Deck 14: The Money Market

ملء الشاشة (f)
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سؤال
Resiliency in a secondary market refers to

A)The existence of many large buyers of the instrument
B)the entrance of many new orders when the price is in temporary imbalance
C)the ability of the market to absorb a large quantity of a security without a major change in the instrument's price
D)none of the above
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لقلب البطاقة.
سؤال
An instrument will normally be quite liquid if it has high degrees of _______ market ____________.

A)Primary,breadth
B)Secondary,depth
C)Primary,resiliency
D)Offshore,depth
سؤال
The _______ is the rate charged depository institutions when they borrow reserves from the Fed; the _______ is the rate charged on reserve borrowings transacted between banks.

A)Discount rate,Fed funds rate
B)Fed funds rate,Discount rate
C)LIBOR,Fed funds rate
D)Fed funds rate,LIBOR
سؤال
The differences between interest rates on US domestic Certificates of Deposit,Treasury bills,Commercial Paper,Eurodollar Certificates of Deposit,and Fed funds

A)tend to persist when rates are rising,but not when rates are falling
B)tend to persist when rates are falling,but not when rates are rising
C)are not persistent when rate are rising or falling- hence,these instruments are not close substitutes for the short-term investments manager
D)are persistent when rates are rising or falling - hence,these instruments are close substitutes for the short-term investments manager
سؤال
Auction preferred stock (APS)protects against interest rate risk because

A)the price of the stock adjusts constantly to reflect changes in market interest rates
B)APS is sold at a discount which locks in the return
C)dealers that sell the issues fund their inventories using overnight funds
D)APS is purchased and sold at par
E)dividends are adjusted quarterly
سؤال
An investor trying to gain an understanding of what determines commercial paper rates should focus on:

A)only the commercial paper market
B)the T-bill market
C)the CD rates
D)all of the above
E)'b' and 'c'
سؤال
The money market is mainly a (an)___________ market.

A)Wholesale
B)retail
C)brokered
D)offshore
سؤال
Mortgage backed government agency securities are NOT suited to the short-term investor because they

A)have high interest rate risk
B)have uneven cash flows
C)do not permit prepayment of the mortgages backing them
D)all the above are correct
E)'a' and 'b'
سؤال
Security A is a fully taxable security that earns 5% annually.Security B is a tax-exempt municipal security.If a short-term investment manager uses a tax rate of 33%,what yield must security B earn such that the investment manager would be indifferent between securities A and B?

A)2.5%
B)3.35%
C)4.67%
D)7.46%
سؤال
Which of the following is not one of the advantages of money market mutual funds?

A)enhanced liquidity
B)greater flexibility
C)higher yields
D)exemption from state and local income taxes
سؤال
The coupon-equivalent yield is _______ than the discount yield of a 91-day Treasury bill with the gap ______ at higher interest rates.

A)Lower,widening
B)Greater,narrowing
C)Greater,widening
D)Lower,narrowing
سؤال
Relative to treasury securities,agency securities have __________ liquidity and ___________ default risk.

A)less,less
B)less,more
C)more,more
D)more,less
سؤال
Which of the following will enhance the return associated with a dividend capture short-term investment strategy?

A)invest in stocks with high dividend yields
B)after purchasing the stock,hold it at least 46 days
C)invest large dollar amounts
D)all the above are correct
E)none of the above is correct
سؤال
The most liquid security,and the one that has the least default risk in the world,is the:

A)91-day Treasury bill
B)3-month CD
C)loan participations
D)commercial paper
سؤال
Money market securities are issued:

A)The primary market
B)The secondary market
C)The private placement market
D)all of the above
E)'a' and 'c'
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ملء الشاشة (f)
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Deck 14: The Money Market
1
Resiliency in a secondary market refers to

A)The existence of many large buyers of the instrument
B)the entrance of many new orders when the price is in temporary imbalance
C)the ability of the market to absorb a large quantity of a security without a major change in the instrument's price
D)none of the above
B
2
An instrument will normally be quite liquid if it has high degrees of _______ market ____________.

A)Primary,breadth
B)Secondary,depth
C)Primary,resiliency
D)Offshore,depth
B
3
The _______ is the rate charged depository institutions when they borrow reserves from the Fed; the _______ is the rate charged on reserve borrowings transacted between banks.

A)Discount rate,Fed funds rate
B)Fed funds rate,Discount rate
C)LIBOR,Fed funds rate
D)Fed funds rate,LIBOR
A
4
The differences between interest rates on US domestic Certificates of Deposit,Treasury bills,Commercial Paper,Eurodollar Certificates of Deposit,and Fed funds

A)tend to persist when rates are rising,but not when rates are falling
B)tend to persist when rates are falling,but not when rates are rising
C)are not persistent when rate are rising or falling- hence,these instruments are not close substitutes for the short-term investments manager
D)are persistent when rates are rising or falling - hence,these instruments are close substitutes for the short-term investments manager
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5
Auction preferred stock (APS)protects against interest rate risk because

A)the price of the stock adjusts constantly to reflect changes in market interest rates
B)APS is sold at a discount which locks in the return
C)dealers that sell the issues fund their inventories using overnight funds
D)APS is purchased and sold at par
E)dividends are adjusted quarterly
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6
An investor trying to gain an understanding of what determines commercial paper rates should focus on:

A)only the commercial paper market
B)the T-bill market
C)the CD rates
D)all of the above
E)'b' and 'c'
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7
The money market is mainly a (an)___________ market.

A)Wholesale
B)retail
C)brokered
D)offshore
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8
Mortgage backed government agency securities are NOT suited to the short-term investor because they

A)have high interest rate risk
B)have uneven cash flows
C)do not permit prepayment of the mortgages backing them
D)all the above are correct
E)'a' and 'b'
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9
Security A is a fully taxable security that earns 5% annually.Security B is a tax-exempt municipal security.If a short-term investment manager uses a tax rate of 33%,what yield must security B earn such that the investment manager would be indifferent between securities A and B?

A)2.5%
B)3.35%
C)4.67%
D)7.46%
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10
Which of the following is not one of the advantages of money market mutual funds?

A)enhanced liquidity
B)greater flexibility
C)higher yields
D)exemption from state and local income taxes
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11
The coupon-equivalent yield is _______ than the discount yield of a 91-day Treasury bill with the gap ______ at higher interest rates.

A)Lower,widening
B)Greater,narrowing
C)Greater,widening
D)Lower,narrowing
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12
Relative to treasury securities,agency securities have __________ liquidity and ___________ default risk.

A)less,less
B)less,more
C)more,more
D)more,less
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13
Which of the following will enhance the return associated with a dividend capture short-term investment strategy?

A)invest in stocks with high dividend yields
B)after purchasing the stock,hold it at least 46 days
C)invest large dollar amounts
D)all the above are correct
E)none of the above is correct
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14
The most liquid security,and the one that has the least default risk in the world,is the:

A)91-day Treasury bill
B)3-month CD
C)loan participations
D)commercial paper
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15
Money market securities are issued:

A)The primary market
B)The secondary market
C)The private placement market
D)all of the above
E)'a' and 'c'
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افتح القفل للوصول البطاقات البالغ عددها 15 في هذه المجموعة.