Well, it is currently completely dysfunctional; if one is an insider, the interest rate is zero, or even negative. For an outsider, the sky is the limit.
Difference enters bond's coupon interest rate the current yield y bondholder's required rate of return?
Since the current market interest rate is higher, it is more attractive to a new investor then the bond with a lower interest rate. Thus, the price of the lower interest rate bond has to decline to be competitive with new bonds in the market.
At the current moment, the euro to US dollar conversion rate is 1.29 US dollars to 1 Euro. While it was worse in previous years, it has slowly been stabilizing to its current rate.
This will usually change from year to year. The current exchange rate of Mexican money into US dollars is 12.83059 Mexican pesos to 1 US dollar.
There are major factors that determine the Canadian to US currency exchange rate. These include differences in inflation, differences in interest rates, current-account deficits, public debt, terms of trade, and political stability and economic performance.
The current PF interest rate if 8% Starting April 2012, the rate of interest will be 8.25%
Auto finance interest rates vary, but the current interest rate is generally between six and nine percent.
The current interest rates of US Saving Bonds are 0.2 percent for Series EE Bonds. Series I Bonds have interest rate of 1.18 percent. Series HH Bonds have interest rate of 1.5 percent.
A variable interest rate on a current bank account would imply that the interest rate fluctuates over time. Market conditions will determine the value of the interest earned.
The current yearly rate comes out to be 7.2 percent.
Please provide a specific country or region for which you have interest in the current interest rates as the answer differs accordingly.
"The current interest rate in the United Kingdom is 0.05%. Santander, a Spanish bank purchased Abbey in 2004. The current standard interest rate on a personal loan is 7.4% APR."
0.5%
It depends. YTM is calculated in the same way as IRR. You take all future cash flows and discout it by x% and equate to current market price. Then you solve for x% and what you get will be YTM. So if current price of bond is calculated by current market rate of interest than YTM=Current Market Rate of Interest. How ever bond price not always is equal to that price. Very often current yield(coupon/current market price) is different from current rate of interest. In such case YTM will differ from Current Market Rate of Interest.
I-bonds have an annual rate of interest. The best way to find the current rate of interest for an I-bond is to go to the website www.treasurydirect.gov and look up the rate.
The current interest rate on an American Airlines credit card is variable. This rate depends on the individual's credit, their payment history, and other factors. The interest rate varies between 21% and 25%.
22. The spot Yen/US$ exchange rate is Yen119.795/US$ and the one year forward rate is Yen114.571/US$. If the annual interest rate on dollar CDs is 6%, what would you expect the annual interest rate to be on Yen CDs?