问题已解决
平均信用风险补偿率应该用哪几个数据?
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您好 计算过程如下
(3.7%+4.3%+4%)/3=4%
信用风险补偿率的确定
(1)选择若干信用等级与本公司相同的上市的公司债券
(2)计算这些上市公司债券的到期收益率
(3)计算与这些上市公司债券同期的长期政府债券到期收益率
(4)计算上述两个到期率的差额,即信用风险补偿率
(5)计算信用风险补偿率平均值,并作为本公司的信用风险补偿率
税前债务成本=政府债券的市场回报率+企业的信用风险补偿率
2022 01/08 10:36
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2022 01/08 10:40
答案说选的不对
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2022 01/08 10:45
抱歉 没有仔细看 答案是对的 上面给你写的信用风险补偿率确定的步骤没有错误
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2022 01/08 10:51
那平均信用风险补偿率应该用哪几个数据?
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2022 01/08 10:52
题目里面没有给到期收益率呀
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2022 01/08 10:57
用同期政府债券到期收益率吗
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2022 01/08 11:00
政府债券和若干信用等级与本公司相同的上市的公司债券 用的都是到期收益率
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2022 01/08 11:02
风险调整法不是公司不是上市公司,也没有可比公司的前提吗
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2022 01/08 11:12
是这样的 所以选择的是信用等级与公司相同的上市公司的债券
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2022 01/08 11:19
风险调整法是本公司是有信用评价评级资料的