A portfolio manager is considering the purchase of a bond with a

分类: CFA-Level1 发布时间: 2023-11-03 11:14 浏览量: 0

A portfolio manager is considering the purchase of a bond with a 5.5% coupon rate that pays interest annually and matures in three years. If the required rate of return on the bond is 5%, the price of the bond per 100 of par value is closest to:

A.98.65

B.101.36

C.106.43

正确答案是B