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 UID222259 帖子238 主题60 注册时间2011-7-2 最后登录2014-6-29 
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Schweser practice exam 3 afternoon 
| question number 13.2 
 why do you calculate the required terminal value assuming a semi-annual rate?
 
 i know the bond they purchase is paid semi-annually but they want to return 6% over next 5 years dont get why its compunded over 10 periods
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