Deck 5: Time-Varying Rates of Return and the Yield Curve

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سؤال
Which of the following terms refers to a decrease in price levels?

A)inflation
B)hyperinflation
C)deflation
D)disinflation
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سؤال
A "nominal return" is

A)a return that has not been adjusted for inflation.
B)the type of return that is quoted for securities by the financial press.
C)the return that a security would have earned had there been no inflation.
D)both A and B.
سؤال
You bought a piece of art from a Starving Artist's sale in early 1990 for $50.00. In early 2008, it is worth $500.00. What is the annualized rate of return on your investment, rounded to the
Nearest tenth of a percent?

A)13.6%
B)25.0%
C)50.0%
D)12.5%
سؤال
Investors Mutual Fund reported a total 10-year return of 326%. This translates to an annualized rate of return, rounded to the nearest tenth of a percent, of

A)15.6%.
B)78.4%.
C)12.5%.
D)32.6%.
سؤال
You invested $70,000 in a piece of real estate four years ago. Today it is worth $100,000. What is the annualized rate of return on this investment, rounded to the nearest tenth of a percent?

A)9.3%
B)7.5%
C)10.7%
D)none of the above
سؤال
A project will cost $12,000 and will provide cash flows of $3,000, $5,000, and $5,600 at
the end of the following three years. The annualized interest rate is 8% per annum
over one year, 8.5% per annum over two years, and 9.2% per annum over three years.
Should you undertake this project? Explain your answer.
سؤال
If you make an investment that returns 10% the first year, 20% the second year, and 12% the third year, what is your total 3-year return? Round your answer to the nearest tenth of a
Percent.

A)21.6%
B)42.0%
C)47.8%
D)none of the above
سؤال
In the United States, most contracts are written in

A)nominal terms.
B)deflated terms.
C)real terms.
D)inflation-indexed terms.
سؤال
A "real return" is

A)a return that has not been adjusted for inflation.
B)the return that a security would have earned had there been no inflation.
C)the type of return that is quoted for securities by the financial press.
D)both A and B.
سؤال
The term "inflation" refers to

A)an increase in gross domestic product.
B)an increase in real interest rates.
C)an increase in nominal interest rates.
D)an increase in general price levels.
سؤال
Your total return on an investment was -12% over an eight-year holding period. What was your annualized rate of return, rounded to the nearest tenth of a percent?

A)-1.6%
B)-9.84%
C)-0.98%
D)-1.5%
سؤال
If you make an investment that earns 10% the first year, -5% the second year, -2% the third year, and 12% the fourth year, what is your total 4-year return? Round your answer to the
Nearest tenth of a percent.

A)15.0%
B)14.7%
C)31.9%
D)none of the above
سؤال
According to a 1996 study, the CPI tends to

A)be manipulated frequently by the government for political purposes.
B)understate the general increase in price levels.
C)overstate the general increase in price levels.
D)Both A and C are true.
سؤال
A mutual fund reported the following quarterly returns for the year: 2%, -0.5%, 1.5%, 5%. What was its total return for the year? Round your answer to the nearest tenth of a percent.

A)3.3%
B)37%.
C)8.0%
D)8.2%
سؤال
What range of inflation rates do many economists currently believe is healthy?

A)2% to 4%
B)0% to 1%
C)3% to 5%
D)1% to 3%
سؤال
You paid $75,000 for 13 acres of land in 2005 and sold the land four years later for $120,000. What was the annualized rate of return on your investment, rounded to the nearest tenth of a
Percent?

A)9.9%
B)12.5%
C)15.0%
D)none of the above
سؤال
In the United States, the inflation rate is measured by calculating the change in

A)the public price index.
B)short-term interest rates.
C)long-term interest rates.
D)the consumer price index.
سؤال
If you make an investment that earns 10% the first year and loses 10% the second year, what is your total 2-year return?

A)+1%
B)0%
C)+5%
D)-1%
سؤال
The Trinity Mutual Fund reported a total 5-year return of 200%. What was its annualized rate of return? Round your answer to the nearest tenth of a percent.

A)40.0%
B)14.9%
C)31.6%
D)24.6%
سؤال
Your total return on a certain investment was -25% for a five-year holding period. What was your annualized rate of return, rounded to the nearest tenth of a percent?

A)+9.4%
B)-9.4%
C)-5.0%
D)-5.6%
سؤال
Which of the following statements regarding real and nominal interest rates is true?

A)Although real interest rates may be either positive or negative, nominal interest rates will always be positive.
B)Although nominal interest rates may be either positive or negative, real interest rates will always be positive.
C)If a security has a positive nominal return, then its real return will also be positive.
D)Both real and nominal interest rates may be either positive or negative.
سؤال
Abraham invests only in Treasury securities because he read that they are risk-free.
Comment on Abraham's investment strategy.
سؤال
If yields on long-term bonds are lower than the yields on short-term bonds, the term structure is said to be

A)humped.
B)downward sloping.
C)flat.
D)upward sloping.
سؤال
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. How much will a $10,000 investment in 5-year Treasury notes return if the investment is held to Maturity? Round your answer to the nearest $10.</strong> A)$52,180 B)$10,440 C)$52,160 D)$12,380 <div style=padding-top: 35px>
Refer to the information above. How much will a $10,000 investment in 5-year Treasury notes return if the investment is held to
Maturity? Round your answer to the nearest $10.

A)$52,180
B)$10,440
C)$52,160
D)$12,380
سؤال
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. How much will a $20,000 investment in 10-year Treasury bonds return if the investment is held to maturity? Round your answer to the nearest $10.</strong> A)$209,180 B)$208,640 C)$20,920 D)$31,330 <div style=padding-top: 35px>
Refer to the information above. How much will a $20,000 investment in 10-year Treasury bonds return if the investment is held to maturity? Round your answer to the nearest $10.

A)$209,180
B)$208,640
C)$20,920
D)$31,330
سؤال
If an investment offered a nominal return of 10%, and inflation was 15.8% over the period, what was the real return on this investment? Round your answer to the nearest tenth of a
Percent.

A)+4.8%
B)+0.9%
C)-13.6%
D)-5.0%
سؤال
Your savings account yielded 1.5% last year. The inflation rate was 2%. What real return did you earn on this account? Round your answer to the nearest tenth of a percent.

A)-0.5%
B)+1.0%
C)-1.0%
D)+0.1%
سؤال
If the nominal interest rate is 14%, and inflation is 4%, what is the real interest rate? Round your answer to the nearest tenth of a percent.

A)9.1%
B)9.6%
C)-8.8%
D)11.9%
سؤال
The real interest rate is 2% a year, and the inflation rate is 3.4% a year. What is the present value of a $10,000 nominal payment next year? Round your answer to the nearest $10.

A)$10,140
B)$8,992
C)$9,480
D)$9,860
سؤال
The term structure of interest rates depicts the relationship between yield to maturity and

A)forward rates.
B)default risk.
C)time to maturity.
D)coupon rates.
سؤال
The inflation rate is a constant 3% a year and the nominal interest rate is a constant 6% a year. How much must you have in your retirement account today if you want to make withdrawals
Of $60,000 a year, quoted in today's dollars, each year for the next 30 years? Round your answer
To the nearest $10,000.

A)$830,000
B)$1,190,000
C)$1,940,000
D)$1,750,000
سؤال
What is inflation and how is it usually measured? Be specific.
سؤال
The real interest rate is 1.8% per annum, and the inflation rate is 3% a year. What is the present value of a nominal payment of $5,000 next year? Round your answer to the nearest $10.

A)$4,910
B)$4,550
C)$4,770
D)none of the above
سؤال
A project's cash flows will grow 1.5% faster than the rate of inflation forever. The first cash flow will be $100 and will occur at the end of the year. The inflation rate is a constant 3.2%,
And the nominal interest rate is 10%. What is the value of this project?

A)$1,887
B)$2,941
C)$5,263
D)$1,471
سؤال
The inflation rate is 3.5% a year, and the real interest rate is -2% a year. If a project will provide a perpetual nominal cash flow of $1,000 a year, what is the project's value? Round
Answers to the nearest hundredth of a percent and to the nearest $10.

A)$69,930
B)$17,950
C)$10,200
D)none of the above
سؤال
The inflation rate is a constant 3% a year, and the real interest rate is a constant 1% a year. How much must you have in your retirement account today if you want to make a withdrawal
Of $50,000 a year, quoted in today's dollars, each year after retirement for 25 years. Assume your
First withdrawal will be at the end of this year, and round your answer to the nearest thousand
Dollars.

A)$5,150,000
B)$780,000
C)$1,290,000
D)$1,105,000
سؤال
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. What is the implied interest rate on a one-year Treasury issued at the end of one year?</strong> A)1.92% B)0.96% C)4.36% D)none of the above <div style=padding-top: 35px>
Refer to the information above. What is the implied interest rate on a one-year Treasury issued at the end of one year?

A)1.92%
B)0.96%
C)4.36%
D)none of the above
سؤال
The inflation rate is 3.5% a year, and the real interest rate is 2% a year. If a project will provide a perpetual real cash flow of $1,000 a year, what is the project's value?

A)$50,000
B)$17,953
C)$9,804
D)$10,101
سؤال
A bond investment yielded 8%. If inflation was 3%, what real return did the bond offer? Round your answer to the nearest tenth of a percent.

A)+4.9%
B)+5.2%
C)+1.0%
D)-4.6%
سؤال
An investment earned an average return of 20% per year. During the investment period, the real interest rate averaged 1.8% a year. To the nearest tenth of a percent, the implied average
Annual inflation rate was

A)17.9%.
B)1.2%.
C)1.8%.
D)22.2%.
سؤال
What is an inverted yield curve? What do many people think it signals?
سؤال
True, false, or uncertain: Given that the yield curve is generally upward sloping,
longer-term bonds are better investments than shorter-term bonds because they offer
higher returns.
سؤال
TIPS are

A)bonds issued by the U.S. government that are indexed to inflation.
B)bonds issued by the U.S. government that earn interest that is free from federal taxation.
C)bonds issued by the U.S. government with initial maturities of 12 months or less.
D)zero-coupon bonds that represent coupon or principal payments stripped from a level-coupon bond.
سؤال
Define: Term structure of interest rates. What term structure is considered "normal"?
سؤال
Which of the following statements is true?

A)Longer-term projects must offer higher expected rates of return, which translate into higher NPVs.
B)Short-term projects usually have lower costs of capital than long-term projects.
C)Because shorter-term borrowing is cheaper than long-term borrowing, short-term projects are more likely to be positive NPV projects.
D)All of the above are true statements.
سؤال
True, false, or uncertain: Longer-term projects have higher costs of capital than
short-term projects.
سؤال
An upward sloping yield curve means that

A)long-term bonds are a better investment than short-term bonds.
B)deflation is expected in the future.
C)short-term interest rates are more volatile than long-term interest rates.
D)none of the above.
سؤال
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. You purchase a $1,000, zero-coupon, Treasury bond that matures in five years. Assume the term structure remains constant and that you sell the bond After holding it only three years. For what price can you sell it?</strong> A)$917.66 B)$958.41 C)$1,135.71 D)none of the above <div style=padding-top: 35px>
Refer to the information above. You purchase a $1,000, zero-coupon, Treasury bond that matures in five years. Assume the term structure remains constant and that you sell the bond
After holding it only three years. For what price can you sell it?

A)$917.66
B)$958.41
C)$1,135.71
D)none of the above
سؤال
The following yields were reported for Treasury securities on May 12, 2008: <strong>The following yields were reported for Treasury securities on May 12, 2008:   Refer to the information above. Calculate the implied annualized inflation rate over the next 10 years.</strong> A)1.05% B)0.44% C)5.24% D)none of the above <div style=padding-top: 35px>
Refer to the information above. Calculate the implied annualized inflation rate over the next 10 years.

A)1.05%
B)0.44%
C)5.24%
D)none of the above
سؤال
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. What is the implied annualized interest rate on a 2-year bond that is issued at the end of year 5?</strong> A)23.79% B)11.30% C)4.57% D)9.35% <div style=padding-top: 35px>
Refer to the information above. What is the implied annualized interest rate on a 2-year bond that is issued at the end of year 5?

A)23.79%
B)11.30%
C)4.57%
D)9.35%
سؤال
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. You purchase a $1,000, zero-coupon, Treasury bond that matures in seven years. Assume the term structure remains constant and that your sell the Bond after having held it only 5 years. At what price should you be able to sell it?</strong> A)$1,237.86 B)$914.50 C)$807.85 D)$958.22 <div style=padding-top: 35px>
Refer to the information above. You purchase a $1,000, zero-coupon, Treasury bond that matures in seven years. Assume the term structure remains constant and that your sell the
Bond after having held it only 5 years. At what price should you be able to sell it?

A)$1,237.86
B)$914.50
C)$807.85
D)$958.22
سؤال
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. What is the implied interest rate on a one-year Treasury issued two years from today?</strong> A)2.15% B)4.34% C)0.00% D)0.96% <div style=padding-top: 35px>
Refer to the information above. What is the implied interest rate on a one-year Treasury issued two years from today?

A)2.15%
B)4.34%
C)0.00%
D)0.96%
سؤال
The following yields were reported for Treasury securities on May 12, 2008: <strong>The following yields were reported for Treasury securities on May 12, 2008:   Refer to the information above. Calculate the implied annualized inflation rate over the next 7 years.</strong> A)+0.98% B)-2.17% C)+4.48% D)+2.21% <div style=padding-top: 35px>
Refer to the information above. Calculate the implied annualized inflation rate over the next 7 years.

A)+0.98%
B)-2.17%
C)+4.48%
D)+2.21%
سؤال
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. According to the term structure, what would you have to pay for a $1,000, zero-coupon, Treasury bond that matures in five years?</strong> A)$958.22 B)$808.62 C)$807.85 D)none of the above <div style=padding-top: 35px>
Refer to the information above. According to the term structure, what would you have to pay for a $1,000, zero-coupon, Treasury bond that matures in five years?

A)$958.22
B)$808.62
C)$807.85
D)none of the above
سؤال
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. What is the implied annualized interest rate on a 10-year bond that is issued 10 years from today.</strong> A)1.82% B)4.97% C)6.24% D)9.08% <div style=padding-top: 35px>
Refer to the information above. What is the implied annualized interest rate on a 10-year bond that is issued 10 years from today.

A)1.82%
B)4.97%
C)6.24%
D)9.08%
سؤال
A 1-year bond is yielding 7.4%, and the 1-year forward rate at the beginning of year
two is 8.2%. What is the annualized return on a two-year bond?
سؤال
The following yields were reported for Treasury securities on May 12, 2008: <strong>The following yields were reported for Treasury securities on May 12, 2008:   Refer to the information above. Calculate the implied annualized inflation rate over the next five years.</strong> A)-3.73% B)+2.28% C)+1.47% D)none of the above <div style=padding-top: 35px>
Refer to the information above. Calculate the implied annualized inflation rate over the next five years.

A)-3.73%
B)+2.28%
C)+1.47%
D)none of the above
سؤال
Empirical evidence suggests that the reason that the yield curve is usually upward sloping is that

A)long-term bonds are a better buy than short-term bonds.
B)investors are expecting higher interest rates due to anticipated changes in the economy.
C)investors are expecting higher inflation in the future.
D)long-term bonds are perceived as riskier than short-term bonds.
سؤال
The following yields were reported for Treasury securities on May 12, 2008: <strong>The following yields were reported for Treasury securities on May 12, 2008:   Refer to the information above. Calculate the implied annualized inflation rate over the next 20 years.</strong> A)2.52% B)6.56% C)0.74% D)none of the above <div style=padding-top: 35px>
Refer to the information above. Calculate the implied annualized inflation rate over the next 20 years.

A)2.52%
B)6.56%
C)0.74%
D)none of the above
سؤال
In which of the following two bonds would you prefer to invest if you expect interest
rates to decrease by 50 basis points in the near future? Why?
Bond A: A zero-coupon, 10-year Treasury bond
Bond B: A zero-coupon, 15-year Treasury bond
سؤال
A $10,000 Treasury bill that matures in 9 months (270 days)is currently selling at an
ask discount yield of 2.5%. What effective annual return is it offering?
سؤال
What is the Macaulay duration of a $1,000, zero-coupon bond that has a maturity of 10 years if its yield-to-maturity is 6%?

A)10.00 years
B)9.50 years
C)9.43 years
D)Duration is a meaningless number when dealing with zero-coupon bonds.
سؤال
What continuously compounded rate is equivalent to a simple rate of return of 10%?

A)9.53%
B)28.33%
C)10.52%
D)none of the above
سؤال
Calculate the Macaulay duration of a $1,000, level-coupon, 8% bond that matures in three years . The bond makes annual interest payments and repays its principal at the end of the
Third year, and the yield curve is a flat 10%.

A)2.81 years
B)0.59 years
C)2.78 years
D)3.41 years
سؤال
Consider the following term structure: Consider the following term structure:   Assume you expect the interest rate on a 1-year Treasury security issued one year from today to be 4.0%. Describe the trades that you would make to earn a profit if you are correct, assuming you are able to short sell securities and invest the proceeds from the short sale immediately. Give an example.<div style=padding-top: 35px> Assume you expect the interest rate on a 1-year Treasury security issued one year
from today to be 4.0%. Describe the trades that you would make to earn a profit if you
are correct, assuming you are able to short sell securities and invest the proceeds from
the short sale immediately. Give an example.
سؤال
If you invest $1,000 at 6%, compounded continuously, how much will you have at the end of the year? Round your answer to the nearest dollar.

A)$1,016
B)$1,058
C)$1,062
D)$1,060
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ملء الشاشة (f)
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Deck 5: Time-Varying Rates of Return and the Yield Curve
1
Which of the following terms refers to a decrease in price levels?

A)inflation
B)hyperinflation
C)deflation
D)disinflation
deflation
2
A "nominal return" is

A)a return that has not been adjusted for inflation.
B)the type of return that is quoted for securities by the financial press.
C)the return that a security would have earned had there been no inflation.
D)both A and B.
both A and B.
3
You bought a piece of art from a Starving Artist's sale in early 1990 for $50.00. In early 2008, it is worth $500.00. What is the annualized rate of return on your investment, rounded to the
Nearest tenth of a percent?

A)13.6%
B)25.0%
C)50.0%
D)12.5%
13.6%
4
Investors Mutual Fund reported a total 10-year return of 326%. This translates to an annualized rate of return, rounded to the nearest tenth of a percent, of

A)15.6%.
B)78.4%.
C)12.5%.
D)32.6%.
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5
You invested $70,000 in a piece of real estate four years ago. Today it is worth $100,000. What is the annualized rate of return on this investment, rounded to the nearest tenth of a percent?

A)9.3%
B)7.5%
C)10.7%
D)none of the above
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6
A project will cost $12,000 and will provide cash flows of $3,000, $5,000, and $5,600 at
the end of the following three years. The annualized interest rate is 8% per annum
over one year, 8.5% per annum over two years, and 9.2% per annum over three years.
Should you undertake this project? Explain your answer.
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7
If you make an investment that returns 10% the first year, 20% the second year, and 12% the third year, what is your total 3-year return? Round your answer to the nearest tenth of a
Percent.

A)21.6%
B)42.0%
C)47.8%
D)none of the above
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8
In the United States, most contracts are written in

A)nominal terms.
B)deflated terms.
C)real terms.
D)inflation-indexed terms.
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9
A "real return" is

A)a return that has not been adjusted for inflation.
B)the return that a security would have earned had there been no inflation.
C)the type of return that is quoted for securities by the financial press.
D)both A and B.
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10
The term "inflation" refers to

A)an increase in gross domestic product.
B)an increase in real interest rates.
C)an increase in nominal interest rates.
D)an increase in general price levels.
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11
Your total return on an investment was -12% over an eight-year holding period. What was your annualized rate of return, rounded to the nearest tenth of a percent?

A)-1.6%
B)-9.84%
C)-0.98%
D)-1.5%
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12
If you make an investment that earns 10% the first year, -5% the second year, -2% the third year, and 12% the fourth year, what is your total 4-year return? Round your answer to the
Nearest tenth of a percent.

A)15.0%
B)14.7%
C)31.9%
D)none of the above
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13
According to a 1996 study, the CPI tends to

A)be manipulated frequently by the government for political purposes.
B)understate the general increase in price levels.
C)overstate the general increase in price levels.
D)Both A and C are true.
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14
A mutual fund reported the following quarterly returns for the year: 2%, -0.5%, 1.5%, 5%. What was its total return for the year? Round your answer to the nearest tenth of a percent.

A)3.3%
B)37%.
C)8.0%
D)8.2%
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15
What range of inflation rates do many economists currently believe is healthy?

A)2% to 4%
B)0% to 1%
C)3% to 5%
D)1% to 3%
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16
You paid $75,000 for 13 acres of land in 2005 and sold the land four years later for $120,000. What was the annualized rate of return on your investment, rounded to the nearest tenth of a
Percent?

A)9.9%
B)12.5%
C)15.0%
D)none of the above
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17
In the United States, the inflation rate is measured by calculating the change in

A)the public price index.
B)short-term interest rates.
C)long-term interest rates.
D)the consumer price index.
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18
If you make an investment that earns 10% the first year and loses 10% the second year, what is your total 2-year return?

A)+1%
B)0%
C)+5%
D)-1%
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19
The Trinity Mutual Fund reported a total 5-year return of 200%. What was its annualized rate of return? Round your answer to the nearest tenth of a percent.

A)40.0%
B)14.9%
C)31.6%
D)24.6%
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20
Your total return on a certain investment was -25% for a five-year holding period. What was your annualized rate of return, rounded to the nearest tenth of a percent?

A)+9.4%
B)-9.4%
C)-5.0%
D)-5.6%
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21
Which of the following statements regarding real and nominal interest rates is true?

A)Although real interest rates may be either positive or negative, nominal interest rates will always be positive.
B)Although nominal interest rates may be either positive or negative, real interest rates will always be positive.
C)If a security has a positive nominal return, then its real return will also be positive.
D)Both real and nominal interest rates may be either positive or negative.
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22
Abraham invests only in Treasury securities because he read that they are risk-free.
Comment on Abraham's investment strategy.
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23
If yields on long-term bonds are lower than the yields on short-term bonds, the term structure is said to be

A)humped.
B)downward sloping.
C)flat.
D)upward sloping.
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24
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. How much will a $10,000 investment in 5-year Treasury notes return if the investment is held to Maturity? Round your answer to the nearest $10.</strong> A)$52,180 B)$10,440 C)$52,160 D)$12,380
Refer to the information above. How much will a $10,000 investment in 5-year Treasury notes return if the investment is held to
Maturity? Round your answer to the nearest $10.

A)$52,180
B)$10,440
C)$52,160
D)$12,380
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25
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. How much will a $20,000 investment in 10-year Treasury bonds return if the investment is held to maturity? Round your answer to the nearest $10.</strong> A)$209,180 B)$208,640 C)$20,920 D)$31,330
Refer to the information above. How much will a $20,000 investment in 10-year Treasury bonds return if the investment is held to maturity? Round your answer to the nearest $10.

A)$209,180
B)$208,640
C)$20,920
D)$31,330
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26
If an investment offered a nominal return of 10%, and inflation was 15.8% over the period, what was the real return on this investment? Round your answer to the nearest tenth of a
Percent.

A)+4.8%
B)+0.9%
C)-13.6%
D)-5.0%
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27
Your savings account yielded 1.5% last year. The inflation rate was 2%. What real return did you earn on this account? Round your answer to the nearest tenth of a percent.

A)-0.5%
B)+1.0%
C)-1.0%
D)+0.1%
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28
If the nominal interest rate is 14%, and inflation is 4%, what is the real interest rate? Round your answer to the nearest tenth of a percent.

A)9.1%
B)9.6%
C)-8.8%
D)11.9%
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29
The real interest rate is 2% a year, and the inflation rate is 3.4% a year. What is the present value of a $10,000 nominal payment next year? Round your answer to the nearest $10.

A)$10,140
B)$8,992
C)$9,480
D)$9,860
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30
The term structure of interest rates depicts the relationship between yield to maturity and

A)forward rates.
B)default risk.
C)time to maturity.
D)coupon rates.
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31
The inflation rate is a constant 3% a year and the nominal interest rate is a constant 6% a year. How much must you have in your retirement account today if you want to make withdrawals
Of $60,000 a year, quoted in today's dollars, each year for the next 30 years? Round your answer
To the nearest $10,000.

A)$830,000
B)$1,190,000
C)$1,940,000
D)$1,750,000
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32
What is inflation and how is it usually measured? Be specific.
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33
The real interest rate is 1.8% per annum, and the inflation rate is 3% a year. What is the present value of a nominal payment of $5,000 next year? Round your answer to the nearest $10.

A)$4,910
B)$4,550
C)$4,770
D)none of the above
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34
A project's cash flows will grow 1.5% faster than the rate of inflation forever. The first cash flow will be $100 and will occur at the end of the year. The inflation rate is a constant 3.2%,
And the nominal interest rate is 10%. What is the value of this project?

A)$1,887
B)$2,941
C)$5,263
D)$1,471
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35
The inflation rate is 3.5% a year, and the real interest rate is -2% a year. If a project will provide a perpetual nominal cash flow of $1,000 a year, what is the project's value? Round
Answers to the nearest hundredth of a percent and to the nearest $10.

A)$69,930
B)$17,950
C)$10,200
D)none of the above
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36
The inflation rate is a constant 3% a year, and the real interest rate is a constant 1% a year. How much must you have in your retirement account today if you want to make a withdrawal
Of $50,000 a year, quoted in today's dollars, each year after retirement for 25 years. Assume your
First withdrawal will be at the end of this year, and round your answer to the nearest thousand
Dollars.

A)$5,150,000
B)$780,000
C)$1,290,000
D)$1,105,000
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37
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. What is the implied interest rate on a one-year Treasury issued at the end of one year?</strong> A)1.92% B)0.96% C)4.36% D)none of the above
Refer to the information above. What is the implied interest rate on a one-year Treasury issued at the end of one year?

A)1.92%
B)0.96%
C)4.36%
D)none of the above
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38
The inflation rate is 3.5% a year, and the real interest rate is 2% a year. If a project will provide a perpetual real cash flow of $1,000 a year, what is the project's value?

A)$50,000
B)$17,953
C)$9,804
D)$10,101
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39
A bond investment yielded 8%. If inflation was 3%, what real return did the bond offer? Round your answer to the nearest tenth of a percent.

A)+4.9%
B)+5.2%
C)+1.0%
D)-4.6%
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40
An investment earned an average return of 20% per year. During the investment period, the real interest rate averaged 1.8% a year. To the nearest tenth of a percent, the implied average
Annual inflation rate was

A)17.9%.
B)1.2%.
C)1.8%.
D)22.2%.
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41
What is an inverted yield curve? What do many people think it signals?
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42
True, false, or uncertain: Given that the yield curve is generally upward sloping,
longer-term bonds are better investments than shorter-term bonds because they offer
higher returns.
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43
TIPS are

A)bonds issued by the U.S. government that are indexed to inflation.
B)bonds issued by the U.S. government that earn interest that is free from federal taxation.
C)bonds issued by the U.S. government with initial maturities of 12 months or less.
D)zero-coupon bonds that represent coupon or principal payments stripped from a level-coupon bond.
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44
Define: Term structure of interest rates. What term structure is considered "normal"?
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45
Which of the following statements is true?

A)Longer-term projects must offer higher expected rates of return, which translate into higher NPVs.
B)Short-term projects usually have lower costs of capital than long-term projects.
C)Because shorter-term borrowing is cheaper than long-term borrowing, short-term projects are more likely to be positive NPV projects.
D)All of the above are true statements.
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46
True, false, or uncertain: Longer-term projects have higher costs of capital than
short-term projects.
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47
An upward sloping yield curve means that

A)long-term bonds are a better investment than short-term bonds.
B)deflation is expected in the future.
C)short-term interest rates are more volatile than long-term interest rates.
D)none of the above.
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48
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. You purchase a $1,000, zero-coupon, Treasury bond that matures in five years. Assume the term structure remains constant and that you sell the bond After holding it only three years. For what price can you sell it?</strong> A)$917.66 B)$958.41 C)$1,135.71 D)none of the above
Refer to the information above. You purchase a $1,000, zero-coupon, Treasury bond that matures in five years. Assume the term structure remains constant and that you sell the bond
After holding it only three years. For what price can you sell it?

A)$917.66
B)$958.41
C)$1,135.71
D)none of the above
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49
The following yields were reported for Treasury securities on May 12, 2008: <strong>The following yields were reported for Treasury securities on May 12, 2008:   Refer to the information above. Calculate the implied annualized inflation rate over the next 10 years.</strong> A)1.05% B)0.44% C)5.24% D)none of the above
Refer to the information above. Calculate the implied annualized inflation rate over the next 10 years.

A)1.05%
B)0.44%
C)5.24%
D)none of the above
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50
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. What is the implied annualized interest rate on a 2-year bond that is issued at the end of year 5?</strong> A)23.79% B)11.30% C)4.57% D)9.35%
Refer to the information above. What is the implied annualized interest rate on a 2-year bond that is issued at the end of year 5?

A)23.79%
B)11.30%
C)4.57%
D)9.35%
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51
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. You purchase a $1,000, zero-coupon, Treasury bond that matures in seven years. Assume the term structure remains constant and that your sell the Bond after having held it only 5 years. At what price should you be able to sell it?</strong> A)$1,237.86 B)$914.50 C)$807.85 D)$958.22
Refer to the information above. You purchase a $1,000, zero-coupon, Treasury bond that matures in seven years. Assume the term structure remains constant and that your sell the
Bond after having held it only 5 years. At what price should you be able to sell it?

A)$1,237.86
B)$914.50
C)$807.85
D)$958.22
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52
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. What is the implied interest rate on a one-year Treasury issued two years from today?</strong> A)2.15% B)4.34% C)0.00% D)0.96%
Refer to the information above. What is the implied interest rate on a one-year Treasury issued two years from today?

A)2.15%
B)4.34%
C)0.00%
D)0.96%
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53
The following yields were reported for Treasury securities on May 12, 2008: <strong>The following yields were reported for Treasury securities on May 12, 2008:   Refer to the information above. Calculate the implied annualized inflation rate over the next 7 years.</strong> A)+0.98% B)-2.17% C)+4.48% D)+2.21%
Refer to the information above. Calculate the implied annualized inflation rate over the next 7 years.

A)+0.98%
B)-2.17%
C)+4.48%
D)+2.21%
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54
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. According to the term structure, what would you have to pay for a $1,000, zero-coupon, Treasury bond that matures in five years?</strong> A)$958.22 B)$808.62 C)$807.85 D)none of the above
Refer to the information above. According to the term structure, what would you have to pay for a $1,000, zero-coupon, Treasury bond that matures in five years?

A)$958.22
B)$808.62
C)$807.85
D)none of the above
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55
Assume that the following data on U.S. Treasury securities is current: <strong>Assume that the following data on U.S. Treasury securities is current:   Refer to the information above. What is the implied annualized interest rate on a 10-year bond that is issued 10 years from today.</strong> A)1.82% B)4.97% C)6.24% D)9.08%
Refer to the information above. What is the implied annualized interest rate on a 10-year bond that is issued 10 years from today.

A)1.82%
B)4.97%
C)6.24%
D)9.08%
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56
A 1-year bond is yielding 7.4%, and the 1-year forward rate at the beginning of year
two is 8.2%. What is the annualized return on a two-year bond?
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57
The following yields were reported for Treasury securities on May 12, 2008: <strong>The following yields were reported for Treasury securities on May 12, 2008:   Refer to the information above. Calculate the implied annualized inflation rate over the next five years.</strong> A)-3.73% B)+2.28% C)+1.47% D)none of the above
Refer to the information above. Calculate the implied annualized inflation rate over the next five years.

A)-3.73%
B)+2.28%
C)+1.47%
D)none of the above
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58
Empirical evidence suggests that the reason that the yield curve is usually upward sloping is that

A)long-term bonds are a better buy than short-term bonds.
B)investors are expecting higher interest rates due to anticipated changes in the economy.
C)investors are expecting higher inflation in the future.
D)long-term bonds are perceived as riskier than short-term bonds.
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59
The following yields were reported for Treasury securities on May 12, 2008: <strong>The following yields were reported for Treasury securities on May 12, 2008:   Refer to the information above. Calculate the implied annualized inflation rate over the next 20 years.</strong> A)2.52% B)6.56% C)0.74% D)none of the above
Refer to the information above. Calculate the implied annualized inflation rate over the next 20 years.

A)2.52%
B)6.56%
C)0.74%
D)none of the above
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60
In which of the following two bonds would you prefer to invest if you expect interest
rates to decrease by 50 basis points in the near future? Why?
Bond A: A zero-coupon, 10-year Treasury bond
Bond B: A zero-coupon, 15-year Treasury bond
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61
A $10,000 Treasury bill that matures in 9 months (270 days)is currently selling at an
ask discount yield of 2.5%. What effective annual return is it offering?
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62
What is the Macaulay duration of a $1,000, zero-coupon bond that has a maturity of 10 years if its yield-to-maturity is 6%?

A)10.00 years
B)9.50 years
C)9.43 years
D)Duration is a meaningless number when dealing with zero-coupon bonds.
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63
What continuously compounded rate is equivalent to a simple rate of return of 10%?

A)9.53%
B)28.33%
C)10.52%
D)none of the above
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64
Calculate the Macaulay duration of a $1,000, level-coupon, 8% bond that matures in three years . The bond makes annual interest payments and repays its principal at the end of the
Third year, and the yield curve is a flat 10%.

A)2.81 years
B)0.59 years
C)2.78 years
D)3.41 years
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65
Consider the following term structure: Consider the following term structure:   Assume you expect the interest rate on a 1-year Treasury security issued one year from today to be 4.0%. Describe the trades that you would make to earn a profit if you are correct, assuming you are able to short sell securities and invest the proceeds from the short sale immediately. Give an example. Assume you expect the interest rate on a 1-year Treasury security issued one year
from today to be 4.0%. Describe the trades that you would make to earn a profit if you
are correct, assuming you are able to short sell securities and invest the proceeds from
the short sale immediately. Give an example.
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66
If you invest $1,000 at 6%, compounded continuously, how much will you have at the end of the year? Round your answer to the nearest dollar.

A)$1,016
B)$1,058
C)$1,062
D)$1,060
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افتح القفل للوصول البطاقات البالغ عددها 66 في هذه المجموعة.