If HPH, Inc. increases its DPO (Days Payable Outstanding) from 30 days to 40 days, it is most likely that payables will decrease, resulting in an improvement in liquidity.
Days Payable Outstanding (DPO) measures the average number of days it takes for a company to pay its suppliers. By increasing the DPO from 30 days to 40 days, HPH, Inc. is extending the time it takes to settle its payables. This means the company will be able to hold onto its cash for a longer period before making payments to suppliers.
As a result of increasing the DPO, the company's payables will decrease. This is because the longer payment period allows HPH, Inc. to delay its cash outflows, reducing the amount of money owed to suppliers at any given time. By lowering the payables, the company's liabilities decrease, which can positively impact its financial position.
Additionally, the increase in DPO can lead to an improvement in liquidity. Liquidity refers to a company's ability to meet its short-term financial obligations. By extending the payment period to suppliers, HPH, Inc. effectively increases its available cash on hand, which enhances its liquidity position. The company can use the extra cash to fund other operational needs, invest in growth opportunities, or handle unexpected expenses.
Overall, increasing the DPO from 30 days to 40 days is likely to result in decreased payables and improved liquidity for HPH, Inc. This strategy allows the company to manage its cash flow more effectively and potentially strengthen its financial position.
The complete question is :
HPH, Inc. has annual CGS of $ 365,000. Which of the following is most likely to occur if HPH increases its DPO from 30 days to 40 days? Select one:
a. Payables will decrease and liquidity will increase
b. Operating cash flow will increase as payables rise
c. Operating cash flow will drop as payables decrease
d. Profitability will weaken as interest expense increases
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Which one of the following would be an appropriate response for a U.S. exporter to depreciation of the dollar?
O low the foreign currency price if demand is quite elastic for the product
O move some production offshore if depreciation is expected to be permanent
O keep the foreign price constant if demand is quite elastic
O raise the foreign currency price if the dollar appreciation was expected to be temporary and the cost of regaining market share was minimal
The appropriate response for a U.S. exporter to depreciation of the dollar would be to raise the foreign currency price if the dollar appreciation was expected to be temporary and the cost of regaining market share was minimal.
When the dollar depreciates, it means that the value of the dollar decreases relative to other currencies. As a U.S. exporter, this can have both advantages and disadvantages. One appropriate response would be to raise the foreign currency price if the depreciation of the dollar is expected to be temporary and if the cost of regaining market share is minimal. By increasing the price in foreign currency, the exporter can offset the decrease in the value of the dollar and maintain profit margins. This strategy is particularly effective when the depreciation is expected to be short-lived, as it allows the exporter to capitalize on higher prices without risking a significant loss of market share.
When the dollar depreciates, it becomes cheaper for foreign buyers to purchase U.S. goods. By raising the foreign currency price, the U.S. exporter can take advantage of this situation and potentially increase their revenue. However, it is important to consider the elasticity of demand for the product. If the demand is quite elastic, meaning that a price increase would lead to a substantial decrease in demand, it may be more appropriate to keep the foreign price constant or even lower it. This decision should be based on careful analysis of market conditions, competitor pricing, and the specific characteristics of the product being exported. Ultimately, the goal is to optimize profitability and maintain a competitive position in the foreign market.
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Jack and Jill need to save $8200 toward a new car. How long will
it take them if they save $320 a month earning interest at 6.2% per
year? (Treat as an ordinary annuity.) (State your answer in years
r
Jack and Jill need to save $8200 toward a new car. They are saving $320 per month. They want to know how long it will take them to save the required amount.
To find out how long it will take Jack and Jill to save $8200 by saving $320 per month, we can use the formula for the present value of an annuity, which is: PMT × ((1 − (1 + r)^−n) / r) = PV Where: PMT = the amount of each payment. r= the interest rate n = the number of payments. PV = the present value of the annuity. Since we are solving for n (the number of payments),
we can rearrange the formula to isolate n as follows: n = -log(1 - (PV x r) / PMT) / log(1 + r)Using the given values: PMT = $320r = 0.062 (6.2% per year)PV = $8200 (since this is the amount they need to save)Plugging in the values: n = -log(1 - (8200 x 0.062) / 320) / log(1 + 0.062)≈ 2.9So it will take Jack and Jill approximately 2.9 years (or about 3 years) to save $8200 by saving $320 per month at 6.2% per year.
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The concept which explains the separation of the owner and the
business is called the:
Accounting period concept.
Materiality concept.
Comparability concept.
Entity concept.
The concept which explains the separation of the owner and the business is called the Entity concept.
The Entity concept, also known as the Entity Assumption or Business Entity concept, is a fundamental principle in accounting that states that the financial affairs of a business must be kept separate from the personal affairs of its owner(s).
According to this concept, a business is treated as a separate entity or economic unit from its owners, meaning that the business has its own assets, liabilities, income, and expenses that are distinct from those of the owner(s).
For example, if a sole proprietorship business owner withdraws cash from the business for personal use, it is recorded as a withdrawal or a reduction of the owner's equity rather than an expense of the business.
Similarly, any personal assets or liabilities of the owner(s) are not considered part of the business's financial statements.
The Entity concept is crucial for ensuring the accuracy, reliability, and comparability of financial information.
By maintaining a clear separation between the owner(s) and the business, this concept allows for a true and fair representation of the business's financial performance and position.
It enables stakeholders, such as investors, creditors, and regulators, to evaluate the business's financial health independently of the personal financial circumstances of the owner(s).
Thus, the Entity concept plays a vital role in providing relevant and reliable financial information for decision-making purposes.
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Discuss the level of involvement in a purchase situation that affects the central processing versus the peripheral processing. Suggest the different ways in which Dell’s computer advertising message would differ due to the different routes of information processing.
The level of involvement in a purchase situation that affects the central processing versus the peripheral processing is significant. When a consumer is purchasing a product, they may become involved in the process either due to personal significance or situational significance.
On the other hand, a lower level of involvement affects the peripheral processing. Peripheral processing is the process by which consumers engage in low levels of cognitive processing to assess product information. It is a cognitive process that is characterized by less effortful processing, a need for less information, and a more superficial evaluation of the product’s attributes and features.
Dell's computer advertising message would differ due to the different routes of information processing. If the message is targeted at consumers who are more involved in the purchase situation, the message would be detailed, factual, and informative. This is because such consumers will engage in high levels of cognitive processing and will require a lot of information before making a decision.
On the other hand, if the message is targeted at consumers who are less involved in the purchase situation, the message would be simple, creative, and attractive. Such consumers will engage in low levels of cognitive processing and will require little information before making a decision. Therefore, the advertising message must be designed based on the level of involvement of the consumer in the purchase situation.
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Paraphrase the following sentences. Remember to change as many words as you can, change the sentence structure and not change the meaning of the original. Do not add or take out any meaning 1. "What was once considered upscale is now the "new normal" for homeowners today."
2. " But the bulk of human experiences, especially when it comes to most monetary or material gains, have a surprisingly short-lived effect on how happy you are."
"The current standard for homeowners today is what used to be seen as luxurious in the past."
1. The original sentence emphasizes the shift in perception of what is considered upscale by stating that it has become the "new normal" for homeowners today. In the paraphrased version, the focus is on the current standard for homeowners, suggesting that what was once viewed as luxurious in the past is now the norm.
2. The original sentence highlights that most human experiences, particularly those related to monetary or material gains, have a short-lived effect on happiness. The paraphrased version maintains the same idea but rephrases it to emphasize that these encounters have a surprisingly brief impact on one's level of happiness. The mention of "bulk" is replaced with "majority," and the sentence structure is modified to convey the same meaning without altering the overall message.
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The continuously compounded rate of return on an investment with a time to maturity of 5 years is 10%. Compute the annualised quarterly-compounding rate of return for that same investment, expressing your answer in percentages to 2 decimal places.
The annualised quarterly-compounding rate of return is found as 14.92%
Given that continuously compounded rate of return on an investment with a time to maturity of 5 years is 10%.
We need to compute the annualised quarterly-compounding rate of return for that same investment.
Given, r = 10%
(continuously compounded rate of return)
For quarterly-compounding, n = 4
(quarterly means four times a year)
The formula for quarterly-compounding rate of return is:
[tex]R = (1 + r/n)^(n*m) - 1[/tex]
Where, m = time to maturity in years
Therefore,
[tex]R = (1 + 0.10/4)^(4*5) - 1\\= (1 + 0.025)^(20 - 1)\\= 0.025*596.81\\= 14.92%[/tex]
Therefore, the annualised quarterly-compounding rate of return for that same investment is 14.92% (rounded to 2 decimal places).
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action
Edges
A manager at Strateline Manufacturing must choose between two shipping alternatives: two-day freight and five-day freight. Using five-day freight would cost $205 less than using two-day freight. The primary consideration is holding cost, which is $9 per unit a year, 2,425 items are to be shipped.
Format
Rotation
tic Effects
Which alternative would you recommend? (Do not round your intermediate calculations.)
O Five-day freight
Two-day freight
Two-day freight alternative.
To determine the recommended shipping alternative, we need to compare the total costs of each .
primary consideration is holding cost, which is given as $9 per unit per year.
For the Two-day freight :
- Holding cost per year = $9 * 2,425 items = $21,825
For the Five-day freight :- Holding cost per year = $9 * 2,425 items = $21,825
- Cost savings compared to Two-day freight = $205
Comparing the two s:- Total cost of Two-day freight = Holding cost per year = $21,825
- Total cost of Five-day freight = Holding cost per year + Cost savings = $21,825 + $205 = $22,030
Since the total cost of the Two-day freight ($21,825) is lower than the total cost of the Five-day freight ($22,030), I would recommend choosing the Two-day freight alternative.
Note: It is important to consider other factors such as delivery time and specific requirements of the shipment. However, based solely on the cost analysis provided, the Two-day freight is more cost-effective.
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Adish is analyzing the benefits and feasibility of implementing a stress-reduction program on a fixed budget. Through research, Adish learns that the cost of a stress reduction program exceeds the proposed budget. He also learns that such programs are linked to increased employee health and morale. Adish then advises the company leadership to implement the program because it will be effective at improving the well-being of employees. Adish is guilty of
Adish is guilty of ignoring the financial constraints and feasibility of implementing the stress-reduction program within the fixed budget.
Adish's analysis of the benefits and feasibility of implementing a stress-reduction program is incomplete and biased. Although such programs are linked to increased employee health and morale, Adish fails to consider the cost aspect and the fact that the proposed budget cannot accommodate the expenses associated with the program. By advising the company leadership to implement the program without addressing the financial constraints, Adish neglects a crucial aspect of decision-making. It is essential to evaluate the feasibility of any initiative within the allocated budget to ensure the company's financial stability. Adish's recommendation solely focuses on the program's effectiveness in improving employee well-being, disregarding the practicality of implementation. To make a well-rounded recommendation, Adish should consider alternative options or find ways to align the program with the available resources without compromising the company's financial position.
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Understanding the characteristics of a successful research topic
is critical when designing a research study. Discuss the main
characteristics that Mr Bunda should be aware of when coming up
with a research topic
Mr. Bunda can develop a research topic that is relevant, feasible, original, manageable, and aligned with his interests and goals. Conducting thorough background research and seeking feedback from mentors or advisors can also help in refining the research topic further.
When coming up with a research topic, Mr. Bunda should consider the following key characteristics:
1. Relevance: The research topic should be relevant to the field of study or the specific area of interest. It should address a significant problem, question, or gap in knowledge that is worth investigating. Mr. Bunda should ensure that the research topic aligns with his academic or professional goals and has relevance in the broader context.
2. Feasibility: It is essential to assess the feasibility of the research topic in terms of available resources, time constraints, and access to necessary data or participants. Mr. Bunda should consider the practicality of conducting the research within the given constraints and evaluate if he has the necessary skills and resources to carry out the study effectively.
3. Originality: A good research topic should contribute something new to the existing body of knowledge. Mr. Bunda should aim for a research topic that offers a fresh perspective, novel insights, or innovative approaches to the subject matter. It is crucial to review existing literature and identify gaps or areas where further exploration is needed.
4. Manageability: The research topic should be manageable within the scope of the project. Mr. Bunda should define clear research objectives and determine the appropriate scope and boundaries for the study. It is important to consider the available time, resources, and expertise to ensure that the research can be conducted effectively and produce meaningful results.
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Consolidated Industries is expected to pay a dividend of $3.65 per share next year. Dividends are expected to grow at 1.5% per year indefinately. If investor's have a required return of 18%, how much should the stock sell for? $22.12 $19.42 $20.63 $20.28 $23.11
Given the dividend of Consolidated Industries to pay next year is $3.65 per share, the expected growth rate is 1.5% per year indefinitely. Therefore, the stock's selling price is $22.42.
The required rate of return is 18%. We need to determine the stock's selling price. This can be solved using the constant growth rate formula. We will have to calculate the expected dividend for next year after calculating the first dividend. The constant growth rate formula is used to determine the price of the stock. The formula is as follows:P0 = D1 / (r – g)Where, P0 is the current price of the stockD1 is the expected dividend r is the required rate of return is the expected growth rate. The expected dividend next year, D1 can be calculated as follows:
D1 = D0 (1 + g)D0 = dividend paid this year = $3.65The expected growth rate is given as 1.5% per year indefinitely, hence g = 1.5% or 0.015. Now, we can calculate D1 as:D1 = $3.65 (1 + 0.015)D1 = $3.65 (1.015)D1 = $3.70. Using the formula above, we can now calculate the stock's selling price, P0:P0 = D1 / (r – g)P0 = $3.70 / (0.18 – 0.015)P0 = $3.70 / 0.165P0 = $22.42The stock's selling price is $22.42, which is the closest to option A, $22.12. Therefore, option A, $22.12 is the correct answer. The expected dividend for next year, D1 can be calculated as $3.70. The stock's selling price can be calculated using the formula P0 = D1 / (r – g). The stock's selling price is $22.42.
In this problem, we used the constant growth rate formula to determine the price of the stock. The formula is P0 = D1 / (r – g). The expected dividend for next year, D1 can be calculated as $3.70. The expected growth rate, g is 1.5% per year indefinitely. To calculate the required rate of return, r, we are given the required return of 18%.Substituting these values in the formula above, we obtain the stock's selling price. P0 = $3.70 / (0.18 – 0.015) = $22.42. Therefore, the stock's selling price is $22.42.
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3. How reliable we want a product or process can be divided between two categories: noncatastrophic processes and catastrophic processes. For non-catasrophic processes, we expect a reliability performance of ___ or higher. (fill in the blank)
A. 93%
B. 80%
C. 5%
D. 75%
For non-catastrophic processes, we expect a reliability performance of 80% or higher. Therefore, the correct option is B. 80%.
What is the reason?Reliability is the ability of an item to perform a required function under given conditions for a certain period of time.
The reliability of a process or product is crucial because it is an important part of meeting customer needs.
Catastrophic processes may cause major damage and even loss of life, therefore a higher reliability performance is required.
In contrast, a non-catastrophic process failure is usually not critical; hence a lower reliability requirement.
Hence, option b. is correct.
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a. In a panel dataset one observation is one state in one year. The dependent variable is the fatality rates in traffic accidents in each state and year. You suspect that the main omitted variable bias is due to the federal road and car safety standards, which are the same for all states but may change over time. You are given only the following choice: use state fixed effects or use time fixed effects. Which one is preferable? Explain.
b. Discuss the following statement: "In a panel dataset in which one observation is one state in one year, the fixed effects model is equivalent to a model with a dummy variable for each state."
a. In the given scenario, the dependent variable is the fatality rates in traffic accidents in each state and year. The main omitted variable bias is caused due to the federal road and car safety standards that are the same for all states but may change over time. The best choice in this case is to use state fixed effects. State fixed effects control for the unobserved state-specific variables that are time-invariant, which includes the effect of federal safety standards.
b. The statement, "In a panel dataset in which one observation is one state in one year, the fixed effects model is equivalent to a model with a dummy variable for each state", is true. The fixed effects model and the model with a dummy variable for each state are equivalent in a panel dataset where one observation is one state in one year. The dummy variable controls for the time-invariant state-specific variables. Thus, both models are equivalent in this scenario.
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The first step in the delegation process is to: O set objectives that define the responsibility, level of authority, and deadline. explain the need for delegating and the reasons for selecting the employee. O develop a plan. O establish control checkpoints and hold employees accountable. The O termination O resolution O orientation stage of group development is also known as the storming stage, is characterized by a moderate development level. O dissatisfaction The Scaler Principle refers to: O unity of command. O coordination. chain of command. O unity of direction
The first step in the delegation process is to set objectives that define the responsibility, authority, and deadline. The Scaler Principle refers to the concept of unity of command, emphasizing a clear reporting relationship within the organization.
The first step in the delegation process is to: set objectives that define the responsibility, level of authority, and deadline. This step involves clearly defining the tasks and outcomes that will be delegated to an employee, including the specific objectives they need to accomplish, the level of authority they have to make decisions, and the deadline by which the tasks should be completed.
The need for delegating and the reasons for selecting the employee are important considerations in the delegation process, but they typically come after setting the objectives. Once the objectives are defined, the manager can assess the need for delegation, determine which tasks can be effectively delegated, and select the most suitable employee for the delegated responsibilities.
Developing a plan, establishing control checkpoints, and holding employees accountable are subsequent steps in the delegation process that ensure effective implementation and monitoring of the delegated tasks. The termination, resolution, orientation, and dissatisfaction mentioned in the other options are unrelated to the delegation process.
The Scaler Principle, on the other hand, refers to the concept of unity of command, which emphasizes that employees should have a clear reporting relationship with only one supervisor to avoid conflicting instructions and confusion. It ensures a clear chain of command and direction within the organization.
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Full-employment means achieving zero unemployment rate. True False QUESTION 2 A public park is a "public Good" because it is open to the public. True False QUESTION 3 Microeconomics deals with small businesses, but macroeconomics deals with big businesses True False QUESTION 4 The museum of Natural Arts in NYC is a public good because it is run as a non-for-profit entity. True False QUESTION 5 Economics is an art and a science. True False QUESTION 6 A good is considered a "public good" if it is non-rival and non-exclusive in consumption. True False QUESTION 7 Labor and land are the only factors of production O True False QUESTION 8 Price stability, full-employment, economic growth, and balanced international trade are macroeconomic goals of a market economy O True O False QUESTION 9 Effectiveness means achieving the goal, no matter what the cost. True O False QUESTION 10 A public park could become a private good by imposing a fee for access. O True False
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QUESTION 1: Full-employment means achieving zero unemployment rate.
Ansawer: False.
Full refers to a situation where the economy is operating at its maximum level of employment, which does not necessarily mean zero unemployment. In practice, there will always be some level of frictional and structural unemployment in an economy.
QUESTION 2: A public park is a "public good" because it is open to the public.
Answer: True.
A public park is considered a public good because it is open to the public and its use by one individual does not diminish its availability to others. Public goods are non-rivalrous and non-excludable.
QUESTION 3: Microeconomics deals with small businesses, but macroeconomics deals with big businesses.
Answer: False.
Microeconomics and macroeconomics are two branches of economics that focus on different levels of analysis. Microeconomics studies the behavior and decisions of individual agents, such as households and firms, while macroeconomics examines aggregate economic phenomena, including overall economic growth, inflation, and unemployment.
QUESTION 4: The Museum of Natural Arts in NYC is a public good because it is run as a non-for-profit entity.
Answer: False.
The classification of a good as public or private is not solely determined by whether it is run as a non-profit entity. The Museum of Natural Arts may be a cultural institution but is not considered a public good unless its consumption is non-rivalrous and non-exclusive.
QUESTION 5: Economics is an art and a science.
Answer: True.
Economics is considered both an art and a science. It involves the application of scientific methods to study and analyze economic phenomena, but also requires interpretation and judgment in making policy decisions.
QUESTION 6: A good is considered a "public good" if it is non-rival and non-exclusive in consumption.
Answer: True.
A good is classified as a public good if it exhibits the characteristics of non-rivalry (one person's use does not diminish its availability to others) and non-excludability (it is difficult to prevent others from consuming it).
QUESTION 7: Labor and land are the only factors of production.
Answer: False.
Labor and land are two factors of production, but there are other factors as well, such as capital (including physical capital and human capital) and entrepreneurship. These factors are essential for the production of goods and services.
QUESTION 8: Price stability, full-employment, economic growth, and balanced international trade are macroeconomic goals of a market economy.
Answer: True.
Price stability, full-employment, economic growth, and balanced international trade are commonly recognized macroeconomic goals of a market economy. These goals aim to ensure stable and sustainable economic conditions.
QUESTION 9: Effectiveness means achieving the goal, no matter what the cost.
Answer: False.
Effectiveness refers to the degree of success in achieving a goal or objective. However, it does not imply that the goal should be achieved at any cost. Cost-effectiveness is an important consideration in evaluating the efficiency of achieving a goal.
QUESTION 10: A public park could become a private good by imposing a fee for access.
Answer: True.
By imposing a fee for access, a public park can be made excludable, thus transforming it into a private good. This allows the park to generate revenue and restrict access to those who are willing to pay.
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Financial Markets ▪ Between savers and borrower, which supplies resources into financial markets? Which demands/wants resources from financial markets? ▪ What is the benefit to savers of participating in financial markets? What is the benefit to borrowers (especially businesses) of participating in financial markets? ▪ What is a debt instrument? What is the claim to income on a debt instrument? ▪ What is an equity instrument? What is a claim to income on an equity instrument? . What are the maturity lengths for financial instruments in money markets? What are the maturity lengths for those in capital markets? ▪ What is the difference between financial instruments bought and sold in primary markets from those bought and sold in secondary markets? ▪ Be able to match financial instruments on the basis of debt/equity, money/capital markets, and primary/secondary markets. The key financial instruments to be familiar with are Treasury bills, Treasury notes, Treasury bonds, commercial paper, corporate bonds, and common/preferred stock.
Explanation:
The savers supply resources into financial markets by investing their money in various financial instruments such as stocks, bonds, and money market funds. The borrowers, on the other hand, demand resources from financial markets to finance their projects and activities.
The benefit to savers of participating in financial markets is that they can earn a return on their savings through the interest, dividends, or capital gains generated by the financial instruments they invest in. The benefit to borrowers, especially businesses, is that they can access the necessary capital to fund their operations and growth plans.
A debt instrument is a financial instrument that represents a loan made by an investor to a borrower. The claim to income on a debt instrument is the interest paid by the borrower to the lender, which is a fixed amount that is determined at the time the loan is made.
An equity instrument represents ownership in a company, and the claim to income on an equity instrument is the dividends paid by the company to its shareholders. Unlike debt instruments, the income generated by equity instruments is not fixed and can vary depending on the company's performance.
Financial instruments in the money market typically have a maturity length of less than one year, while those in the capital markets have a maturity length of more than one year.
Financial instruments bought and sold in primary markets are issued by the borrower for the first time, while those bought and sold in secondary markets are previously issued instruments that are bought and sold by investors.
Treasury bills, Treasury notes, and Treasury bonds are debt instruments issued by the US government and traded in the capital markets. Commercial paper is a short-term debt instrument issued by corporations and traded in the money markets.
MT Corporation has a Previous year Dividend of Rs.14 Per Share Where as Investors Require a 17% Return On the Similar Stocks. The Company's Dividend Grows By 7%. The Price Per Share in this Case Would Be
Rs.149.8
Rs.184.9
Rs.198.4
Rs.229.9
RTU Corporation Stock is Selling for Rs.150 Per Share. The Next Dividend is Rs.35 Per Share and it is Expected to Grow 14% More Or Less Indefinitely. What Would Be the Return Does this Stock Offer You If this is Correct?
17%
27%
37%
47%
Calculation of the price per share for MT Corporation:Given,Previous year dividend of MT corporation = Rs. 14 per shareInvestor require a 17% return on similar stocks Dividend grows by 7% ,
As per Gordon’s Model,Price of share = (Dividend / (Required Rate of Return - Growth rate))Putting the given values in the formula;P = (14 * (1 + 0.07)) / (0.17 - 0.07)P = (14 * 1.07) / 0.10P = 149.8.
Therefore, the price per share in this case would be Rs.149.8. Now, let's solve the next part of the question. Calculation of return of RTU corporation stock:Given,Next dividend (D1) of RTU Corporation = Rs. 35 per sharePrice per share = Rs. 150Growth rate of dividend (g) = 14%As per Gordon’s Model,Price of share = (Dividend / (Required Rate of Return - Growth rate))Putting the given values in the formula;150 = 35 / (R - 0.14R = 35 / (150 + 0.14)R = 0.27 or 27%.
Therefore, the return of RTU corporation stock is 27%.Hence, the correct answer is 27%.
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Amarindo, Inc. (AMR), is a newly public firm with 9.0 million shares outstanding. You are doing a valuation analysis of AMR. You estimate its free cash flow in the coming year to be $14.93 million, and you expect the firm's free cash flows to grow by 3.6% per year in subsequent years. Because the firm has only been listed on the stock exchange for a short time, you do not have an accurate assessment of AMR's equity beta. However, you do have beta data for UAL, another firm in the same industry: . AMR has a much lower debt-equity ratio of 0.33, which is expected to remain stable, and its debt is risk free. AMR's corporate tax rate is 20%, the risk-free rate is 5.2%, and the expected return on the market portfolio is 10.5%. a. Estimate AMR's equity cost of capital. b. Estimate AMR's share price. a. Estimate AMR's equity cost of capital. The equity cost of capital is %. (Round to two decimal places.) Data table (Click on the following icon D in order to copy its contents into a spreadsheet.)
a. The beta value for UAL is not provided in the given information, so we cannot calculate the exact cost of equity for AMR. The missing beta data prevents us from estimating the equity cost of capital accurately. b.To accurately estimate AMR's equity cost of capital and share price, we would need the missing beta value for UAL or additional information regarding AMR's equity beta.
To estimate AMR's equity cost of capital, we need to calculate the cost of equity using the Capital Asset Pricing Model (CAPM). The CAPM formula is as follows:
Cost of Equity (Ke) = Risk-Free Rate (Rf) + Beta (β) * Equity Risk Premium (ERP)
Given that AMR's debt-equity ratio is low and its debt is risk-free, we can assume that the equity beta for AMR is equal to the beta of UAL, the firm in the same industry.
From the provided information, the risk-free rate (Rf) is 5.2%, and the expected return on the market portfolio is 10.5%.
To calculate the equity risk premium (ERP), we subtract the risk-free rate from the market return:
ERP = Expected Return on Market Portfolio - Risk-Free Rate
= 10.5% - 5.2%
= 5.3%
Now we can calculate the cost of equity:
Cost of Equity (Ke) = 5.2% + β (from UAL) * 5.3%
Unfortunately, the beta value for UAL is not provided in the given information, so we cannot calculate the exact cost of equity for AMR. The missing beta data prevents us from estimating the equity cost of capital accurately.
b. Without the cost of equity, we cannot estimate AMR's share price as it relies on the equity cost of capital. The share price calculation involves dividing the free cash flow by the cost of equity. However, since the equity cost of capital is not available, we cannot provide an estimate for AMR's share price.
To accurately estimate AMR's equity cost of capital and share price, we would need the missing beta value for UAL or additional information regarding AMR's equity beta.
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Which of the following statements about trade flows between countries is wrong?
A)Other than the size of the economies and their distance, language and geography also affect the volume of
trade
B) Everything else equal, countries trade more with closer countries
C)Other than the size of the economies and their distance, nothing else matters for the volume of trade
D)Everything else equal, countries trade more with larger economies
E)Other than the size of the economies and their distance, trade agreements also affect the volume of trade
The statement that is wrong about trade flows between countries is C) Other than the size of the economies and their distance, nothing else matters for the volume of trade.
This statement is incorrect because factors such as language, geography, and trade agreements also affect the volume of trade between countries.
Price elasticity of demand measures the responsiveness of quantity demanded to a change in price. When demand is price inelastic, it means that changes in price have a relatively smaller impact on the quantity demanded.
In the case of healthcare, it is often considered a necessity or an essential service. People generally have limited flexibility in reducing their demand for healthcare when prices increase.
Additionally, healthcare expenses are often associated with critical health needs, and people are willing to pay higher prices to obtain the necessary medical treatments and services.
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how
to reduce the risks in construction in covid as a project manager
?
To reduce COVID-related risks in construction, a Project Manager should emphasize on health and safety measures, maintain clear communication, and adopt flexible planning.
In the context of COVID-19, a Project Manager in the construction field can implement various measures to minimize risks. Enhanced health and safety protocols, including social distancing, mandatory mask-wearing, regular sanitation of shared tools and surfaces, and health screenings are crucial. Clear communication about these protocols and regular updates regarding pandemic-related changes helps ensure adherence. Flexibility in planning, such as staggered shifts and contingency plans for potential worker absences, can help manage workflow disruptions. These strategies collectively can help maintain safety and productivity during this challenging time.
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Answer the questions below in detail. Each answer should be at least a paragraph long. Answer in paragraph form.Which motivation theory(s) do you think would help communicate the importance of vacation time to your employees? Your choices are equity theory, expectancy theory, reinforcement theory, and goal-setting theory. How would you apply the theory(s) you selected?How would you convince your employees that working less hours, not more, is more beneficial for them and the company?
To communicate the importance of vacation time to employees, a combination of motivation theories can be applied. Two relevant theories that can be effective in this context are expectancy theory and goal-setting theory.
Expectancy theory suggests that individuals are motivated to act in a certain way based on their belief that their efforts will lead to desired outcomes. In the case of vacation time, employees can be informed about the positive outcomes associated with taking regular breaks and vacations. This can include improved well-being, reduced stress, increased productivity, and enhanced work-life balance. By emphasizing these benefits and linking them to the employees' personal goals and desires, such as maintaining a healthy lifestyle or spending quality time with family, their motivation to prioritize vacation time can be enhanced.
Goal-setting theory can also be applied to emphasize the importance of vacation time. This theory asserts that setting clear and specific goals can motivate individuals to work towards achieving them. In this case, the goal can be to have a well-balanced life that includes regular vacations and time for relaxation. Managers can encourage employees to set vacation-related goals, such as planning and taking a certain number of days off each year. By setting and tracking progress towards these goals, employees will be motivated to prioritize and utilize their vacation time effectively.
To convince employees that working fewer hours is more beneficial for both them and the company, several approaches can be employed. Firstly, it's important to highlight the negative consequences of overworking, such as burnout, decreased productivity, and potential health issues. This can be supported by providing research and data that demonstrate the correlation between work-life balance and overall well-being.
Additionally, managers can promote the concept of efficiency and the importance of quality work over quantity. By emphasizing the benefits of working smarter rather than longer, employees can be encouraged to focus on prioritizing tasks, delegating when appropriate, and finding ways to streamline processes. This approach allows employees to see that working fewer hours can actually lead to better results and more time for personal pursuits.
Furthermore, fostering a supportive and inclusive company culture that values work-life balance and recognizes the importance of personal well-being can play a significant role in convincing employees of the benefits of working fewer hours. Implementing flexible work arrangements, promoting self-care initiatives, and leading by example can demonstrate the organization's commitment to the overall happiness and success of its employees.
By combining these approaches and consistently reinforcing the message, employees can be convinced that working fewer hours is not only beneficial for their personal well-being but also contributes to their productivity and the overall success of the company.
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Techcity has a standard deviation of 1% and Techsio has a standard deviation of 16%. The corcelatian coefficient between both atocks is 042 What is the standard deviation (in percent) of a portiolio livested 50% in Techcity and 50% in Techislo?
The required answer is the Techsio approximately 0.2201%.
To calculate the standard deviation of a portfolio invested 50% in Techcity and 50% in Techsio, use the formula:
Portfolio Standard Deviation = √[(Weight of Techcity * Standard Deviation of Techcity)^2 + (Weight of Techsio * Standard Deviation of Techsio)^2 + 2 * (Weight of Techcity) * (Weight of Techsio) * (Correlation Coefficient)]
In this case, the weight of Techcity and Techsio is both 50%, and the correlation coefficient is 0.42. The standard deviation of Techcity is 1% and the standard deviation of Techsio is 16%.
Substituting the values into the formula:
Portfolio Standard Deviation = √[(0.5 * 0.01)^2 + (0.5 * 0.16)^2 + 2 * (0.5) * (0.5) * 0.42]
Simplifying the equation:
Portfolio Standard Deviation = √[(0.005)^2 + (0.08)^2 + 0.042]
Portfolio Standard Deviation = √[0.000025 + 0.0064 + 0.042]
Portfolio Standard Deviation = √0.048425
Portfolio Standard Deviation ≈ 0.2201
Therefore, the standard deviation of the portfolio invested 50% in Techcity and 50% in Techsio is approximately 0.2201%.
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QUESTION 1 What is the present value of $200 received in 5 years if the Interest rate is 1% 7 QUESTION 2 To maximize net benefits, a manager should continue to increase the managerial control variable until O total benefits equal total costs net benefits are zero O marginal benefits equal marginal costs avecage cost equals average benefits QUESTION 3 The owner of real estate property can lease her building for $120,000 per year for three years. The explicit cost of maintaining the building is $40,000 and the implicit cost is $55,000. What is the property owner's annual accounting profit? QUESTION 4 Joe faced the following options: a) pay $5,000 in tultiion to attend classes at Econ Tech; b) work as a short-order cook for $4,000; or work as a waiter at an elite restaurant and earn $10,000. What is Joe's economic cost of attending classes at Econ Tech?
The answer for all the given question is as follows:
- Present value of $200 received in 5 years, with an interest rate of 1%, will be $190.54.
- The correct option is marginal benefits equal marginal costs.
- The the property owner's annual accounting profit is $320,000.
- Joe's economic cost of attending classes at Econ Tech is $10,000.
1: To calculate the present value of $200 received in 5 years with an interest rate of 1%:, we can use the formula for present value:
Present Value = Future Value / (1 + Interest Rate)ⁿ
Where:
Future Value is $200
Interest Rate is 1% (or 0.01)
n is the number of years, which is 5 in this case
= $200 / (1 + 0.01)⁵
= $200 / (1.01)⁵
= $190.54
Therefore, the present value of $200 received in 5 years, with an interest rate of 1%, is around $190.54.
2: The correct answer is "Marginal benefits equal marginal costs."
3: To calculate the property owner's annual accounting profit:
Accounting Profit = Revenue - Explicit Cost
The revenue from leasing the building is $120,000 per year for three years, so the total revenue is $120,000 * 3 = $360,000.
The explicit cost of maintaining the building is $40,000 per year.
Accounting Profit = $360,000 - $40,000
Therefore, the property owner's annual accounting profit is $320,000.
4: The economic cost of attending classes at Econ Tech for Joe can be determined by considering the opportunity cost of his decision:
The opportunity cost is the value of the best alternative which is forgone.
In this scenario, Joe's alternatives are:
a) Paying $5,000 tuition to attend classes at Econ Tech.
b) Working as a short-order cook and earning $4,000.
c) Working as a waiter at an elite restaurant and earning $10,000.
The economic cost is equal to the value of the next best alternative, which is working as a waiter and earning $10,000.
Therefore, Joe's economic cost of attending classes at Econ Tech is $10,000.
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Question: (15Marks)
Project execution or implementation is the phase of the project in
which the
project plan is transformed into reality.
Identify five crucial challenges or considerations which usually emerge during the
execution phase of a complex construction or civil infrastructure development
project. Discuss each of these challenges or considerations with the help of
examples. How can projects manage (or try to manage) them effectively?
By addressing these challenges through proactive planning, effective communication, risk management, and continuous monitoring, construction projects can enhance their execution phase, ensuring successful project delivery while minimizing delays, cost overruns, and safety incidents.
During the execution phase of a complex construction or civil infrastructure development project, several challenges and considerations may arise. Here are five crucial challenges and how they can be effectively managed:
1. Resource Allocation: Allocating and managing resources, including labor, materials, and equipment, is a critical challenge. Limited availability or unexpected delays in resource delivery can impact project timelines and costs. Effective project management involves careful resource planning, maintaining clear communication with suppliers, and having contingency plans in place to address any resource constraints or disruptions.
Example: In a large-scale bridge construction project, the timely availability of steel beams is crucial. To manage this challenge effectively, the project team may maintain close coordination with the steel supplier, track production and delivery schedules, and have alternative suppliers identified in case of any delays.
2. Stakeholder Management: Construction projects involve multiple stakeholders, such as clients, local communities, regulatory bodies, and subcontractors. Balancing the needs and expectations of these diverse stakeholders can be challenging. Effective stakeholder management requires clear communication, regular updates, addressing concerns, and ensuring their involvement in decision-making processes.
Example: In the construction of a new hospital, neighboring residents may raise concerns about increased traffic and noise during the construction phase. The project team can manage this challenge by conducting regular community meetings, sharing information about construction schedules, implementing noise control measures, and addressing specific concerns raised by residents.
3. Quality Control and Assurance: Ensuring the quality of construction work is crucial to meet project requirements and regulatory standards. Managing quality control and assurance involves implementing robust inspection and testing procedures, adherence to specifications and standards, and addressing any non-conformances promptly.
Example: In a road construction project, quality control measures may include regular on-site inspections, conducting material tests, and ensuring compliance with design specifications. Any non-conformances identified should be documented, communicated to the responsible parties, and rectified before further progress.
4. Risk Management: Construction projects are inherently exposed to various risks, such as unforeseen ground conditions, weather-related issues, labor strikes, or design changes. Effective risk management involves identifying potential risks, assessing their impacts, developing mitigation strategies, and continuously monitoring and adapting the risk management plan.
Example: During the construction of a high-rise building, an unexpected change in design may require additional foundation work. To manage this challenge, the project team should have a contingency plan in place, including flexible budget provisions and clear communication channels with the design team and contractors to address design changes efficiently.
5. Health and Safety: Ensuring the health and safety of workers and stakeholders is paramount in construction projects. Complex projects often involve high-risk activities and hazardous conditions. Effective safety management requires implementing comprehensive safety policies, providing adequate training, enforcing strict safety protocols, and conducting regular safety audits and inspections.
Example: In the construction of a tunnel, potential risks may include hazardous gases, excavation collapses, and working at heights. The project team can manage these risks effectively by providing appropriate safety equipment, conducting regular safety training sessions, enforcing safety procedures, and maintaining an open reporting culture for any safety concerns.
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Suppose Juanita is an avid reader and buys only mystery novels. Juanita deposits $3,000 in a bank account that pays an annual nominal interest rate of 5%. Assume this interest rate is fixed-that is, it won't change over time. At the time of her deposit, a mystery novel is priced at$10.00. Initially, the purchasing power of Juanita's $3,000 deposit is mystery novels. For each of the annual inflation rates given in the following table, first determine the new price of a mystery novel, assuming it rises at the rate of inflation. Then enter the corresponding purchasing power of Juanita's deposit after one year in the first row of the table for each inflation rate. Finally, enter the value for the real interest rate at each of the given inflation rates. Hint: Round your answers in the first row down to the nearest mystery novel. For example, if you find that the deposit will cover 20.7 mystery novels, you would round the purchasing power down to 20 mystery novels under the assumption that Juanita will not buy seven-tenths of a mystery novel. Annual Inflation Rate 5% ▼ 090 8% Number of Novels Juanita Can Purchase after One Year 582 ▼ ▼ Real Interest Rate When the rate of inflation is equal to the interest rate on Juanita's deposit, the purchasing power of her deposit course of the year. over the
Suppose Juanita has a deposit of $3,000 and is an avid reader who likes to buy mystery novels. Juanita only buys mystery novels and at the time of the deposit, the price of one mystery novel is $10.00.
Annual Inflation Rate New price of a mystery novel
5% $10.50
8% $10.80
Since the inflation rate is 5%, the new price of a mystery novel after one year is $10.50. To find out the purchasing power of Juanita's deposit after one year, we need to divide the initial deposit by the new price of the mystery novel after one year, which is $10.50.
Number of Novels Juanita Can Purchase after One Year = Purchasing Power of Deposit/Price of Mystery Novel after One Year
Number of Novels Juanita Can Purchase after One Year = $3,000/$10.50
Number of Novels Juanita Can Purchase after One Year = 285.71
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1. All levels of government have the power to enact environmental controls.
True or false?
2. "Property" is something in which a person has a legal interest.
True or false?
3. Quiet enjoyment can be explained as the right to be left alone.
True or false?
4. Bailment concerns real property.
True or false?
5. The law does not require that Indigenous groups be consulted concerning developments in their territories, but it advisable, and widely-considered to be a best practice.
True or false?
6. There are essentially three types of property: real, personal, and ___________.
a) tangible
b) intellectual
c) intangible
d) all of the above
7. Real estate agreements of purchase and sale (APS) do not contain conditions precedent.
True or false?
8. Tenants in common have a right of survivorship.
True or false?
9. The difference between ownership in a condominium and in a cooperative is that in a condominium, one may own shares.
True or false?
10. When lending a purchaser money to buy a house, a bank becomes a mortgagor.
True or false?
1. False. Environmental controls are typically enacted at the national or regional level, rather than by all levels of government.
2. True. "Property" refers to something in which a person holds a legal interest or ownership rights.
3. False. Quiet enjoyment refers to the right to use and enjoy property without interference from others, not necessarily the right to be left alone.4. False. Bailment concerns personal property, not real property.
5. False. The law increasingly recognizes the duty to consult Indigenous groups concerning developments in their territories, not just as a best practice but as a legal requirement in many jurisdictions.6. c) intangible.
7. False. Real estate agreements of purchase and sale often contain conditions precedent, such as financing or inspection contingencies.8. False. Tenants in common do not have a right of survivorship; their shares in the property pass to their respective estates upon death.
9. False. In a condominium, ownership typically involves owning individual units and a proportionate share of common areas, while in a cooperative, ownership involves owning shares in the cooperative corporation.10. False. When a bank lends money to a purchaser to buy a house, it becomes a mortgagee, not a mortgagor. The mortgagor is the borrower who grants the mortgage to the lender.
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The amount of checks or debits listed on the January bank statement is______________. Question 9 options: $158.53 $246.53 $88.00 $954.47
Answer:
Explanation:
A
Your parents set up a trust fund for you 10 years ago that is now worth $20,000. If the fund earned 6% per year, how much did your parents invest?
Select one:
a. $20,000.00
b. $11,167.90
c. $8,000.00
d. $12,000.00
After calculating the future value of an investment, your parents invested $11,167.90 in the trust fund. Option b is correct.
To determine how much your parents invested in the trust fund, we can use the formula for calculating the future value of an investment:
Future Value = Present Value * (1 + Interest Rate)^Number of Years
Future Value = $20,000
Interest Rate = 6% per year
Number of Years = 10
Let's calculate the present value (the amount your parents invested):
Present Value = Future Value / (1 + Interest Rate)^Number of Years
Present Value = $20,000 / (1 + 0.06)^10
Present Value = $20,000 / (106)^10
Present Value ≈ $11,167.90
Therefore, your parents invested approximately $11,167.90 (option b) in the trust fund.
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Kam sent a letter to John in which Kam offered to purchase 10 acres of certain real estate from John for $140,000. John responded that he would sell only 8 of those acres for that price. Kam, feeling offended by John response, terminates the negotiations. John immediately tells Kam that he will sell the ten acres of real estate at Kam's original asking price. To wit, Kam responds "No way, John; I’m buying the land from my good friend Knox." Based on these facts, assess the situation given the following responses:
a. John and Kam have entered into a contract for the sale of 8 acres for $140,000.
b. Join and Kam have created a contract to sell 8 acres for $112,000.
c. John and Kam have entered into a contract for the sale of 10 acres for $140,000.
d. John and Kam have not entered into a contract for the purchase or sale of any acreage between each other.
Option d is the correct assessment of the situation. John and Kam did not enter into a contract for the purchase or sale of any acreage between each other. Based on the facts provided, the situation can be assessed as follows:
a. John and Kam have entered into a contract for the sale of 8 acres for $140,000.
This response is incorrect. Kam made an offer to purchase 10 acres for $140,000, but John responded with a counteroffer to sell only 8 acres. Kam did not accept this counteroffer, so there was no mutual agreement or acceptance of the terms. Therefore, no contract was formed between John and Kam for the sale of 8 acres.
b. John and Kam have created a contract to sell 8 acres for $112,000.
This response is also incorrect. Although John expressed his willingness to sell 8 acres for a different price, Kam did not accept this counteroffer. Without mutual acceptance of the terms, no contract was formed for the sale of 8 acres.
c. John and Kam have entered into a contract for the sale of 10 acres for $140,000.
This response is incorrect as well. While John later expressed his willingness to sell the ten acres at Kam's original asking price, Kam had already terminated the negotiations and declined the offer. As a result, there was no agreement or contract reached for the sale of 10 acres.
d. John and Kam have not entered into a contract for the purchase or sale of any acreage between each other.
This response is correct. Based on the facts provided, there was no mutual agreement or acceptance of the terms between John and Kam for the purchase or sale of any acreage. Kam terminated the negotiations, and John's subsequent offer was rejected by Kam. Therefore, no contract was formed between them.
In conclusion, option d is the correct assessment of the situation. John and Kam did not enter into a contract for the purchase or sale of any acreage between each other.
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Recording: Treasury Stock vs. Direct Stock Retirement On December 31, 2020, the records for Lakers Inc. provided the following data on stockholders' equity. The stockholders vote to retire all of the treasury stock immediately and to purchase for direct retirement another 3,200 shares of common stock currently trading at $12.50 per share. Required a. Provide the journal entry for the purchase and immediate retirement of the 3,200 shares of outstanding common stock. Note: List multiple debits (when applicable) in alphabetical order and list multiple credits (when applicable) in alphabetical order. b. Provide the journal entry for the retirement of all of the remaining treasury shares. Note: List multiple debits (when applicable) in alphabetical order and list multiple credits (when applicable) in alphabetical order. c. Assume instead for part (a) that the company holds the 3,200 shares in the treasury rather than retiring immediately. Record the journal entry. Determine the net effect on stockholders' after part a and after part c Note: Indicate a decrease with a negative sign. Cash Equipment Investment in Stock Dividends Payable Property Dividends Payable Preferred Stock Common Stock Common Stock Dividends Distributable Paid-in Capital in Excess of Par-Common Stock Paid-in Capital in Excess of Stated Value-Common Stock Paid-in Capital in Excess of Par-Preferred Stock Paid-in Capital-Retired Stock Paid-in Capital-Treasury Stock Retained Earnings Treasury Stock Legal Expense Unrealized Gain or Loss-Income N/A
The net effect on stockholders' equity after part a would be a decrease in Paid-in Capital-Treasury Stock and an increase in Common Stock and Retained Earnings. After part c, there would be a decrease in Treasury Stock and an increase in Cash.
a. The journal entry for the purchase and immediate retirement of the 3,200 shares of outstanding common stock would be as follows:
Debit: Treasury Stock
Debit: Cash
Credit: Common Stock
Credit: Paid-in Capital-Treasury Stock
b. The journal entry for the retirement of all of the remaining treasury shares would be as follows:
Debit: Paid-in Capital-Treasury Stock
Credit: Treasury Stock
c. If the company holds the 3,200 shares in the treasury instead of retiring immediately, the journal entry would be as follows:
Debit: Treasury Stock
Credit: Cash
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A. What is the present value of a perpetual stream of cash flows that pays $50,000 at the end of year one and then grows at a rate of 3% per year indefinitely? The rate of interest used to discount the cash flows is 9%.
b. How much do you have to deposit today so that beginning 11 years from now you can withdraw $14,000 a year for the next years(periods 11 through 18) plus an additional amount of $28,000 in the last year (period 18 )? Assume an interest rate of 5 percent.
The present value of the perpetual stream of cash flows is computed below;
PV = $50,000 / (0.09 - 0.03)PV = $50,000 / 0.06PV = $833,333.33
Thus, the present value of a perpetual stream of cash flows that pays $50,000 at the end of year one and then grows at a rate of 3% per year indefinitely at an interest rate of 9% is $833,333.33.
Since the cash flows begin after 10 years from now, we need to calculate the future value of the $14,000 annual cash flows in period 18 (which is at the end of year 17) and the lump sum of $28,000 that is received in period 18 and bring them back to the present value.
FV of annuity = $14,000 [(1 + 0.05)^8 - 1] / 0.05FV of annuity = $138,536.68Future value of lump sum = $28,000 x (1 + 0.05)^8Future value of lump sum = $39,868.52
Present value = FV of annuity + Future value of lump sum / (1 + 0.05)^10
Present value = $138,536.68 + $39,868.52 / (1 + 0.05)^10
Present value = $128,680.15Therefore, the deposit that must be made today to enable a withdrawal of $14,000 a year for the next years(periods 11 through 18) plus an additional amount of $28,000 in the last year (period 18) at an interest rate of 5% is $128,680.15.
From the data given in the problem, we have the following details:
A perpetual stream of cash flows that pays $50,000 at the end of year one and then grows at a rate of 3% per year indefinitely.
The rate of interest used to discount the cash flows is 9%.
Deposit of money is required today so that beginning 11 years from now, $14,000 can be withdrawn annually for the next years (periods 11 through 18) and an additional amount of $28,000 in the last year (period 18)
Assuming an interest rate of 5%.
Therefore, we need to determine the present value of the perpetual stream of cash flows and the deposit that must be made today to enable a withdrawal of $14,000 a year for the next years(periods 11 through 18) plus an additional amount of $28,000 in the last year (period 18).
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