municipal securities
corporate bond
Mortgage Securities
Treasury Securities
Federal Agency Securities
100
the chance that the cash flows from an investment won't be worth as much in the future because of changes in purchasing power
what is inflation risk?
100
a bond is debt obligation, like an IOU
What is a corporate bond?
100
Created in 1970
what is the year that Freddie mac was created?
100
debt obligation of the U.S gov.
What is Treasury Securities?
100
government sponsored enterprise
What is is a GSE?
200
the risk that a company or bank may be unable to meet short term financial demands.
what is liquidity risk?
200
indenture
What is a corporate bond contract called
200
Ginnie Mae, Fannie Mae, Freddie Mac
What is the three types of mortgage securities markets?
200
The U.S. Treasury securities market
What is the largest and most liquid financial market in the world?
200
shares of a corporation
What is Equity Securities?
300
the risk that a bond issuer will redeem its bonds before they mature.
what is call risk?
300
interest rate falls
What is a reason that a company will buy back bonds?
300
Government National Mortgage Association
What is Ginnie Mae association tittle?
300
opportunity cost, interest rate fluctuations or rising prices
What is risk for treasury securities?
300
federal agency securities
What is a debt instrument issued by federal credit agency?
400
municipal bonds that finance income-producing projects and are secured by a specified revenue source
What is a revenue bond?
400
corporate debt that matures in less than one year
What is commercial paper
400
Federal National Mortgage Association
What is Fannie Mae association tittle?
400
full fait and credit
What is debt obligations backed by?
400
to fund public needs, lower cost housing, or provide low interest loans to farms
What is the purpose of these securities raising money?
500
Transportation system
who issues revenue bond?
500
limit risk
What are covenants there for
500
Federal home loan corporation known as Freddie mac.
What is Freddie Mac?
500
Treasuries are
What is vulnerable to both inflation and changes in interest rates?
500
1-3 years or 1 month-15 years
What is the maturity date?