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32. Today is June X015. XYZ Pty Ltd wishes to obtain a fixed-rate loan for one year, commencing in September X015. The loan will be

32. Today is June X015. XYZ Pty Ltd wishes to obtain a fixed-rate loan for one year, commencing in September X015. The loan will be based on face value AUD 10 million in discount securities being issued.

The following information is available

FRA

Futures

Options

3M V 12M

7.22/12

Jun-15

92.00

One year cap at 7.03%

3M V15M

7.08/02

Sep-15

92.50

Premium $300,000

3M V 18M

6.92/82

Dec-15

92.75

Mar-16

93.50

Jun-16

93.75

Sep-16

94.50

Calculate the interest rate applicable (FRA, Futures, Options in this order) to each hedging alternative

Select one:

a. 7.08%, 6,25%, 7.03%

b. 7.08%, 5.5%, 7.03%

c. 7.08%, 7.05%,7.03%

d. 7.22%, 7.05%, 7.03%

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