samielove2316 samielove2316
  • 25-11-2022
  • Business
contestada

Suppose the US one-year interest rate is 3% per year, while a foeign country has a one-year interest rate of 5% per year. Ignoring risk and transaction costs, a US investor should invest in foreign bonds as long as the expected yearly rate of depreciation of foreign currency is
A. >2%
B. >5%
C. <5%
D. <1%
E. <2%

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