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2010备考CFA金融市场产品和估值习题课
Financial Markets and Products Valuation and Risk Models
1. In managing a portfolio of domestic corporate bonds, which of the following risks
is least important?
A. Interest rate risks
B. Concentration risks
C. Spread risks
D. Foreign exchange risks
2. Use a stated rate of 9% compounded periodically to answer the following three
questions. Select the choice that is the closest to the correct answer.
(1) The semi-annual effective rate is:
A. 9.00%
B. 10.25%
C. 9.20%
D. 9.31%
(2) The quarterly effective rate is:
A. 9.00%
B. 9.31%
C. 9.20%
D. 9.40%
(3) The continuously compounded rate is:
A. 9.42%
B. 9.20%
C. 9.45%
D. 9.67%
3. The following Treasury zero rates are exhibited in the marketplace:
6 months = 1.25%
1 year = 2.35%
1.5 years = 2.58%
2 years = 2.95%
Assuming continuous compounding, the price of a 2-year Treasury bond that pays
a 6 percent semiannual coupon is closest to:
A. 105.20
B. 103.42
C. 108.66
D. 105.90
4. A two-year zero-coupon bond issued by corporate XYZ is currently rated A. One
1
year from now XYZ is expected to remain at A with 85% probability, upgraded to
AA with 5% probability, and downgraded to BBB with 10% probability. The risk
free rate is flat at 4%. The credit spreads are flat at 40, 80, and 150 basis points for
AA, A, and BBB rated issuers, respectively. All rates are compounded annually.
Estimate the expected value of the zero-coupon bond one year from now (for USD
100 face amount). Fixed Income Securities:
A. USD 92.59
B. USD 95.33
C. USD 95.37
D. USD 95.42
5. Assuming the long-term yield on a perpetual note is 5%, compute the dollar value
of
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