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How do you find the coupon rate of the bond on a financial calculator? FORD MTR CO DEL ADD TO WATCHLIST Coupon Rate Next Call
How do you find the coupon rate of the bond on a financial calculator?
FORD MTR CO DEL ADD TO WATCHLIST Coupon Rate Next Call Date Callable 7.750 Maturity Date 06/15/2043 Symbol F.GL CUSLP 345370BM1 Last Trade Price Last Trade Yield Last Trade Date US Treasury $122.89 5.888% 04/01/2021 Yield Trade History Price/Yield Chart Classification Elements Price Chart Yield Chart Bond Type US Corporate Debentures Senior Unsecured Debenture 10202020 Zoom: 5D MIM YTO 1Y BY SY 10Y Max Debt Type 10/1220 - Price Pries Industry Group Industry Sub Group Sub-Product Asset Sub-Product Asset Type State Use of Proceeds Security Code Industrial Manufacturing CORP Corporate Bond 116.00 114.00 Special Characteristics Medium Term Note N 112.00 Issue Elements 110.00 10/20/20 06/10/1993 06/15/1993 12/15/1993 $200,000.00 $72,653.00 382 (03/25/2020) BE+ (03/25/2020) Offering Date Dated Date First Coupon Date Original Offering Amount Outstanding Seri Issue Description Project Name Payment Frequency Day Count Form Depository/Registration Credit and Rating Elements Moody's Rating Standard & Poor's Rating TRACE Grade Default Bankruptcy Insurance Mortgage Insurer Pre-Refunded/Escrowed Additional Description High Yield N Semi-Annual 30/360 Book Entry Depository Trust Company Senior Senior Unsecured Debenture Security Level Collateral ledge Capital Purpose dollar amount is thousands Put & Redemption Provisions Call Data Call Price Call Frequency Bond Elements 200,000.00 72,653.00 Put Date Put Price Put Frequency Original Maturity Size Amount Outstanding Size Yield at Offering Price at Offering Coupon Type Escrow Type dollar amount in thousands 7.86% $98.68 Fixed FORD MTR CO DEL ADD TO WATCHLIST Coupon Rate Next Call Date Callable 7.750 Maturity Date 06/15/2043 Symbol F.GL CUSLP 345370BM1 Last Trade Price Last Trade Yield Last Trade Date US Treasury $122.89 5.888% 04/01/2021 Yield Trade History Price/Yield Chart Classification Elements Price Chart Yield Chart Bond Type US Corporate Debentures Senior Unsecured Debenture 10202020 Zoom: 5D MIM YTO 1Y BY SY 10Y Max Debt Type 10/1220 - Price Pries Industry Group Industry Sub Group Sub-Product Asset Sub-Product Asset Type State Use of Proceeds Security Code Industrial Manufacturing CORP Corporate Bond 116.00 114.00 Special Characteristics Medium Term Note N 112.00 Issue Elements 110.00 10/20/20 06/10/1993 06/15/1993 12/15/1993 $200,000.00 $72,653.00 382 (03/25/2020) BE+ (03/25/2020) Offering Date Dated Date First Coupon Date Original Offering Amount Outstanding Seri Issue Description Project Name Payment Frequency Day Count Form Depository/Registration Credit and Rating Elements Moody's Rating Standard & Poor's Rating TRACE Grade Default Bankruptcy Insurance Mortgage Insurer Pre-Refunded/Escrowed Additional Description High Yield N Semi-Annual 30/360 Book Entry Depository Trust Company Senior Senior Unsecured Debenture Security Level Collateral ledge Capital Purpose dollar amount is thousands Put & Redemption Provisions Call Data Call Price Call Frequency Bond Elements 200,000.00 72,653.00 Put Date Put Price Put Frequency Original Maturity Size Amount Outstanding Size Yield at Offering Price at Offering Coupon Type Escrow Type dollar amount in thousands 7.86% $98.68 FixedStep by Step Solution
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