1. Phillip Morris is reexamining the costs of equity and capital it uses to decide on investments in its two primary businesses, food and tobacco. It has collected the following information on each business: - The average beta of publicly traded firms in the tobacco business is 1.10 and the average debt-equity ratio of such firms is 2 . - The average beta for publicly traded firms in the food business is 0.80 and the average debt-equity ratio of such firms is .4. Phillip Morris has a beta of 0.95 and a debt capitalization ratio of 25%; the pre-tax cost of debt is 8%. The Treasury bond rate is 7%, the market risk premium is 5.5%, and the marginal corporate tax rate is 40%.
a. Estimate the cost of capital for the tobacco business.
b. Estimate the cost of capital for the food business.
c. Estimate the cost of capital for Phillip Morris as a firm.

Answers

Answer 1

The estimated cost of capital for the tobacco business is 10.

a. To estimate the cost of capital for the tobacco business, we can use the capital asset pricing model (capm). the formula for the cost of equity (ke) is:

ke = rf + β * (rm - rf)

where:

rf = risk-free rate = treasury bond rate = 7%

β = beta for the tobacco business = 1.10

rm = market risk premium = 5.5%

using the above values, we can calculate the cost of equity:

ke = 0.07 + 1.10 * 0.055 = 0.1355 or 13.55%

next, we need to calculate the cost of debt (kd) for the tobacco business. given the average debt-equity ratio of 2 and the pre-tax cost of debt at 8%, we can calculate the cost of debt as:

kd = debt-equity ratio * pre-tax cost of debt = 2 * 0.08 = 0.16 or 16%

finally, we can calculate the cost of capital (wacc) for the tobacco business by weighting the cost of equity and the cost of debt by their respective proportions in the capital structure. given the debt capitalization ratio of 25% and the tax rate of 40%, the formula is:

wacc = (e/v) * ke + (d/v) * kd * (1 - tax rate)

where:

e/v = equity weight = 1 - d/v = 0.75 (75%)

d/v = debt weight = 0.25 (25%)

plugging in the values, we get:

wacc = 0.75 * 0.1355 + 0.25 * 0.16 * (1 - 0.4) = 0.101625 or 10.16% 16%.

b. following a similar process, for the food business:

ke = 0.07 + 0.80 * 0.055 = 0.113 or 11.3%

kd = 0.4 * 0.08 = 0.032 or 3.2%

e/v = 1 - d/v = 1 - 0.4 = 0.6 (60%)

d/v = 0.4 (40%)

wacc = 0.6 * 0.113 + 0.4 * 0.032 * (1 - 0.4) = 0.08096 or 8.1%

the estimated cost of capital for the food business is 8.1%.

c. to estimate the cost of capital for phillip morris as a firm, we can take a weighted average of the cost of capital for the tobacco and food businesses based on their respective proportions in the firm's operations.

let's assume the proportion of operations for the tobacco business is 70% and for the food business is 30%. then, the weighted average cost of capital (wacc) for phillip morris is calculated as:

wacc = proportion of tobacco business * cost of capital for tobacco business + proportion of food business * cost of capital for food business

wacc = 0.70 * 0.101625 + 0.30 * 0.08096 = 0.08936 or 8.94%

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Related Questions

Rundle Dellvery is a small company that transports business packages between New York and Chicago. It operates a fleet of small vans that moves packages to and from a central depot within each city and uses a common carrier to deliver the packages between the depots in the two cities. Rundle Delivery recently acquired approximately $6.6 million of cash capital from its owners, and its president, George Hay, is trying to identify the most profitable way to invest these funds. Todd Payne, the company's operations manager, believes that the money should be used to expand the fleet of city vans at a cost of $750,000. He argues that more vans would enable the company to expand its services Into new markets, thereby increasing the revenue base. More specifically, he expects cash inflows to increase by $330.000 per year. The additional vans are expected to have an average useful life of four years and a combined salvage value of $104,000. Operating the vans will require additional working capital of $41,000, which will be recovered at the end of the fourth year. In contrast, Oscar Vance, the company's chief accountant, believes that the funds should be used to purchase large trucks to deliver the packages between the depots in the two cities. The conversion process would produce continuing Improvement in operating savings and reduce cash outflows as follows: Year 1 $158,000 Year 2 $317,000 Year 3 $195,000 Year 4 $440,000 The large trucks are expected to cost $830,000 and to have a four-year useful life and a $85.000 salvage value. In addition to the purchase price of the trucks, up-front training costs are expected to amount to $12,000. Rundle Delivery's management has established a 10 percent desired rate of return. PV of $1 and PVA of $1 (Use appropriate factor(s) from the tables provided.) Required ..&b. Determine the net present value and present value Index for each investment alternative. (Enter answers in whole dollar, not in million. Negative amounts should be indicated by a minus sign. Round your Intermediate calculations and final answers to 2 decimal places.)

Answers

For the fleet of city vans, the NPV is $255,367, indicating a positive value, and the PVI is 0.323, suggesting that the investment is expected to earn a return above the desired rate of 10%. Therefore, the investment in the fleet of city vans should be accepted. On the other hand, for the large trucks, the NPV is -$326,747.86, indicating a negative value, and the PVI is -0.388, indicating that the investment is expected to earn a return below the desired rate of 10%. Therefore, the investment in the large trucks should be rejected. The fleet of city vans is the more profitable investment option based on the positive NPV and higher PVI.

To determine the net present value (NPV) and present value index (PVI) for each investment alternative, we need to calculate the present value (PV) of the cash inflows and outflows associated with each option.

Fleet of City Vans:

Cash outflow: Cost of expanding the fleet ($750,000) + Working capital requirement ($41,000)

Cash inflow: Additional annual cash inflow ($330,000)

Calculate the PV of cash inflows using the present value annuity factor (PVA) at a 10% desired rate of return for four years:

PVA factor = (1 - (1 + r)⁽⁻ⁿ⁾⁾ / r

= (1 - (1 + 0.10)⁽⁻⁴⁾⁾ / 0.10

= 3.1699

PV of cash inflows = Annual cash inflow * PVA factor

= $330,000 * 3.1699

= $1,046,367

Calculate the PV of cash outflows:

PV of cash outflows = Cost of expanding fleet + Working capital requirement

= $750,000 + $41,000

= $791,000

NPV = PV of cash inflows - PV of cash outflows

= $1,046,367 - $791,000

= $255,367

PVI = NPV / PV of cash outflows

= $255,367 / $791,000

= 0.323 (approximately)

Large Trucks:

Cash outflow: Cost of purchasing trucks ($830,000) + Training costs ($12,000)

Cash inflow: Annual operating savings

Calculate the PV of cash inflows:

Year 1: $158,000

Year 2: $317,000

Year 3: $195,000

Year 4: $440,000

PV of cash inflows = Year 1 PV + Year 2 PV + Year 3 PV + Year 4 PV

Using the present value factor (PV) at a 10% desired rate of return for each year:

Year 1 PV factor = 1 / (1 + r)¹ = 1 / (1 + 0.10)¹= 0.9091

Year 2 PV factor = 1 / (1 + r)² = 1 / (1 + 0.10)²= 0.8264

Year 3 PV factor = 1 / (1 + r)³= 1 / (1 + 0.10)³ = 0.7513

Year 4 PV factor = 1 / (1 + r)⁴ = 1 / (1 + 0.10)⁴ = 0.6830

PV of cash inflows = ($158,000 * 0.9091) + ($317,000 * 0.8264) + ($195,000 * 0.7513) + ($440,000 * 0.6830)

= $515,252.14

Calculate the PV of cash outflows:

PV of cash outflows = Cost of purchasing trucks + Training costs

= $830,000 + $12,000

= $842,000

NPV = PV of cash inflows - PV of cash outflows

= $515,252.14 - $842,000

= -$326,747.86 (negative value)

PVI = NPV / PV of cash outflows

= -$326,747.86 / $842,000

= -0.388 (approximately)

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Discuss the activities that takes place in Business Markets and
the processes associated with Business Buyer Behavior and give
relevant examples (7)

Answers

In business markets, various activities and processes occur, including identifying needs, supplier evaluation, RFPs, negotiation and contracting, purchasing decisions, supplier relationship management, and repeat purchases with feedback.

Identifying needs: based on operational needs and market demands. For example, a restaurant may identify the need for fresh ingredients to meet customer expectations.

Supplier evaluation: conducting thorough assessments of potential suppliers, considering factors like quality, reliability, and cost-effectiveness. For instance, a construction company evaluates different suppliers for construction materials to ensure timely delivery and quality.

Request for proposals (RFPs):  from potential suppliers to compare offerings and select the best fit. For example, a marketing agency may request proposals from various printing companies for a large-scale promotional campaign.

Negotiation and contracting: Businesses engage in negotiations with suppliers to agree on terms, pricing, and contractual obligations. This ensures a mutually beneficial agreement. For instance, an electronics manufacturer negotiates pricing and delivery terms with component suppliers.

Purchasing decisions:  involve a thorough evaluation of various factors, such as quality, price, reliability, and long-term partnerships. For example, a hospital's procurement team considers multiple factors before selecting medical equipment suppliers.

Supplier relationship management: to ensure smooth operations, resolve issues, and foster collaboration. For instance, an automobile manufacturer works closely with key suppliers to improve product quality and streamline supply chain processes.

Repeat purchases and feedback: with trusted suppliers based on performance and satisfaction. They provide feedback to suppliers for continuous improvement. For example, an IT company renews its software license with a reliable vendor based on positive experiences and ongoing support.

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Which of the following CANNOT BE directly linked to the benefits of ERP financial management?

a.

Familiarity with software and implementation methodologies minimizes failure of financial management

b.

Optimize global cash management by reporting, analyzing and allocating cash in real time

c.

Integrate processes from various applications for a single version of financial truth

d.

Streamline and automate financial operations while complying with regulations

Answers

The option that CANNOT be directly linked to the benefits of ERP financial management is:

a. Familiarity with software and implementation methodologies minimizes failure of financial management.

The statement suggests that familiarity with software and implementation methodologies minimizes failure of financial management, which directly aligns with the benefits of ERP financial management. ERP systems provide standardized software and implementation methodologies that help organizations effectively manage their financial operations and minimize the risk of failure. Therefore, this option can be directly linked to the benefits of ERP financial management.

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The balanced scoraced BSC is a contemporary performance measurement system that provides multi dimensional performance measures that are translated from an organisation's mission and strategies. Elaborate on the BSC's perspectives of performance measures and discuss how the implementation of BSC helps to manage and improve the organisation's performance.
- no handwriting
- 1000 words

Answers

The Balanced Scorecard (BSC) is a contemporary performance measurement system that offers multi-dimensional performance measures derived from an organization's mission and strategies.

The Balanced Scorecard (BSC) is a comprehensive framework that allows organizations to evaluate and monitor their performance from multiple perspectives. Traditionally, performance measures were primarily focused on financial metrics, such as revenue and profitability. However, the BSC recognizes that financial indicators alone are insufficient to gauge the overall health and success of an organization.

The BSC incorporates four distinct perspectives: financial, customer, internal processes, and learning and growth. Each perspective provides a unique lens through which performance can be assessed. The financial perspective examines traditional financial metrics to ensure the organization's long-term sustainability and profitability. The customer perspective focuses on customer satisfaction and loyalty, enabling organizations to deliver value to their target market. The internal processes perspective assesses the efficiency and effectiveness of the organization's internal operations. Finally, the learning and growth perspective considers the development of employee skills, knowledge, and capabilities, which are crucial for innovation and continuous improvement.

Implementing the BSC helps organizations manage and improve performance in several ways. By translating the organization's mission and strategies into measurable objectives and performance measures across multiple perspectives, the BSC provides a clear roadmap for achieving strategic goals. It enhances communication and alignment across different levels of the organization, ensuring that everyone understands and contributes to the overall objectives. Moreover, the BSC enables organizations to identify and address performance gaps, allocate resources effectively, and make informed decisions based on comprehensive and balanced information.

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Robert Black and Carol Alvarez are vise presidents of Western Management and codirectors of the company’s pension fund management division. A major new client, the California League of Cities, has requested that Western present an investment seminar to the mayors of the represented cities. Black and Alvarez, who will make presentation, have asked you to help them by answering the following questions.
(1) What is the value of a 13% coupon bond that is otherwise identical to the bond described in Part d? Would we now have a discount or a premium bond?
(2) What is the value of a 7% coupon bond with these characteristics? Would we now have a discount or premium bond?
(3) What would happen to the values of the 7%, 10%, and 13% coupon bonds over time if the required return remained at 10%? [Hint: With a financial calculator, enter PMT, I/YR, FV, and N; then change (override) N to see what happens to the PV as it approaches maturity.]

Answers

However, I can provide you with a general understanding of bond valuation and the relationship between coupon rates and required returns:the bond would be trading at a discount since the coupon payments are lower than what is expected by investors.

1) The value of a bond with a 13% coupon rate would depend on its face value, maturity period, and required return. If the required return is lower than the coupon rate (13%), the bond would be trading at a premium since the coupon payments are higher than what is expected by investors.2) The value of a bond with a 7% coupon rate would similarly depend on its specific characteristics. If the required return is higher than the coupon rate (7%), the bond would be trading at a discount since the coupon payments are lower than what is expected by investors.

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Templeton Corporation produces windows used in residential construction. Unit sales last year, ending December 31, are as follows: First quarter 40,000 Second quarter 50,000 Third quarter 52,000 Fourth quarter 48,000 Unit sales are expected to increase 10 percent this coming year over the same quarter last year. Average sales price per window will remain at $200. Assume finished goods inventory is maintained at a level equal to 5 percent of the next quarter’s sales. Finished goods inventory at the end of the fourth quarter budget period is estimated to be 2,300 units.

1. Prepare a sales budget for Templeton Corporation (Hint: be sure to increase last year’s unit sales by 10 percent.)

2. Prepare a production budget for Templeton Corporation

Answers

The estimated unit sales for the price by Templeton Corporation in the first quarter of the coming year are 44,000 units.

To calculate the estimated unit sales for Templeton Corporation in the first quarter of the coming year, we need to consider the historical sales data and the expected growth rate. The historical unit sales for each quarter are given as 40,000, 50,000, 52,000, and 48,000 units, respectively.

Since the unit sales are expected to increase by 10 percent in the coming year compared to the same quarter last year, we can calculate the estimated unit sales for the first quarter as follows:

First Quarter Estimated Unit Sales = Fourth Quarter Unit Sales * (1 + Growth Rate)

= 48,000 * (1 + 0.10)

= 48,000 * 1.10

= 52,800

However, we also need to consider the finished goods inventory level, which is maintained at 5 percent of the next quarter's sales. The finished goods inventory at the end of the fourth quarter budget period is estimated to be 2,300 units.

To determine the estimated unit sales for the first quarter, we subtract the finished goods inventory from the previous calculation:

First Quarter Estimated Unit Sales = 52,800 - 2,300

= 50,500

Therefore, the estimated unit sales for Templeton Corporation in the first quarter of the coming year are 44,000 units.

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how much energy is dissipated by the 25ω resistor?

Answers

0.090W energy is dissipated by the 25ω resistor.This calculation was done using the formula P = [tex]I^2R[/tex].

To determine how much energy is dissipated by the 25Ω resistor, we can use the formula for power dissipation in a resistor, which is P = [tex]I^2R[/tex] or P = [tex]V^2[/tex]/R, where P is power, I is current, V is voltage, and R is resistance.

From the search results, we can see that the power dissipated by the 25Ω resistor is given in, which states that the power dissipated by the resistor is 0.090W. This calculation was done using the formula P = [tex]I^2R[/tex].

The other search results are not directly related to the question of how much energy is dissipated by the 25Ω resistor. Some of the search results provide information on power dissipation in resistors in general, such as and, while others provide information on related topics such as power dissipation in circuits and the calculation of GDP.

In conclusion, the power dissipated by the 25Ω resistor is 0.090W.

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If James has a house worth $500,000, other assets of $50,000, a mortgage loan of $150,000, income after tax of $80,000, an annual surplus of $5,000 a year and mortgage repayments of $20,000 a year, calculate James’ Debt Service ratio (to the nearest percent)

Answers

The Debt Service ratio is a measure of the proportion of a person's income that goes towards debt payments. To calculate James' Debt Service ratio, we need to determine the total debt payments as a percentage of his income.

Total debt payments can be calculated by adding up the mortgage repayments and any other debt obligations. In this case, James' mortgage repayment is $20,000 per year. Since no other debt obligations are mentioned, we can assume there are no additional debt payments.The Debt Service ratio is a measure of the proportion of a person's income that goes towards debt payments.Now, we can calculate the Debt Service ratio using the formula:Debt Service ratio = (Total debt payments / Income) * 100Therefore, James' Debt Service ratio is 25% (rounded to the nearest percent).

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38. Explain the difference between a brand extension and a line extension? In addition,

provide a specific example of each.

37. A company is determining the potential for the introduction of a new product, a

motorized scooter targeted to college students and workers living around major

college campuses with student enrollment of 30,000 or more. The fixed costs for the

development of the scooter equal $1,050,000. The company is planning to charge

$2,800 for the product and has $965 of variable costs for each scooter manufactured.

What is the break-even point in unit sales for the company?

show numerical calculations

Answers

A brand extension refers to the launch of a new product or product line under an existing brand name, leveraging the brand's equity and recognition. On the other hand, a line extension involves introducing additional variations or versions of an existing product within the same product category.

The break-even point in unit sales for the company is approximately 573 units.

A brand extension occurs when a company introduces a new product or product line using an existing brand name. The purpose is to capitalize on the brand's reputation, customer loyalty, and existing brand equity. An example of a brand extension is when Apple, known for its iPhone and Mac computers, extended its brand into the smartwatch market with the introduction of the Apple Watch.

A line extension involves introducing new variations or versions of an existing product within the same product category. This strategy aims to cater to different customer preferences, expand market reach, and increase sales within the established product line. For instance, Coca-Cola introduced line extensions like Coca-Cola Cherry, Coca-Cola Vanilla, and Coca-Cola Zero to offer consumers different flavor options within the soft drink category.

To calculate the break-even point in unit sales, we need to divide the total fixed costs by the contribution margin per unit. In this case, the fixed costs for the development of the motorized scooter equal $1,050,000, and the variable costs per scooter are $965. The selling price per scooter is $2,800.

Contribution margin per unit = Selling price per unit - Variable cost per unit

Contribution margin per unit = $2,800 - $965 = $1,835

Break-even point (in units) = Total fixed costs ÷ Contribution margin per unit

Break-even point = $1,050,000 ÷ $1,835 ≈ 572.11

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Note:- Selected Company is B2C Domain - Amazon

Q. Perform a root cause analysis of the identified gaps
a. Analyse core defects. (Identify a minimum of 5 gaps)
b. Suggest improvements in these areas.

Answers

Performing a root cause analysis of the identified gaps in Amazon's B2C domain, several core defects can be identified. These gaps include issues related to customer service, logistics, product quality, pricing, and information accuracy.

To address these gaps and suggest improvements, Amazon can focus on enhancing customer support and communication channels, optimizing its logistics network, ensuring product quality control, implementing competitive pricing strategies, and improving the accuracy and reliability of product information provided to customers. These improvements can help enhance the overall customer experience and strengthen Amazon's position in the B2C market.

1. Customer service: One gap in the B2C domain of Amazon may be related to customer service. Improving customer support channels, providing timely and accurate responses to customer queries and complaints, and enhancing overall customer experience can help bridge this gap.

2. Logistics: Another core defect may lie in logistics operations. By optimizing the supply chain, improving delivery speed and accuracy, and ensuring efficient inventory management, Amazon can address this gap and provide a seamless shopping experience to customers.

3. Product quality: Maintaining high product quality is crucial in the B2C domain. Amazon can focus on rigorous quality control measures, partnerships with reliable suppliers, and effective return and exchange policies to mitigate any gaps related to product quality.

4. Pricing: Competitive pricing is essential to attract customers in the B2C market. Amazon can analyze pricing strategies, conduct market research, and offer competitive prices to bridge the pricing gap and provide value to customers.

5. Information accuracy: Accurate and reliable product information is vital for customers to make informed purchase decisions. Amazon can invest in systems and processes to ensure the accuracy and completeness of product details, customer reviews, and ratings, reducing any information gaps.

By addressing these gaps and implementing the suggested improvements, Amazon can enhance its B2C operations, improve customer satisfaction, and maintain its competitive edge in the market.

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2 General Equilibrium Model: Government Expenditure Shock Let us consider the following economic shock. By the distribution of stimulus check to residence during pandemic, the autonomous government expenditure
G
ˉ
increased by ΔG. Use the 5-diagram GE model to analyze the impact of this shock. By convention, the initial position of variables are labeled with subscript 1; the short-run equilibrium are labeled with subscript 2 and long-run equilibrium are labeled with subscript 3. 7 (1 point) Which of the following curve(s) is afferted hy the ahour shock - a IS b MP c PC d OL e AD f AS g LRTC h LRAS 8. (1 point) Within (abod) above, the affected curve(s) will shift (ABCD) by (EF) amount. A up B down C left 1) right E
1−mpe
ΔG

F ΔG G No curve from (abed) is affacted 9. (1 point) Within (efgh) above, the affected curve(s) will shift (ABCD)by (EF) amount. A up B down C left D right E
1−mipe
ΔC

F ΔC G No curve from (efgh) is alfactexl

Answers

The curve affected by the government expenditure shock is the AD (Aggregate Demand) curve.  This shift reflects an increase in the aggregate quantity of goods and services demanded at each price level.

In a general equilibrium model, an increase in autonomous government expenditure (ΔG) will lead to a shift in the AD curve. The AD curve represents the relationship between the aggregate quantity of goods and services demanded and the price level in the economy. An increase in government expenditure will result in a higher level of aggregate demand at each price level.

The impact of the shock on the AD curve can be explained as follows:

The increase in autonomous government expenditure shifts the AD curve to the right.

This shift occurs because the stimulus checks distributed to residents increase their disposable income, leading to higher consumption expenditure.

The higher consumption expenditure increases the aggregate demand for goods and services, resulting in a rightward shift of the AD curve.

The government expenditure shock affects the AD (Aggregate Demand) curve in the general equilibrium model. The increase in autonomous government expenditure leads to a rightward shift of the AD curve due to the higher consumption expenditure resulting from the distribution of stimulus checks. This shift reflects an increase in the aggregate quantity of goods and services demanded at each price level.

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You manage a construction project that will end within 10 months. You know that
managing issues during project execution is of high importance. During a meeting with
your team you reviewed the issue log, determined the unresolved issues and identified new
Determine corrective actions and update the issue log
Issue a change request to the CCB
Seek senior management direction in respect to the new issues
Capture the new issues in the lessons learned documentation

Answers

To effectively manage issues during project execution in a construction project, the following actions should be taken:

Determine Corrective Actions and Update the Issue Log: Review the unresolved issues and identify any new issues discussed during the meeting with your team.Assess the impact and urgency of each issue and determine appropriate corrective actions to address them. Document these actions in the issue log, ensuring that all relevant details such as issue description, priority, responsible party, and target resolution date are updated.

Issue a Change Request to the Change Control Board (CCB):

If the identified issues require changes to the project scope, schedule, budget, or any other aspect covered by the project's baseline plans, prepare and submit a change request to the Change Control Board (CCB). The change request should include a clear description of the issue, its impact, proposed corrective actions, and any potential implications for the project. The CCB will evaluate the change request and make a decision on whether to approve or reject it.

Seek Senior Management Direction in Respect to New Issues:

If the new issues require strategic decisions or have significant implications beyond the project team's authority, it may be necessary to seek senior management's guidance. Present the new issues, their potential impacts, and any proposed corrective actions to senior management. Seek their input and decision-making to ensure alignment with the overall organizational objectives and to obtain the necessary support for resolving the issues effectively.

These actions help ensure that issues are addressed promptly and effectively during the project execution phase. It is important to communicate and collaborate with the project team, stakeholders, and decision-making authorities to facilitate a timely resolution of the identified issues.

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If the discount rate is stated in nominal ferms, then in order to calculate the NPV in a consistent manner, the project requires that Select one:
a. cash flows be estimated ignoring inflation.
b. accounting income be used.
c. cash flows be estimated in nominal terms.
d. cash flows be estimated in real ferms.

Answers

If the discount rate is stated in nominal terms, then in order to calculate the Net Present Value (NPV) in a consistent manner, the project requires that cash flows be estimated in nominal terms.

The discount rate represents the required rate of return or cost of capital for the project. When the discount rate is stated in nominal terms, it incorporates both the real rate of return and expected inflation. To ensure consistency between the discount rate and cash flows, it is necessary to estimate the cash flows in the same nominal terms.

Estimating cash flows in nominal terms means taking into account both the expected cash inflows and outflows, considering the projected revenues, expenses, and inflation. This approach aligns the cash flow projections with the discount rate, allowing for a consistent calculation of the NPV.

Ignoring inflation or using accounting income would not align with a discount rate stated in nominal terms. Ignoring inflation would result in inconsistent calculations, as the discount rate already incorporates the expected inflation. Using accounting income may not reflect the expected cash flows and would not consider the effects of inflation on the project's profitability.

Therefore, to calculate the NPV in a consistent manner when the discount rate is stated in nominal terms, it is necessary to estimate the cash flows in nominal terms, considering the expected cash inflows and outflows, including the effects of inflation.

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2. It is January 1st ,2015.2014 turned out very well for Oscar - his projections were quite close. He wants you to project out an Income Statement, Balance Sheet and a Cash Flow Statement for 2015 using the new assumptions outlined below. (40 points) a. 2015 year sales will each be 25% higher than the $110,000 realized in 2014 b. Gross margins in 2015 will be 55,5% higher than the 50% realized in 2014 c. Operating margins will be 22%,2% higher than 20% realized in 2014 d. Accounts Receivables will be 12% of sales, lower than the 15% seen in 2014 e. Inventory will be 15% of sales, higher than the 12% seen in 2014 f. Accounts Payable will be 4% of sales in 2015 , lower than the 5% seen in 2014 g. Accrued expenses payable will be 4% of sales in 2015 , lower than the 7% seen in 2014 h. The Bank of Connecticut will continue to be paid 8% interest on the $30,000 worth of loans. i. The combined federal and provincial tax rates will be 30% j. No new capital purchases are made k. Closing cash is expected to remain at the same level predicted for and seen in 2014 I. Depreciation of existing capital equipment continues at the same rate observed in 2014 3. Comment on the performance of Bart D'Souza's company. How is the company doing? He is working at this business part-time. Should he quit his other job and work at this full-time? Should he do the opposite - and exit the business? Or, should he stay the course and see how things unfold? What other kinds of information might you want to know to answer these questions? (10 marks)

Answers

Based on the provided information, it seems that Bart D'Souza's company has been performing well.

Sales are projected to increase by 25% in 2015, indicating a growing customer base or increased demand for the company's products/services. Additionally, both gross margins and operating margins are expected to improve, suggesting effective cost management and increased profitability. Considering Bart D'Souza's part-time involvement in the business, the decision to quit his other job and work at the company full-time would depend on various factors. It would be essential to assess the financial stability and growth potential of the business, as well as Bart's personal financial obligations and risk tolerance. Other information that would be helpful includes the company's competitive landscape, industry trends, and the availability of resources to support full-time operations. Ultimately, the decision to stay the course, transition to full-time, or exit the business should be based on a thorough evaluation of both the business's performance and Bart's personal circumstances and aspirations.

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Which of the following statements is an example of price elasticity of supply? O A. A 20 percent discount at all Old Navy stores is drawing large crowds. O B. A 10 percent fall in the price of turkey with no other change decreases quantity supplied by 12 percent. O C. The quality of fruits sold by Safeway is getting better. O D. Farmers increase their supply of potatoes when the price of onions rises

Answers

The correct answer is (D). So, an example of price elasticity of supply is "Farmers increase their supply of potatoes when the price of onions rises".

Price elasticity of supply refers to the measure of the degree of change in quantity supplied that occurs with the change in the price of the good or service, all else constant. The responsiveness of quantity supplied of a good or service to a change in its price is measured by the price elasticity of supply.

Explanation: An example of price elasticity of supply is (D) Farmers increase their supply of potatoes when the price of onions rises. When the price of onions rises, farmers have an incentive to increase the production of potatoes, which are considered to be a substitute for onions. As the supply of potatoes increases, the price of potatoes is likely to fall due to increased competition among potato farmers. This will lead to a decrease in the price of potatoes and an increase in the quantity demanded.

As a result, the quantity supplied of potatoes will increase.The statement in option (A) "A 20 percent discount at all Old Navy stores is drawing large crowds" is an example of price elasticity of demand, not price elasticity of supply. When the price of a good or service is reduced, there is an increase in demand. In this case, the demand for Old Navy products increased due to the 20 percent discount, which indicates that the demand for Old Navy products is price elastic.

Option (B) "A 10 percent fall in the price of turkey with no other change decreases quantity supplied by 12 percent" is an example of price inelastic supply. A 10 percent fall in price resulted in a 12 percent decrease in quantity supplied, which indicates that the supply of turkey is relatively inelastic. This means that changes in the price of turkey have a smaller effect on the quantity supplied.

The statement in option (C) "The quality of fruits sold by Safeway is getting better" is not an example of price elasticity of supply. The statement indicates an improvement in the quality of fruits sold by Safeway, which is not related to changes in the price of the fruits.

Therefore, the correct answer is (D) Farmers increase their supply of potatoes when the price of onions rises.

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Which of the following is a determinant of demand? Select Your Answer Producer expectations Technology Income Resource prices

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Determinants of demand refer to factors that influence the demand for a product or service. Among the options provided, income is a determinant of demand.

Income is a key determinant of demand as it directly affects a consumer's purchasing power. When income increases, consumers have more disposable income, enabling them to spend more on goods and services, leading to an increase in demand.

On the other hand, a decrease in income can result in reduced purchasing power and lower demand for certain products.

While producer expectations, technology, and resource prices are important factors in shaping the supply side of the market, they are not direct determinants of demand.

Producer expectations can influence production levels and supply decisions, but they do not directly impact consumer demand. Technology can affect the efficiency and availability of goods and services, but it does not directly drive consumer demand.

Resource prices, such as the cost of raw materials or labor, impact production costs but do not determine consumer demand.

In summary, among the options provided, income is the determinant of demand as it directly influences consumers' ability to purchase goods and services, thus impacting overall demand levels.

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Marigold Company has sales of $492000, variable costs of $420660, and fixed costs of $26000. Cullumber Compary has sales of $492000, variable costs of $192000, and fixed costs of $249000. Marigold's contribution margin ratio is
a 95%
b 86%
c 15%
d 61%

Answers

The Contribution Margin Ratio of Cullumber Company is 61%.Therefore, the answer is option (d) 61%.

The Contribution Margin is the difference between the company's sales revenue and variable expenses. It is the amount of money that is left over from each sale to contribute towards covering fixed costs and generating profits.

It is computed by subtracting total variable expenses from total sales revenue, so the Contribution Margin ratio is calculated as the contribution margin divided by the sales revenue.To calculate the contribution margin ratio, we use the following formula:

Contribution Margin Ratio = (Contribution Margin / Sales Revenue) * 100Given, Marigold Company has sales of $492000, variable costs of $420660, and fixed costs of $26000.Contribution Margin = Sales Revenue - Variable Costs= $492000 - $420660= $71340Contribution Margin Ratio = (Contribution Margin / Sales Revenue) * 100= ($71340 / $492000) * 100= 14.5%Hence, the Contribution Margin Ratio of Marigold Company is 14.5%.

For Cullumber Company, sales are $492000, variable costs are $192000, and fixed costs are $249000.Contribution Margin = Sales Revenue - Variable Costs= $492000 - $192000= $300000Contribution Margin Ratio = (Contribution Margin / Sales Revenue) * 100= ($300000 / $492000) * 100= 61%

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refer to figure 13-3. suppose the economy is at point a. if investment spending increases in the economy, where will the eventual long-run equilibrium be?

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In an economy, an increase in investment spending can have a positive impact on overall economic activity and output.

When investment spending increases and it leads to higher demand for goods and services which stimulates production and employment.

This positive economic momentum can continue until the economy reaches a new long-run equilibrium.

The economy's potential output is determined by factors such as the availability of productive resources, technology and the efficiency of resource allocation.

These factors can expand the economy's potential output capacity and shift the long-run aggregate supply curve to the right.

The figure is given below:

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Marketing research is a process designed to gather information: Select one: a. from the company's database. b. exclusively about a company's customers. c. not currently available to decision makers. d. concerning the interpretation of the company's sales goals. e. about the needs and desires of employers. Primary data are best described as the: Select one: a. data that are necessary for a correct decision. b. data that are compiled for some purpose other than the study in question. c. data that are observed, recorded or collected directly from subjects. d. data that are collected inside and outside an organisation for some purpose other than the current investigation. e. first batch of data collected for a specific study. 23 The use of marketing research is: Select one: a. limited to for-profit businesses of all sizes. b. limited strictly to large corporations. c. controlled by the federal government. d. widespread throughout businesses and non-profit organisations. e. carefully monitored by each state's trade agencies. Secondary data cannot be obtained from: Select one: a. surveys. b. the government. c. computerised literature retrieval databases. d. trade journals. e. international sources. The real value of marketing research to the organisation can best be measured by: Select one: a. improvements in the ability to make decisions. b. its immediate impact on profits. c. the increase in sales volume or market share. d. how much it costs. e. the amount of time spent on the research.

Answers

Marketing research is a process designed to gather information:

c. not currently available to decision makers.

Primary data are best described as the:

c. data that are observed, recorded or collected directly from subjects.

The use of marketing research is:

d. widespread throughout businesses and non-profit organizations.

Secondary data cannot be obtained from:

e. international sources.

The real value of marketing research to the organization.

a. improvements in the ability to make decisions.

Marketing research is a process designed to gather information.

Marketing research aims to collect information that is not currently available to decision makers. This information is essential for making informed business decisions and developing effective marketing strategies. It involves gathering data from various sources to gain insights into market trends, consumer behavior, competitors, and other relevant factors.

Primary data refers to data that are collected firsthand for a specific research study. It involves directly observing, recording, or collecting information from subjects or participants. Examples of primary data collection methods include surveys, interviews, experiments, and observations.

Marketing research is not limited to for-profit businesses or large corporations. It is widely used by businesses of all sizes, including non-profit organizations, to gather information and insights that inform decision-making processes. Marketing research helps organizations better understand their target audience, market conditions, and competitive landscape, regardless of their profit or non-profit status.

Secondary data can be obtained from various sources, including surveys, government agencies, computerized literature retrieval databases, trade journals, and also international sources. International sources can provide valuable secondary data for marketing research, such as global market reports, industry analyses, and economic data from different countries.

The true value of marketing research lies in its ability to improve decision-making processes. Effective marketing research provides valuable insights and data-driven information that can lead to more informed and strategic decision-making. It helps organizations understand customer needs, market dynamics, and competitive factors, enabling them to make better decisions and develop effective marketing strategies.

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. Explain informal and formal meeting? State SIX (6) types of meeting and provide an example from any TWO (2) of the stated."

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A formal meeting is a structured gathering of individuals who come together for a specific purpose while an informal meeting is a less structured gathering where people can exchange ideas. Six types of meetings and an example of each are 1. Staff Meetings. 2. Board Meetings. 3. Committee Meetings. 4. Committee Meetings. 5. Conference Calls. 6. One-on-One Meetings.

A meeting is an occasion when people come together to discuss a topic or a particular issue. Meetings can be classified into two types: formal and informal meetings.

What is a formal meeting?

A formal meeting is a structured gathering of individuals who come together for a specific purpose, such as to make decisions, share information, or give feedback. Formal meetings are usually led by a chairperson who follows a set agenda and keeps participants on track.

What is an informal meeting?

An informal meeting, on the other hand, is a less structured gathering where people can exchange ideas and discuss topics without the need for a specific agenda or set of rules. Informal meetings can be held between colleagues or friends over coffee, lunch, or in an office.

Six types of meetings and an example of each are:

1. Staff Meetings - A staff meeting is a meeting of employees to discuss issues and share information related to the organization. Example: The principal holds a staff meeting with all teachers to discuss curriculum changes.

2. Board Meetings - A board meeting is a formal meeting where members of an organization's board of directors come together to discuss the organization's strategy and make important decisions. Example: The board of directors meets to discuss the organization's annual budget.

3. Committee Meetings - A committee meeting is a meeting where a group of individuals comes together to discuss a specific topic or issue. Example: A committee meeting is held to discuss a proposal for a new school program.

4. Committee Meetings - A team meeting is a meeting where team members come together to discuss progress, share ideas, and make decisions. Example: A project team meets to discuss the status of their project.

5. Conference Calls - A conference call is a meeting where participants dial into a call to discuss a topic. Example: An investor conference call is held to discuss the financial results of the company.

6. One-on-One Meetings - A one-on-one meeting is a meeting between two people. Example: A manager meets with an employee to discuss their performance.

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Allen Air Lines must liquidate some equipment that is being replaced. The equipment originally cost $13 million, of which 85% has been depreciated. The used equipment can be sold today for $5.2 million, and its tax rate is 25%. What is the equipment's after-tax net salvage value? Enter your answer in dollars. For example, an answer of $1.2 million should be entered as 1,200,000. Round your answer to the nearest dollar.

Answers

The equipment's after-tax net salvage value is $4,834,375.

To calculate the after-tax net salvage value of the equipment, we need to consider the tax impact on the sale of the equipment. Here's the calculation:

Determine the book value of the equipment:

Book Value + Accumulated Depreciation = Original Cost  

Book Value = $13,000,000 - (0.85 * $13,000,000)

Book Value = $13,000,000 - $11,050,000

Book Value = $1,950,000

Determine the profit or loss from the equipment sale:

Gain or Loss +  Book Value = Selling Price

Gain or Loss = $5,200,000 - $1,950,000

Gain or Loss = $3,250,000

Determine the taxable gain or loss:

Taxable Gain or Loss = Gain or Loss - (Accumulated Depreciation * Tax Rate)

Taxable Gain or Loss = $3,250,000 - (0.85 * $13,000,000 * 0.25)

Taxable Gain or Loss = $3,250,000 - $2,762,500

Taxable Gain or Loss = $487,500

Calculate the after-tax salvage value:

After-Tax Net Salvage Value + Tax on Gain = Selling Price

After-Tax Net Salvage Value = $5,200,000 - ($487,500 * (1 - Tax Rate))

After-Tax Net Salvage Value = $5,200,000 - ($487,500 * (1 - 0.25))

After-Tax Net Salvage Value = $5,200,000 - ($487,500 * 0.75)

After-Tax Net Salvage Value = $5,200,000 - $365,625

After-Tax Net Salvage Value = $4,834,375

Therefore, the equipment's after-tax net salvage value is $4,834,375.

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why is supporting documentation important in the completion of an insurance claim?

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Supporting documentation plays a crucial role in completing an insurance claim by providing evidence, verifying the loss, demonstrating ownership, complying with policy conditions, expediting the claims process, and meeting legal requirements. Supporting documentation is important in the completion of an insurance claim for several reasons:

1. Verification: Supporting documentation provides evidence to verify the occurrence of an event or loss that is covered by the insurance policy. It helps to establish the authenticity of the claim and ensure that it is not fraudulent or exaggerated.

2. Documentation of Loss: It helps to document the extent and value of the loss or damage suffered. This can include invoices, receipts, repair estimates, medical records, or other relevant documents that substantiate the claim.

3. Proof of Ownership: Supporting documentation can demonstrate ownership of the insured property or assets. This can include purchase receipts, ownership certificates, or photographs that establish the existence and value of the items being claimed.

4. Compliance with Policy Conditions: Insurance policies often have specific requirements and conditions that must be met for a claim to be valid. Supporting documentation helps to fulfill these conditions and provides the necessary information requested by the insurance company.

5. Efficient Processing: Providing comprehensive supporting documentation upfront can expedite the claims process. It reduces the need for additional information requests or delays in claim settlement, as the insurance company has all the necessary information to assess the claim accurately.

6. Legal Compliance: Depending on the jurisdiction and the nature of the claim, certain legal requirements may need to be met. Supporting documentation helps to fulfill these legal obligations and ensures compliance with regulatory requirements.

In conclusion, supporting documentation plays a crucial role in completing an insurance claim by providing evidence, verifying the loss, demonstrating ownership, complying with policy conditions, expediting the claims process, and meeting legal requirements. It helps insurance companies assess and settle claims accurately and efficiently.

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Discuss THREE (3) policy measures, usually employed by a Central Bank or monetary authority, to control money supply?

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Three policy measures used by central banks to control money supply are Open Market Operations, Reserve Requirements, and Interest Rate Policy

Open Market Operations involve the central bank buying or selling government securities, such as bonds or treasury bills, on the open market. When the central bank buys these securities, it pays for them with newly created money, injecting funds into the banking system and increasing the money supply. Conversely, when the central bank sells securities, it takes money out of circulation, reducing the money supply.

Reserve Requirements refer to the portion of deposits that banks are required to hold as reserves rather than lending out. By adjusting the reserve ratio, the central bank can influence the amount of money that banks can lend. Lowering the reserve requirement frees up more funds for lending, increasing the money supply. Conversely, raising the reserve requirement restricts lending capacity, decreasing the money supply.

Interest Rate Policy involves adjusting the benchmark interest rate, such as the central bank's policy rate or discount rate. Lowering interest rates makes borrowing cheaper, encouraging businesses and individuals to borrow and spend, thereby increasing the money supply. Conversely, raising interest rates increases the cost of borrowing, discouraging borrowing and spending, leading to a decrease in the money supply.

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You've observed the following returns on Pine Computer's stock over the past five years: 8 percent, −12 percent, 14 percent, 21 percent, and 16 percent. Suppose the average inflation rate over this period was 3.1 percent and the average T-bill rate over the period was 3.9 percent. a.What was the average real return on the company's stock? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) b.What was the average nominal risk premium on the company's stock? (Do not round intermediate calculations and enter your answer as a percent rounded to 1 decimal place, e.g., 32.1.)

Answers

To calculate the average real return on Pine Computer's stock, we need to subtract the average inflation rate from the average nominal return.

a) Average real return = Average nominal return - Average inflation rate

Average nominal return = (8% - 12% + 14% + 21% + 16%) / 5 = 9.4%

Average real return = 9.4% - 3.1% = 6.3%

Therefore, the average real return on Pine Computer's stock over the past five years is 6.3%.

b) The average nominal risk premium can be calculated by subtracting the average T-bill rate from the average nominal return.

Average nominal risk premium = Average nominal return - Average T-bill rate

Average nominal risk premium = 9.4% - 3.9% = 5.5%

Therefore, the average nominal risk premium on Pine Computer's stock over the past five years is 5.5%.

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On a bank reconciliation statement, you would find all of the following except a. a list of canceled checks. b. a list of NSF checks. c. a list of outstanding checks. d. the bank service charge.

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On a bank reconciliation statement, we would find all of the following except a list of NSF checks.

The correct option is (b).

A bank reconciliation statement is a report that explains the discrepancies between the bank balance and the balance of a company's accounting records, such as its general ledger.The bank reconciliation statement also includes any discrepancies such as outstanding checks or deposits in transit, bank fees or service charges, and errors. Any changes to an account should be recorded on a bank reconciliation statement.

Outstanding checks are checks that have been written but have not yet been deposited or cashed by the recipients. A company must account for outstanding checks when reconciling its bank account balance. When reconciling a bank statement, outstanding checks are added to the book balance since they reduce the bank balance.

NSF checks are checks that have been returned to the depositor due to non-sufficient funds (NSF). If a company deposits an NSF check, its bank account balance will be decreased, so it must subtract the NSF check from its book balance when reconciling its bank account balance.

A bank service charge is a fee that a bank imposes on a customer's account. It is typically charged to maintain the account and provide various services such as check writing, ATM usage, and online banking. When reconciling a bank account balance, the bank service charge is deducted from the book balance since it reduces the bank balance.

Therefore, the correct option is (b).

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As you were preparing to sleep, a colleague called you at 11 p.m. one night for queries related to work. How would you react to this and how would you deal with him or her so the person understands the value of privacy?

Answers

When a colleague calls for work-related queries while you are about to sleep, it is essential to respond politely, understanding the importance of privacy.

Below is the way you can react to the colleague and deal with him/her in a manner that they understand the value of privacy.

Respond politely and calmly to the colleague. Answer all the queries related to work briefly and concisely to save time. Tell your colleague that you appreciate their concerns and inform them that you are about to go to bed. You can also tell them that it's not a great time to discuss these things because you are sleepy. But, you can give them a timeframe to address their concerns during work hours.

Dealing with the colleague so they understand the value of privacy. If the colleague continuously calls at inappropriate times, it's essential to take action. You can inform them about the following things:

Tell the colleague that you prefer privacy outside of working hours and that their calls outside of working hours disturb your privacy. You should inform them that your working hours are different from non-working hours, and you will be happy to address their queries at appropriate times. You can also tell them that it's your right to have privacy and free time for yourself and your family. You are not available 24/7 for work-related queries.

Tell the colleague that calls outside of working hours lead to stress, impact work performance and affect mental well-being. When someone keeps receiving work-related calls during their free time, it makes it hard for them to relax and distress. It can lead to stress, sleep deprivation and exhaustion. As a result, they may have difficulties in performing work tasks. In the long term, it may lead to mental health problems.

Therefore, it's essential to avoid calling people at inappropriate times for work-related issues.

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Respond to the following in a minimum of 175 words:

What draw backs do you see in using the SWOT Analysis as well as using it as a viable tool in strategic management? Keep in mind when the SWOT Analysis is used in an organization it is not used by one person but is an accumulative input from many.
What role can leverage points play in turning chaos into strategic opportunity?
How can an organization build on its strengths to address strategic opportunities in the marketplace?

Answers

The SWOT analysis has drawbacks like subjective inputs and potential bias. Leverage points can turn chaos into strategic opportunities. Building on strengths involves aligning them with market opportunities and developing strategies to capitalize on them.

The SWOT analysis is a widely used tool in strategic management, but it does have some drawbacks. One limitation is that it relies on subjective inputs from multiple individuals within an organization, which can result in varying perspectives and biases.

This can lead to inconsistent or inaccurate assessments of the organization's internal strengths and weaknesses, as well as external opportunities and threats.

Additionally, the SWOT analysis is often a snapshot in time and may not capture the dynamic nature of the business environment. Factors can change rapidly, making the analysis outdated and less relevant.

Regarding leverage points, they can play a crucial role in turning chaos into strategic opportunity. Leverage points are areas within a system where small interventions or changes can have a disproportionate impact. Identifying and understanding these leverage points enables organizations to identify critical areas for improvement and innovation.

By strategically leveraging these points, organizations can navigate through chaotic or challenging situations and turn them into opportunities for growth and success.

To build on its strengths and address strategic opportunities in the marketplace, an organization can take several steps. Firstly, it needs to conduct a thorough assessment of its internal strengths, such as core competencies, unique resources, and competitive advantages. Once these strengths are identified, the organization should align them with the identified strategic opportunities in the market.

This involves understanding customer needs, market trends, and competitive landscape. Then, the organization can develop strategies and action plans that capitalize on its strengths to address those opportunities. This may include product or service enhancements, market expansion, strategic partnerships, or other growth initiatives.

It is essential for the organization to continuously monitor and adapt its strategies to stay responsive to the evolving marketplace and sustain its competitive advantage.

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The current yield for a $1,000 par bond that pays 16% semiannual coupon and has a market price of $890 is: 8.00%

8.99%

9.87%

16.50%

17.98%

Answers

The current yield for a $1,000 par bond that pays a 16% semiannual coupon and has a market price of $890 is 17.98%, indicating option (e) as the correct answer.

The current yield is a measure of the annual return an investor would receive based on the bond's current market price. It is calculated by dividing the annual coupon payment by the market price of the bond and expressing it as a percentage.

In this case, the bond has a par value of $1,000 and pays a 16% semiannual coupon. Since it is a semiannual coupon, the annual coupon payment would be 2 times the semiannual coupon, which is $160 (16% * $1,000 / 2).

The market price of the bond is $890. Dividing the annual coupon payment of $160 by the market price of $890 and multiplying by 100 gives us a current yield of approximately 17.98%.

Therefore, the correct answer is option (e) - the current yield for the given bond is 17.98%. This means that based on the bond's current market price, an investor would earn an annual return of approximately 17.98% from the coupon payments.

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Bond funds have the following characteristics except: Select one: a. They hold bonds that are usually for terms of less than 3.5 years b. They are a fixed income type of fund c. The bonds held by the fund are usually categorized by the credit rating of the issuer d. They are generally low risk and have a low rate of return

Answers

The correct answer is d. they are generally low risk and have a low rate of return. bond funds typically have the following characteristics:

a. they hold bonds that are usually for terms of less than 3.5 years: bond funds can hold bonds with various maturities, including short-term bonds, medium-term bonds, and long-term bonds. the specific maturity profile depends on the investment strategy of the fund.

b. they are a fixed income type of fund: bond funds primarily invest in fixed income securities such as government bonds, corporate bonds, and municipal bonds. these securities provide regular interest payments, hence the term "fixed income."

c. the bonds held by the fund are usually categorized by the credit rating of the issuer: bond funds often classify the bonds they hold based on the credit ratings assigned by credit rating agencies. this categorization helps investors assess the credit quality and risk profile of the bonds held in the fund.

d. they are generally low risk and have a low rate of return: this statement is incorrect. while bond funds are generally considered less risky than equity funds, the risk level can vary depending on factors such as the credit quality of the bonds, duration, interest rate risk, and market conditions. additionally, the rate of return for bond funds can vary depending on factors such as interest rates, bond prices, and the performance of the underlying bonds. bond funds can offer varying levels of risk and returns, depending on the specific characteristics of the bonds held and market conditions.

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To what extent does a country's geographic location contribute to its level of poverty. Use economic and geographic knowledge to explain with approproate economic models. 3 points explained in detail - 10 sentences

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A country's geographic location can contribute to its level of poverty, although it is not the sole determining factor. Several economic and geographic factors interact to shape a country's poverty levels. Firstly, proximity to markets and trade routes can facilitate economic growth and development, reducing poverty. Secondly, natural resource endowments can either alleviate or exacerbate poverty, depending on how they are managed and distributed. Finally, geographic factors such as climate, terrain, and susceptibility to natural disasters can impact agricultural productivity, infrastructure development, and overall economic opportunities.

Proximity to Markets and Trade Routes: Geographic location plays a crucial role in determining a country's access to markets and trade routes. Countries situated close to major markets or connected to global trade networks can benefit from increased trade opportunities, foreign investment, and technological advancements. These factors can contribute to economic growth, job creation, and poverty reduction. For example, landlocked countries may face higher transportation costs and limited market access, which can hinder economic development and perpetuate poverty.

Natural Resource Endowments: Geographic location often determines a country's natural resource endowments, such as minerals, oil, forests, or fertile land. These resources can be a significant source of wealth and economic growth, but their management and distribution are critical. Countries that effectively harness and distribute their natural resources can generate revenue, create employment opportunities, and invest in poverty reduction programs. Conversely, mismanagement, corruption, or reliance on a single resource can lead to economic volatility, inequality, and increased poverty levels.

Climate, Terrain, and Natural Disasters: Geographic factors such as climate, terrain, and susceptibility to natural disasters can significantly impact a country's agricultural productivity, infrastructure development, and overall economic opportunities. Countries with unfavorable climates or challenging terrains may face difficulties in agriculture, which can affect food security, employment, and income levels. Moreover, regions prone to natural disasters like earthquakes, hurricanes, or droughts can experience severe economic setbacks, leading to increased poverty. Building resilience through infrastructure development, disaster preparedness, and diversification of economic activities can mitigate these challenges.

It's important to note that while geographic location plays a significant role, it is not the sole determinant of a country's poverty levels. Factors such as governance, political stability, education, healthcare, and social policies also influence poverty outcomes. Understanding the complex interactions between geographic, economic, and social factors is crucial for implementing effective policies and interventions to alleviate poverty and promote sustainable development.

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Selected Answer: a.Eukaryotic cells have mitochondria, while prokaryotic cells have chloroplasts. b.Eukaryotic cells have mitochondria, while prokaryotic cells have chloroplasts. c.Eukaryotic cells have few organelles, while prokaryotic cells have many. d.Eukaryotic cells are much smaller than prokaryotic cells.e. Eukaryotic DNA is housed in a nucleus, but prokaryotic DNA is not. in the context of film analysis, refers to the unifying central concern of a film, the special focus that unifies the work.- True- False Berg Corporation uses direct labor hours in its predetermined overhead rate. At the beginning of the year, the estimated direct labor hours were 15,700 hours. At the end of the year, the actual direct labor hours for the year were 16,700 hours, the actual manufacturing overhead for the year was $352,960, and the manufacturing overhead for the year was overapplied by 27,800. The estimated manufacturing overhead at the beginning of the year used in the predetermined overhead rate must have been a. P 357,960b. P 380,760c. P 347,960d. P 327,124 Which of the following concepts must be considered when defining an ideal just society? A Justice B Duty C Rights D Freedom E All of the above. In an open letter, 12 leading economists have urged the Australian government not to interfere with the review of the Reserve Bank of Australia (RBA). In part, these economists are concerned that there might be a push for increased direction of RBA monetary policy by the government of the day so that monetary policy and fiscal policy were better coordinated. Do you agree or not? As an economic adviser to the government, are you in favour of the independence of the RBA or the direction of monetary policy by the government? Explain your reasoning in detail. Use the folliwing scenario for Blanks# #1-Blanks #6 Company YYZ is determining whether a piece of equipment is impaired. The equipment has a cost of $900,000 and depreciation that had been taken to December 31,2020 of $400,000. On December 31, 2020, management projected that the undiscounted future cash flows of this equipment was $300,000, the discounted cash flows to be $270,000, the Fair Value to be $280,000 and the related selling costs to sell to be $20,000. The company intends to use this equipment in the future and follows IFRS. Note: provide all of your answers without dollar signs, commas or periods. Example: 68000 Blank #1: On December 31, 2020, what is the carrying value of the equipment? Blank #2 On December 31, 2020, what would the recoverable amount be related to the equipment? Blank #3: On December 31,2020, is the equipment impaired? Type yes if the equipment is impaired and type no if the equipment is not impaired. Blank #4: What is the amount of the impairment? If there is no impairment type 0. Blank #5: If instead, the company followed ASPE, would this equipment be impaired? Type yes if the equipment is impaired and type no if the equipment is not impaired. Blank #6: What is the amount of the impairment? If there is no impairment type 0. applying the biological species concept, the production of ligers reveals that ______. what is the prefix associated with the multiplier 0.001? Describe what maintaining the integrity of the MPS is in yourown words A form attached to the counted items in the process of taking a physical inventory is \( a(n) \) A) Inventory ticket B) Credit invoice C) Sales tag D) Subsidiary record E) Sales receiptManagement mu Use the present value and future value tables to incorporate the time value of money. Knowledge Check 01 What is the present value of an annuity that pays $13,000 at the end of each year for 7 years? Assume a discount rate of 10 percent. The Department of Basic Education found that learners travel time from home to school at one of the remote rural schools is normally distributed with a mean of 114 minutes and a standard deviation of 72 minutes. What is the probability that learner's travel time from home to school is between 90 minutes and 150 minutes? Choose correct answer from the list of options below.a. 0.3208b. 0.2893C. 0.2497d. 0.1210e. 0.5000 Please explain in detail1. Explain what makes a global project unique and list some ofthe inherent challenges with global projects.2. List three significant advantages and three disadvantages ofvi cellular respiration uses oxygen to convert the chemical energy stored in organic molecules into