厚纸向投资者提供 8.4%的产量。如果三个月年度国债利率是 7%,默认的风险溢价估计为 0.6%,并且有 0.4%纳税调整,什么是适当的流动性溢价
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