for coupon bond, if coupon rate > required rate of return, the bond is sold at . for coupon bond, if coupon rate < required rate of return, the bond is sold at . 2. suppose there are three coupon bonds, one is a callable bond, one is a puttable bond, and the third is a straight bond. except for the embedded option part, they are exactly the same. which bond should be the most expensive? which one should be the least expensive?

Answers

Answer 1

For a coupon bond, if the coupon rate is greater than the required rate of return, the bond is sold at: a premium.

If the coupon rate is less than the required rate of return, the bond is sold at a discount.

Regarding the three coupon bonds - a callable bond, a puttable bond, and a straight bond - the most expensive bond should be the puttable bond.

This is because the puttable bond provides the bondholder with the option to sell the bond back to the issuer at a predetermined price, offering additional protection against a decline in bond value. This embedded option adds value to the bond, making it more expensive than the other two.

The least expensive bond should be the callable bond. In this case, the issuer has the option to buy back the bond from the bondholder before the maturity date, usually at a predetermined price.

This embedded option favors the issuer, as they can redeem the bond when interest rates drop, forcing the bondholder to reinvest at a lower rate. This potential disadvantage to the bondholder makes the callable bond less valuable and, therefore, less expensive compared to the other two.

The straight bond, with no embedded options, will be priced between the callable and puttable bonds.

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Complete question:

1. For coupon bond, if coupon rate > required rate of return, the bond is sold at .

For coupon bond, if coupon rate < required rate of return, the bond is sold at .

2. Suppose there are three coupon bonds, one is a callable bond, one is a puttable bond, and the third is a straight bond. Except for the embedded option part, they are exactly the same.

Which bond should be the most expensive?

Which one should be the least expensive?


Related Questions

the "standard consumer package" of the 1950s included a car, house, and television. (True or False)

Answers

False. While it is true that the car, house, and television were all popular consumer goods in the 1950s, they were not typically sold as a package or bundle. The idea of a "standard consumer package" including these items is a myth or exaggeration.

During the 1950s, owning a car became more common and accessible to middle-class families, as the post-war economic boom led to increased prosperity and a growing automobile industry.

Similarly, the rise of suburbanization and the Baby Boom led to a housing boom, as families sought out new homes in the suburbs.

Television also became increasingly popular during this time, as more households acquired sets and programming expanded.

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False. While it is true that the car, house, and television were all popular consumer goods in the 1950s, they were not typically sold as a package or bundle. The idea of a "standard consumer package" .

including these items is a myth or exaggeration. During the 1950s, owning a car became more common and accessible to middle-class families, as the post-war economic boom led to increased prosperity and a growing automobile industry. Similarly, the rise of suburbanization and the Baby Boom led to a housing boom, as families sought out new homes in the suburbs. Television also became increasingly popular during this time, as more households acquired sets and programming expanded.

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why can growth only occur if current consumption is sacrificed? (think about this in terms of what college students give up to obtain in the future)

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Growth can only occur if current consumption is sacrificed because resources, including time and money, are limited.

How to invest in future growth

To invest in future growth, individuals must allocate these resources efficiently, which often requires forgoing immediate gratification. In the context of college students, they give up various opportunities in the present to obtain potential benefits in the future.

For instance, college students might:

1. Attend classes and study instead of engaging in leisure activities, sacrificing immediate enjoyment for the prospect of better career opportunities and higher income after graduation.

2. Work part-time or take on student loans to cover tuition and other expenses, sacrificing present financial stability for potential future financial gains.

3. Develop essential skills, such as time management, budgeting, and networking, sacrificing some social and leisure activities in favor of these long-term beneficial habits.

By making these sacrifices, college students invest in their future growth and success, even though it means giving up certain aspects of their current lives. This investment can lead to a better education, improved career prospects, and increased financial security in the long run.

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An investment project has annual cash inflows of $4,058, $3,351, $4,979, and $3,767 for the next four years, respectively, and a discount rate of 15%.
What is the discounted payback if the initial investment is $8,000? (Round answer to 2 decimal places. Do not round intermediate calculations)

Answers

The discounted payback period for the investment project is 3.34 years.

To calculate the discounted payback period, we need to find out the present value of each year's cash inflow and add them up until we recover the initial investment.

Using the given discount rate of 15%, we can calculate the present value of each cash inflow as follows:

Year 1: $4,058 / (1+0.15)^1 = $3,530.43

Year 2: $3,351 / (1+0.15)^2 = $2,597.56

Year 3: $4,979 / (1+0.15)^3 = $3,346.67

Year 4: $3,767 / (1+0.15)^4 = $2,404.38

We can then calculate the cumulative present value of cash inflows for each year as follows:

Year 1: $3,530.43

Year 2: $6,127.99

Year 3: $9,474.66

Year 4: $11,879.04

Since the initial investment is $8,000, we recover it in year 2. The payback period is then:

Payback period = year 2 + (undiscounted cash inflow in year 3 / discounted cash inflow in year 3) = 2 + ($4,979 / $3,346.67) = 3.34 years.

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The carbon cycled through a food web primarily comes from: A) primary producers. B) consumers. C) decomposers.

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The carbon cycled through a food web primarily comes from primary producers. The correct option is A.

Primary producers, such as plants and algae, obtain carbon by converting carbon dioxide (CO2) from the atmosphere into glucose (C6H12O6) through the process of photosynthesis. This glucose serves as a source of energy and carbon for the primary producers to grow and reproduce.

When consumers (option B), such as herbivores, feed on primary producers, they obtain carbon by ingesting the glucose present in the plants. This carbon is then passed on to the next trophic level, which consists of secondary consumers like carnivores, when they consume the herbivores.

The carbon cycle continues throughout the food web as organisms at various trophic levels consume each other.

Decomposers (option C) play a crucial role in recycling carbon back into the environment. When organisms die, decomposers break down their organic matter and release carbon in the form of CO2 back into the atmosphere.

This CO2 can then be used by primary producers for photosynthesis, continuing the carbon cycle in the food web.

In summary, the carbon cycled through a food web primarily comes from primary producers, who obtain it from the atmosphere and convert it into glucose through photosynthesis.

This carbon is then passed through the food web as organisms consume one another, with decomposers recycling it back into the environment for future use by primary producers.

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Complete question:

The carbon cycled through a food web primarily comes from:

A) primary producers.

B) consumers.

C) decomposers.

The Zephyr Corporation is contemplating a new investment to be financed 33 percent from debt. The firm could sell new $1,00 par value bonds at a net price of $945. The coupon interest rate is 12 percent, and the bonds would mature in 15 years. If the company is in a 34 percent tax bracket, what is the after-tax cost of capital to Zephyr for bonds?

Answers

The after-tax cost of capital to Zephyr for bonds is 8.38%.To calculate the after-tax cost of capital to Zephyr for bonds, we need to first calculate the before-tax cost of debt.
The coupon interest rate is 12%, which means that the annual interest payment on the bonds would be 12% x $1,000 = $120 per bond. The net price of the bonds is $945, which means that Zephyr would receive $945 / $1,000 = 0.945 per bond. Therefore, the before-tax cost of debt would be:($120 annual interest payment / $945 net price of bond) x 100 = 12.7%Now, to calculate the after-tax cost of debt, we need to take into account the fact that Zephyr is in a 34% tax bracket.

This means that the company can deduct 34% of the interest expense from its taxable income. So the after-tax cost of debt would be:12.7% x (1 - 0.34) = 8.38%Therefore, the after-tax cost of capital to Zephyr for bonds is 8.38%.

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Jarett & Sons' common stock currently trades at $31.00 a share. It is expected to pay an annual dividend of $1.25 a share at the end of the year (D1 = $1.25), and the constant growth rate is 6% a year.
What is the company's cost of common equity if all of its equity comes from retained earnings? Do not round intermediate calculations. Round your answer to two decimal places.
%
If the company issued new stock, it would incur an 8% flotation cost. What would be the cost of equity from new stock? Do not round intermediate calculations. Round your answer to two decimal places.

Answers

The company's cost of common equity if all of its equity comes from retained earnings is 10.19%. The cost of equity from new stock is 12.85%.

The formula for the cost of common equity using the dividend growth model is:

Cost of common equity = (D1 / P0) + g

Where:
D1 = expected dividend per share
P0 = current stock price
g = constant growth rate

In the given case, D1 = $1.25 a share, P0 = $31.00 a share, and g = 6% = 0.06

Substituting the given values, we get:

Cost of common equity = ($1.25 / $31.00) + 0.06

Cost of common equity = 0.1019 or 10.19%

Therefore, the company's cost of common equity is 10.19%.

If the company issued new stock, the cost of equity would increase due to the flotation cost. The formula for the cost of equity with flotation cost is:

Cost of equity = [(D1 / (P0 x (1 - F))) + g] + (F x (D1 / P0))

Where:
F = flotation cost as a decimal

In the given case, F = 8% or 0.08.

Substituting the given values, we get:

Cost of equity = [($1.25 / ($31.00 x (1 - 0.08))) + 0.06] + (0.08 x ($1.25 / $31.00))

Cost of equity = 0.1285 or 12.85%

Therefore, the company' new cost of common equity is 12.85%

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The liquidity of secondary markets is NOT demonstrated by:
the daily turnover
the sale of securities by issuers at an acceptable price
the size of the bid-ask spread
the degree of price resilience.
An

Answers

The liquidity of secondary markets is NOT demonstrated by the sale of securities by issuers at an acceptable price. The correct option is the sale of securities by issuers at an acceptable price.

Secondary markets provide a platform for trading securities that have already been issued, facilitating liquidity by allowing investors to buy and sell securities easily.

The daily turnover, which refers to the number of securities traded within a day, demonstrates liquidity because it indicates the ease with which investors can buy or sell assets.

The size of the bid-ask spread also reflects liquidity, as a narrower spread means that buyers and sellers are in closer agreement on the value of the security, which often leads to a higher trading volume.

Lastly, the degree of price resilience refers to the ability of the market to quickly return to its original price level after a significant trade. This is also an indicator of liquidity, as it implies that there is sufficient trading activity to absorb large orders without causing a significant disruption in prices.

In summary, the sale of securities by issuers at an acceptable price does not demonstrate the liquidity of secondary markets, as it relates to the primary market, where securities are initially issued. The other factors mentioned, such as daily turnover, bid-ask spread, and price resilience, are better indicators of liquidity in secondary markets.

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elin wants to retire in 20 years when she turns 62. elin wants to have enough money to replace 80% of her current income less what she expects to receive from social security. she expects to receive $20,000 per year from social security in today's dollars. elin is conservative and wants to assume a 6% annual investment rate of return and assumes that inflation will be 3% per year. based on her family history, elin expects that she will live to be 95 years old. if elin currently earns $100,000 per year, approximately how much does she need at retirement to fulfill her retirement goals?

Answers

Elin needs approximately $1,304,877 at retirement to fulfill her retirement goals.

Calculate Elin's retirement income needs.

Elin wants to replace 80% of her current income less her expected social security benefit. Therefore, her retirement income needs are:

Retirement income needs = 80% × ($100,000 - $20,000) = $64,000 per year

Calculate Elin's retirement income needs in future dollars.

Assuming a 3% annual inflation rate, Elin's retirement income needs in 20 years will be:

Future retirement income needs = $64,000 × (1 + 0.03)^20 = $115,722 per year

Calculate the present value of Elin's retirement income needs.

Using the present value formula with a 6% annual investment rate of return:

PV = FV / (1 + r)^n

where PV is the present value, FV is the future value, r is the annual interest rate, and n is the number of years.

PV = $115,722 / (1 + 0.06)^20 = $41,974

Calculate the total amount of retirement savings Elin needs.

Assuming that Elin will live to be 95 years old, she needs to have enough retirement savings to last for 33 years (95 - 62). Therefore, the total amount of retirement savings she needs is:

Total retirement savings = $41,974 × 33 = $1,384,842

Deduct Elin's expected social security benefit from the total retirement savings needed.

The total retirement savings needed is reduced by Elin's expected social security benefit of $20,000 per year in today's dollars:

Total retirement savings needed - Social security benefit = $1,384,842 - $20,000 = $1,364,842

Therefore, Elin needs approximately $1,304,877 at retirement to fulfill her retirement goals.

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when consumers are unhappy with a product, they may boycott the product and/or store and express dissatisfaction to friends. this is called a

Answers

When consumers are unhappy with a product, they boycott the product and/or store and express dissatisfaction to friends. This is called private response. The correct answer is A.

When consumers are unhappy with a product and express their dissatisfaction to friends or family, or choose to boycott the product or store, it is considered a private response.

This is because they are sharing their opinions and taking action within their personal circles without involving any public channels or organizations.

Private responses may impact the company's reputation and sales as word-of-mouth spreads, but they are not as visible or widespread as public responses, which involve protests or public announcements, or third-party responses, which involve regulatory bodies or other outside parties.

A voice response refers to providing feedback directly to the company, such as through customer service or product reviews.

In summary, when consumers are unhappy with a product and express dissatisfaction to friends or choose to boycott, it is called a private response.

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Complete question:

When consumers are unhappy with a product, they boycott the product and/or store and express dissatisfaction to friends. This is called ________ response.

A) private

B) third-party

C) voice

D) public

Susan started her new job as an editorial assistant in prestigious media company in 2018. She negotiated on a wage contract where for next two years (till 2020), her salary was indexed to rise by 1% each year. In 2019, actual CPI inflation turned out to be 2%. This has negatively affected Susan’s purchasing power and she was not able to afford the same standard of living as before

Answers

Susan's indexed salary increase of 1% was lower than the actual CPI inflation rate of 2%, resulting in a decrease in her purchasing power.

Indexed salary increases are designed to adjust an employee's salary to reflect changes in inflation. In Susan's case, her salary was set to increase by 1% each year, which was supposed to keep up with inflation and maintain her purchasing power.

However, in 2019, the actual CPI inflation rate turned out to be 2%, which was higher than the indexed salary increase of 1%. This meant that Susan's salary did not increase enough to keep up with the rising cost of living, resulting in a decrease in her purchasing power.

As a result, Susan was not able to afford the same standard of living as before, as her salary was not keeping up with the rate of inflation. This highlights the importance of negotiating fair and reasonable salary increases that accurately reflect the cost of living and maintain an employee's purchasing power over time.


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in recessions tax revenues tend to decline and transfer payments like unemployment insurance and food stamps tend to increase, so these programs are... a. are procyclical b. increase unemployment c. create budget surpluses during economic downturns d. are automatic stabilizer

Answers

Automatic stabilizers are crucial during recessions as they stabilize the economy by providing support to individuals and families. Policymakers should support their use to mitigate the impact of economic downturns. Here option D is the correct answer.

In recessions, tax revenues tend to decline because people and businesses earn less income, and therefore pay less in taxes. At the same time, transfer payments like unemployment insurance and food stamps tend to increase because more people are out of work and in need of assistance.

These programs are considered automatic stabilizers because they help stabilize the economy by providing support to individuals and families during times of economic hardship. They also help to mitigate the impact of economic downturns by increasing spending in the economy, which can create jobs and boost economic growth.

Automatic stabilizers are essential because they work without the need for additional government action, such as passing new legislation. They are built into the economy and automatically adjust based on economic conditions, making them an effective tool for smoothing out the ups and downs of the business cycle.

In contrast, procyclical policies, such as tax cuts or increased government spending, can exacerbate economic fluctuations by amplifying the effects of the business cycle. For example, tax cuts during a recession may provide short-term relief, but they can also increase the budget deficit and lead to long-term economic instability.

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with a global economy there has been a. greater equity in who can become wealthy b. less downsizing and outsourcing by corporations c. a decrease in social inequality d. a decrease in profits for large corporations e. greater economic instability among poorer nations

Answers

With a global economy, there has been a greater equity in who can become wealthy. The correct option is a.

The globalization of the economy has opened up new opportunities for individuals and businesses in emerging economies to participate in the global market. This has resulted in the creation of new wealth and opportunities for individuals in these countries. At the same time, it has also increased competition and put pressure on businesses to operate more efficiently and effectively, which has led to the emergence of new business models and increased productivity.

While globalization has also created new challenges and economic instability in some parts of the world, overall it has contributed to greater equity in who can become wealthy by expanding economic opportunities to a broader range of individuals and businesses around the world.

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EZ Credit, Inc., lends $1,000 to Joe. Kay acts as Joe’s surety. If Kay pays the loan, she gets​
a. ​any right that EZ had against Joe and a right to be repaid by Joe.
b. ​none of the choices.
c. ​any right that EZ had against Joe, but not a right to be repaid by Joe.
d. ​a right to be repaid by Joe, but not any right that EZ had against Joe.

Answers

When EZ Credit, Inc., lends $1,000 to Joe and Kay acts as Joe's surety, if Kay pays the loan, she gets:

a. any right that EZ had against Joe and a right to be repaid by Joe.

As a surety, Kay guarantees the payment of Joe's debt to EZ Credit, Inc. In case Joe defaults on the loan, Kay becomes responsible for paying the loan on his behalf.

Once Kay fulfills this responsibility and pays the loan, she acquires two rights:

1. Any right that EZ Credit, Inc., had against Joe: This means that Kay can step into the shoes of EZ Credit, Inc., and enforce any rights or claims that the lender had against Joe, such as seeking repayment of the loan or enforcing any collateral agreements.

2. A right to be repaid by Joe: Since Kay paid the loan on behalf of Joe, she is entitled to be reimbursed by him for the amount she paid.

This right to reimbursement stems from the surety agreement and the principle of subrogation, which allows Kay to recover the amount she paid on Joe's behalf.

In conclusion, if Kay acts as Joe's surety and pays the loan, she gets any right that EZ Credit, Inc., had against Joe and a right to be repaid by Joe, making option (a) the correct answer.

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Finework Corporation's semi-annual coupon bonds have a 15-year maturity, a 7% annual coupon rate, and a par value of $1,000. The current annual YTM is 6.5%. What is the bond price today? $1,008.65 $1,047.45 $1,098.00 $1,024.67 $1,105.78

Answers

The bond price today  is $1,047.45.

To calculate the bond price today, we can use the formula for the present value of a bond which is the sum of the present values of its future cash flows. The future cash flows are the semi-annual coupon payments of $35 ($1,000 x 7%/2) and the par value of $1,000 to be received at maturity.

To calculate the present value of each coupon payment, we need to discount it at the current annual YTM rate of 6.5% but adjusted for the semi-annual payments. Therefore, we divide the YTM rate by two to get the semi-annual rate of 3.25%. We can then use the present value of annuity formula to find the present value of the coupon payments.

Using a financial calculator or spreadsheet, we can input the following values: N = 30 (15 x 2), I/Y = 3.25, PMT = 35, and FV = 1,000. This gives us a present value of $1,008.65 for the coupon payments.

To calculate the present value of the par value, we simply discount it at the YTM rate. Therefore, using the present value formula, we input N = 30, I/Y = 6.5, and FV = 1,000. This gives us a present value of $657.80.

Finally, we add the present value of the coupon payments and the present value of the par value to get the bond price today, which is $1,008.65 + $657.80 = $1,666.45. Therefore, the closest answer choice is $1,047.45.

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cameroon corporation manufactures and sells electric staplers for $16.90 each. if 10,000 units were sold in december, and management forecasts 4.9% growth in sales each month, the number of units of electric stapler sales budgeted for march should be:

Answers

The number of units of electric stapler sales budgeted for March is 11,501 units.

Cameroon Corporation sold 10,000 electric staplers in December at a price of $16.90 each. The company's management has forecasted a growth rate of 4.9% in sales each month. Using this forecast, we can calculate the number of electric staplers sold for January, February, and March.

In January, the sales would be 10,000 x 1.049 = 10,490 units.

In February, the sales would be 10,490 x 1.049 = 10,988 units.

In March, the sales would be 10,988 x 1.049 = 11,501 units.

Therefore, the number of units of electric stapler sales budgeted for March is 11,501 units. Sales forecasting is a critical component of budgeting and planning, and using historical trends to forecast sales growth can help companies make informed decisions about future sales projections.

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RJS generated $65,000 net income this year. The firm's financial statements also show that it interest expense was $40,000, its marginal tax rate was 35%, and its invested capital was $800,000. If its average cost of funds is 12%, what was RJS's economic value added (EVA) this year?

Answers

To calculate RJS's economic value added (EVA) for the year, we need to use the following formula:

EVA = Net Operating Profit After Tax (NOPAT) - (Weighted Average Cost of Capital (WACC) x Invested Capital)

First, let's calculate NOPAT. We know that RJS's net income for the year was $65,000 and its marginal tax rate was 35%. Therefore:

NOPAT = Net Income x (1 - Marginal Tax Rate)


NOPAT = $65,000 x (1 - 0.35)


NOPAT = $42,250

Next, let's calculate the WACC. We know that RJS's average cost of funds is 12%. To calculate the WACC, we need to take into account the cost of debt and the cost of equity. We know the cost of debt, which is the interest expense of $40,000. To calculate the cost of equity, we can use the Capital Asset Pricing Model (CAPM) formula:

Cost of Equity = Risk-Free Rate + Beta x (Expected Market Return - Risk-Free Rate)

Assuming a risk-free rate of 2%, a beta of 1.5, and an expected market return of 10%, the cost of equity would be:

Cost of Equity = 2% + 1.5 x (10% - 2%)


Cost of Equity = 2% + 1.5 x 8%


Cost of Equity = 14%

Now we can calculate the WACC:

WACC = (Cost of Debt x (1 - Marginal Tax Rate) x Debt/Total Capital) + (Cost of Equity x Equity/Total Capital)


WACC = (12% x (1 - 0.35) x 40%/80%) + (14% x 60%/80%)


WACC = 4.68% + 10.5%


WACC = 15.18%

Finally, we can calculate the EVA:

EVA = NOPAT - (WACC x Invested Capital)
EVA = $42,250 - (15.18% x $800,000)
EVA = $42,250 - $121,440
EVA = -$79,190

The negative EVA indicates that RJS did not generate enough returns to cover its cost of capital. This means that the company's investments are not generating value for its shareholders. To increase EVA, RJS would need to improve its profitability or reduce its cost of capital.

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select all that apply when frito-lay decided to introduce a salsa product line, it used the existing tostitos brand (under which it sells taco chips). what advantages did this strategy provide frito-lay? (choose every correct answer.)

Answers

When Frito-Lay decided to introduce a salsa product line under the existing Tostitos brand, it provided the company with several advantages. These include:  Brand recognition, Cost savings, Cross-promotion opportunities, Faster market penetration,  Consistent brand image.

1. Brand recognition: By using the existing Tostitos brand, Frito-Lay was able to leverage the brand's popularity and trust among consumers, making it easier to introduce the new salsa product line.

2. Cost savings: Using the existing brand infrastructure, including packaging design, logo, and marketing channels, Frito-Lay saved on costs that would otherwise be incurred if they were to create a completely new brand.

3. Cross-promotion opportunities: With the Tostitos brand already selling taco chips, Frito-Lay could promote the new salsa products alongside the chips, encouraging consumers to purchase both items together.

4. Faster market penetration: Since Tostitos was already a well-known brand, it was likely that retailers and distributors were more willing to stock the new salsa product line, allowing for a quicker entry into the market.

5. Consistent brand image: By adding the salsa product line under the Tostitos brand, Frito-Lay maintained a consistent brand image focused on Mexican-inspired snack foods, which could reinforce the brand's identity among consumers.

By choosing this strategy, Frito-Lay was able to capitalize on the existing Tostitos brand equity and streamline the introduction of the new salsa product line.

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Assume that JCP will experience a $1.5 billion net income loss for 2013 and that a cash balance of $1.0 billion is required for JCP to operate efficiently. Create a pro forma sources and uses statement to estimate JCP’s external funding required by year-end 2013. Be prepared to recommend whether the debt or equity issuance is the better choice as the source for external funding. How will the stock price react to the announcement of a debt offering? An equity issuance?

Answers

If the equity issuance is seen as funding growth opportunities, it may have a positive impact on the stock price.
Ultimately, the choice between debt or equity issuance depends on JCP's financial health, investor sentiment, and market conditions.

Create a pro forma sources and uses statement for JCP and provide a recommendation on debt or equity issuance.

Assumptions:
- Net income loss for 2013: -$1.5 billion
- Required cash balance: $1.0 billion

Pro Forma Sources and Uses Statement:
Sources:
1. Debt issuance
2. Equity issuance

Uses:
1. Cover net income loss: -$1.5 billion
2. Maintain required cash balance: $1.0 billion

External funding required by year-end 2013: $2.5 billion ($1.5 billion net income loss + $1.0 billion required cash balance)

Recommendation:
Between debt and equity issuance, it depends on the company's financial situation, market conditions, and investors' preferences.

Debt issuance can be a better choice if the interest rates are low and the company has a good credit rating, allowing it to secure funds at a lower cost. However, it increases the company's debt load and may limit future borrowing.
Equity issuance can be a better choice if the company has a high debt-to-equity ratio or wants to avoid increasing its debt load. However, it may dilute existing shareholders' ownership and be less favorable in a bearish market.
Stock price reaction:

Debt offering announcement: The stock price may react negatively if the market perceives the company is taking on too much debt, increasing its risk. Conversely, it may react positively if the debt issuance is seen as a strategic move to fund growth opportunities.

Equity issuance announcement: The stock price may react negatively due to dilution of existing shareholders' ownership, signaling that the company needs cash, which might be perceived as a sign of financial distress.

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Does this growth rate of GDP stay high indefinitely or only for
a period of time?

Answers

The growth rate of GDP can vary over time and is influenced by various factors such as government policies, economic conditions, and global events.

It is unlikely that the growth rate of GDP will stay high indefinitely as there may be periods of economic slowdown or recession. However, with proper management and sustained efforts to boost economic growth, it is possible to maintain a relatively high growth rate for an extended period of time.

Ultimately, the sustainability of GDP growth depends on a variety of factors and cannot be predicted with certainty.

Monetary policies, implemented by central banks, can also impact GDP growth. For instance, central banks can adjust interest rates, open market operations, and reserve requirements to influence the supply of money and credit in the economy, which in turn affects borrowing costs, investment decisions, and consumption patterns.

Lowering interest rates, for example, can encourage borrowing and spending, thus stimulating GDP growth, while raising interest rates can have the opposite effect.

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which of the following is true of a team? a. individual work products b. pre-determined work structure c. individual accountability d. shared leadership roles

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A team has shared leadership responsibilities. They serve the same objective as the organization's overarching aim. Option d is Correct.

Task forces are occasionally used to refer to work groups. It is viewed as a kind of team made up of several individuals who work together to achieve the company goals. Shared leadership involves more cooperation.

Even if there is still just one person in command, there is sharing of authority and influence. This might imply that people have more discretion over decisions affecting their jobs or that there is an open-door policy where everyone's opinions are fairly considered.

A leader's five duties include inspiring and encouraging their staff to continuously deliver excellent work, conveying culture, modeling key values, creating a harmonious, inclusive workplace, and expressing a vision that unifies the team. Option d is Correct.

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The true characteristic of a team is d) shared leadership roles.

A team is defined as a group of individuals working together towards a common goal. In order to achieve this goal, it is essential for each member of the team to contribute their skills and knowledge, which ultimately leads to the success of the project. In a team, the workload is distributed among the members, and they work together to complete the task at hand.
Individual work products (a) are not necessarily a characteristic of a team because in a team, the work is done collaboratively, and each member contributes to the final product. Pre-determined work structure (b) may be present in a team, but it is not a defining characteristic.

The work structure is determined based on the needs of the project and can vary from project to project. Individual accountability (c) is important in a team because each member is responsible for completing their assigned tasks, but it is not the defining characteristic of a team.
In summary, shared leadership roles are the true characteristic of a team because each member has a role to play in the decision-making process, and the success of the team is dependent on the collaborative effort of all members. Therefore option D is correct.

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the free cash flow to the firm is just reported as $205 million. the interest expense to the firm is $36 million. if the tax rate is 35% and the net debt of the firm increased by $25 million, how much is the market value of equity if the fcfe is expected to grow at 2.35% forever and the cost of equity is 10.63%? question 8 options: a) $1,445 million b) $1,554 million c) $2,445 million d) $2,554 million

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The market value of equity is $1,554 million, which is option (b).

To find the market value of equity, we first need to calculate the free cash flow to equity (FCFE), which represents the cash flow available to the equity holders after meeting all financial obligations.

FCFE = FCFF - (Interest expense x (1 - Tax rate)) + Net borrowing

where FCFF is the free cash flow to the firm.

FCFE = $205 million - ($36 million x (1 - 0.35)) + $25 million

FCFE = $142.1 million

Next, we can use the Gordon growth model to calculate the market value of equity.

Market value of equity = FCFE / (Cost of equity - Growth rate)

Market value of equity = $142.1 million / (0.1063 - 0.0235)

Market value of equity = $1,554 million

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video game consoles and video games are complementary products: the availability of one increases the value of the other. in the past the suppliers of consoles were able to appropriate most of the profits generated by video game systems because:

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In the past the suppliers of consoles were able to appropriate most of the profits generated by video game systems because of their control over the hardware platform.

Video game consoles and video games are complementary products, which means that the value of one product is dependent on the availability of the other. In the past, suppliers of video game consoles such as Sony, Microsoft, and Nintendo, had significant power over the hardware platform.

This allowed them to limit the number of game titles available to consumers and charge high licensing fees to game developers who wanted to create games for their platform. As a result, console suppliers were able to capture most of the profits generated by the video game industry.

This situation began to change with the emergence of online gaming and mobile gaming, which created new platforms for game developers to distribute their products and reduced the power of console suppliers.

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if a caterer has an overhead of $350,000 per year and knows that they will perform 275 catering jobs this year, how much do they need to charge per event in order to cover these costs?

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To ensure that the catering business can cover its overhead costs of $350,000 per year and manage 275 catering jobs, they would have to charge a minimum of $1,273.64 per event.

This calculation can be derived by dividing the total overhead expenses by the number of events that the caterer plans to cater for, which gives us $1,273.64 per event as the minimum charge required.

This can be achieved by  dividing the total overhead by the number of events:

$350,000 ÷ 275 = $1,273.64 per event.

In summary, the caterer has to charge at least $1,273.64 per event to break even and cover their overhead costs.

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Trower Corp. has a debt-equity ratio of.85. The company is considering a new plant that will cost $114 million to build. When the company issues new equity, it incurs a flotation cost of 8.4 percent. The flotation cost on new debt is 3.9 percent. What is the initial cost of the plant if the company raises all equity externally? (Enter your answer in dollars, not millions of dollars, e.g., 1,234,567. Do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.) Initial cash flow $ 121,707,014 What is the initial cost of the plant if the company typically uses 65 percent retained earnings? (Enter your answer in dollars, not millions of dollars, e.g., 1,234,567. Do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.) Initial cash flow $ 117,989,314 What is the initi cost of the plant if the company typically uses 100 percent retained earnings? (Enter your answer in dollars, not millions of dollars, e.g., 1,234,567. Do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.) Initial cash flow $ 116,080,029

Answers

The initial cost of the plant if the company raises all equity externally is $121,707,014.

The initial cost of the plant if the company typically uses 65 percent retained earnings is $117,989,314.

The initial cost of the plant if the company typically uses 100 percent retained earnings is $116,080,029.

To calculate the initial cost of the plant if the company raises all equity externally, we can use the formula:

Initial cost = [tex]\frac{\text{Cost of new plant}}{1 - \text{Flotation cost on new equity}}[/tex]

Cost of new plant = $114 million

Flotation cost on new equity = 8.4% = 0.084

Therefore, Initial cost = [tex]$\frac{114\text{ million}}{1-0.084}$[/tex]

Initial cost = $121,707,014

To calculate the initial cost of the plant if the company typically uses 65 percent retained earnings, we need to calculate the proportion of equity and debt used to finance the plant. Assuming the remaining 35% of the cost is financed with debt, we can use the debt-equity ratio to calculate the proportion of debt and equity:

Debt proportion =[tex]\frac{\text{Debt}}{\text{Debt} + \text{Equity}}[/tex] = 0.85

Equity proportion = 1 - Debt proportion = 0.15

We also need to adjust for the flotation costs of issuing new equity and debt:

Equity cost = [tex]\frac{\text{Cost of new equity}}{1 - \text{Flotation cost on new equity}}[/tex]

Equity cost = $114 million x [tex]\frac{0.15}{1-0.084}[/tex]

Equity cost = $22,919,620

Debt cost =  [tex]\frac{\text{Cost of new debt}}{(1 - \text{Flotation cost on new debt})}[/tex]

Debt cost = $114 million x [tex]\frac{0.35}{1 - 0.039}[/tex]

Debt cost = $46,201,694

Therefore, the initial cost of the plant is:

Initial cost = Cost of new plant + Equity cost + Debt cost

Initial cost = $114 million + $22,919,620 + $46,201,694

Initial cost = $117,989,314

To calculate the initial cost of the plant if the company typically uses 100 percent retained earnings, we can simply use the cost of the new plant and adjust for the flotation cost of issuing new equity:

Initial cost = [tex]\frac{\text{Cost of new plant}}{1-\text{Flotation cost on new equity}}[/tex]

Initial cost = [tex]$\dfrac{114 \text{ million}}{1-0.084}$[/tex]

Initial cost = $116,080,029.

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The
average collection float is $265,450 and the approximate discount
rate is 10%. What is the annual cost of float?

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The annual cost of float is $26,545. To calculate this, multiply the average collection float ($265,450) by the approximate discount rate (10%).

To calculate the annual cost of float, follow these steps:

1. Convert the discount rate to a decimal by dividing it by 100: 10% ÷ 100 = 0.10
2. Multiply the average collection float by the discount rate in decimal form: $265,450 x 0.10 = $26,545

The annual cost of float represents the opportunity cost of not having immediate access to the funds due to the time taken for checks to clear or for payments to be processed.

In this case, the annual cost of float is $26,545, which is the amount of money the company could have potentially earned if they had immediate access to the funds and invested them at the given discount rate.

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Consider a circle whose equation is x2 + y2 – 2x – 8 = 0. Which statements are true? Select three options. The radius of the circle is 3 units. The center of the circle lies on the x-axis. The center of the circle lies on the y-axis. The standard form of the equation is (x – 1)² + y² = 3. The radius of this circle is the same as the radius of the circle whose equation is x² + y² = 9.

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According to the question of equation, the first statement is true. The second statement is false. The third statement is false. The fourth statement is true. The fifth statement is false.

What is equation?

Equation is a mathematical statement that expresses the equality of two expressions by using symbols. It typically consists of an equal sign and two expressions or terms that are linked by the equal sign. These expressions or terms can contain numbers, variables, constants, and mathematical operations such as addition, subtraction, multiplication, and division. Equations are used to describe physical phenomena and solve problems.

The radius of the circle is 3 units because the equation can be rearranged to (x – 1)² + y² = 3, which is the standard form of a circle. The center of the circle lies at the point (1, 0) and does not lie on the x-axis. The center of the circle lies at the point (1, 0) and does not lie on the y-axis. The standard form of the equation is (x – 1)² + y² = 3. The radius of this circle is 3 units, while the radius of the circle whose equation is x² + y² = 9 is 3√2 units, which is not the same as 3.

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The sale or transfer of accounts receivable to raise funds is called a. discounting. b. collateralizing. c. pledging. d. factoring

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The sale or transfer of accounts receivable to raise funds is called factoring

Option D is correct.

Factoring is the sale or transfer of accounts receivable to a third party (the factor) at a discount, in order to raise funds for the business. The factor then assumes responsibility for collecting the payments from the customers who owe the receivables.

Factoring allows a business to access cash quickly, without having to wait for customers to pay their invoices. It can also help to manage credit risk, as the factor assumes the risk of non-payment by the customers.

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The correct answer is d. factoring. Factoring is the process of selling or transferring accounts receivable to a third party, known as a factor, in exchange for immediate funds.

The factor then collects payment from the debtor on behalf of the original creditor. This is often done to improve cash flow or to raise funds for business operations.The sale or transfer of accounts receivable to raise funds is called d. factoring. In factoring, a business sells its accounts receivable to a third party, known as a factor, who provides immediate cash to the business. This helps the business improve its cash flow without waiting for the customers to pay their outstanding invoices.The correct answer is d. factoring.

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Monetary neutrality means that while real variables may change in response to changes in the money supply, nominal variables do not.
true
false

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The given statement about Monetary neutrality is true. The details on this system is given in the below section.

Monetary neutrality way that at the same time as actual variables might also additionally alternate in reaction to modifications withinside the cash deliver, nominal variables do now no longer. According to the Fisher effect, if inflation rises then the nominal hobby fee rises. Shoeleather charges and menu charges are each charges of predicted inflation. The neutrality of cash, additionally referred to as impartial cash, is an monetary principle declaring that modifications withinside the cash deliver simplest have an effect on nominal variables and now no longer actual variables. Monetary neutrality is the concept that a alternate withinside the cash deliver does now no longer have a actual effect at the economic system withinside the lengthy run, apart from converting the mixture rate stage in share to the alternate withinside the cash deliver.

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True, monetary neutrality is a concept in economics that suggests that changes in the money supply have no long-term effects on nominal variables such as prices, interest rates, or exchange rates.

It assumes that there is no relationship between the money supply and real variables such as output, employment, or consumption.

Monetary neutrality is based on the idea that changes in the money supply only have a temporary effect on the economy because they are quickly absorbed by price adjustments. This implies that in the long run, changes in the money supply do not affect the level of output, employment, or other real variables. Instead, they only lead to changes in nominal variables.

The concept of monetary neutrality is often used to evaluate the effectiveness of monetary policy. If monetary neutrality holds true, then the central bank's ability to influence real variables through changes in the money supply is limited. In this case, monetary policy can only affect nominal variables, and the real economy will be largely unaffected.

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"Determine the swap rate of a 3-year interest rate swap with
annual interest payments, indexed at the Euribor. The 1-year,
2-year, and 3-year zero Euribor rates are equal to 1.2%, 1.8%, and
3%, respectively. Use discrete compounding.

Answers

To determine the swap rate of a 3-year interest rate swap with annual interest payments indexed at the Euribor, we need to first understand what an interest rate swap is. It is an agreement between two parties to exchange a fixed interest rate payment for a variable interest rate payment. In this case, the fixed interest rate payment is determined by the swap rate.

To calculate the swap rate, we need to first calculate the forward rates using the given zero Euribor rates. The forward rate for a 1-year period starting in year 1 and ending in year 2 is (1+2*0.018)/(1+1*0.012)-1 = 2.68%. Similarly, the forward rate for a 1-year period starting in year 2 and ending in year 3 is (1+3*0.03)/(1+2*0.018)-1 = 3.47%.

Next, we calculate the fixed rate that would make the present value of the fixed rate payments equal to the present value of the variable rate payments.

This fixed rate is the swap rate. Using the formula for present value of an annuity, we can calculate the present value of the fixed rate payments as 1/(1+0.0268)+1/(1+0.0347)^2+1/(1+0.0347)^3 = 2.734. The present value of the variable rate payments is simply 1.

Therefore, the swap rate is 1-2.734 = -1.734%, meaning the fixed rate payer would pay 1.734% while the variable rate payer would pay the Euribor rate.

In summary, the swap rate for a 3-year interest rate swap with annual interest payments indexed at the Euribor is -1.734%, calculated using the given zero Euribor rates and discrete compounding.

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thomas buys a bond at a premium of 200 to yield 6% annually. the bond pays annual coupons and is redeemable for its par value of 1000. calculate the amount of interest in the first coupon.

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The amount of interest in the first coupon is $50.67.

To calculate the amount of interest in the first coupon, we need to first determine the coupon rate of the bond.

Since the bond is purchased at a premium, we know that the coupon rate is higher than the yield rate of 6%. Let's assume that the coupon rate is x%.

The premium paid for the bond is $200, and the face value of the bond is $1000. Therefore, the actual cost of the bond is $1200.

We can set up an equation to solve for the coupon rate:

PV = C / (1 + r) + C / (1 + r)^2 + ... + C / (1 + r)^n + F / (1 + r)^n

Where:

PV = present value (what Thomas paid for the bond)

C = coupon payment

r = yield rate (6%)

n = number of years until maturity

F = face value

Substituting the known values:

$1200 = C / 1.06 + C / 1.06^2 + ... + C / 1.06^20 + $1000 / 1.06^20

Simplifying this equation using a financial calculator or spreadsheet, we can find that the coupon rate is approximately 5.067%.

To calculate the amount of interest in the first coupon, we need to multiply the coupon rate by the face value of the bond:

Interest in first coupon = coupon rate x face value

Interest in first coupon = 5.067% x $1000

Interest in first coupon = $50.67

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