Risk and Return Problems and Questions
Complete the following problem sets from Chapter 7 in Microsoft® Excel®. Use one spreadsheet tab for each problem:
 

7-21 Compute Bond Price Compute the price of a 3.8 percent coupon bond with 15 years left to maturity and a market interest rate of 6.8 percent. (Assume interest payments are semiannual.) Is this a discount or premium bond? (LG7-4)
7-27 Yield to Maturity A 5.65 percent coupon bond with 18 years left to maturity is offered for sale at $1,035.25. What yield to maturity is the bond offering? (Assume interest payments are semiannual.) (LG7-6)

 
Answer the following questions in a separate tab of your spreadsheet document. Answers should be brief, concise, and to the point.
 

Explain the relationship between risk and return
Identify an example of risk and return.
Explain which is more risky bonds or common stocks.
Explain how understanding risk and return will help you in future business ventures.

Click the Assignment Files tab to submit your Microsoft® Excel® document I need 2 pages.
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