
求助高手啊 一道金融市场的计算题 跪求跪求了!!! 20
Acustomerasksifthebankwouldbewillingtocommittomakinghimaoneyearloanataninterestrateof...
A customer asks if the bank would be willing to commit to making him a one year loan at an interest rate of 7.5% one year from now. to compensate for the cost of making the loan, the bank needs to charge 1% more than the expected interest rate on a treasury bond with the same maturity if it is to make a profit. If the bank manager estimates the liquidity premium to be 1% , and the one year treasury bond rate is 5% and the two years bond rate is 8%, should the manager make the loan?
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一个顾客问如果银行愿意致力于确保他在一年外借的利率7.5%。一年补偿的制造成本贷款,银行需要比预期的更1%收取一种利率国库债券具有相同的成熟,如果这是以获取利润。如果银行经理估计流动性溢价为1%,一年国库债券税率为5%和两年债券率为8%,主教练应该贷款?
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需要解答吗?请帮个忙,选我为最佳答案吧!O(∩_∩)O谢谢!
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