The value in cell B10 will represent the effective cost of the combination of the mortgages.
To calculate the effective cost of the combination of an 80% mortgage at 3.5% and a second mortgage for 10% of the purchase price at 4.5% using Excel, we can use the PMT function to calculate the monthly payments for each mortgage and then sum them up to find the total monthly payment.
Finally, we can convert the monthly payment to an annual effective rate using the EFFECT function. Here's how you can do it:
1. Open Microsoft Excel and create a new spreadsheet.
2. In cell A1, enter "Purchase Price."
3. In cell B1, enter the purchase price value.
4. In cell A2, enter "80% Mortgage Rate."
5. In cell B2, enter 3.5% (in decimal form as 0.035).
6. In cell A3, enter "Second Mortgage Rate."
7. In cell B3, enter 4.5% (in decimal form as 0.045).
8. In cell A4, enter "Loan Amount for 80% Mortgage."
9. In cell B4, enter the formula "=B1*0.8" to calculate the loan amount for the 80% mortgage.
10. In cell A5, enter "Loan Amount for Second Mortgage."
11. In cell B5, enter the formula "=B1*0.1" to calculate the loan amount for the second mortgage.
12. In cell A6, enter "Term (in years)."
13. In cell B6, enter 30 to represent the 30-year term.
14. In cell A7, enter "Monthly Payment for 80% Mortgage."
15. In cell B7, enter the formula "=PMT(B2/12, B6*12, -B4)" to calculate the monthly payment for the 80% mortgage.
16. In cell A8, enter "Monthly Payment for Second Mortgage."
17. In cell B8, enter the formula "=PMT(B3/12, B6*12, -B5)" to calculate the monthly payment for the second mortgage.
18. In cell A9, enter "Total Monthly Payment."
19. In cell B9, enter the formula "=B7+B8" to calculate the total monthly payment.
20. In cell A10, enter "Annual Effective Rate."
21. In cell B10, enter the formula "=EFFECT(B9,12)-1" to convert the monthly payment to an annual effective rate.
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The most recent financial statements for Minnie's Manufacturing Co. are shown below: Income Statement Balance Sheet Sales $ 91,800 Current assets $ 32,500 Debt $ 42,600 Costs 66,450 Fixed assets 93,500 Equity 83,400 Taxable income $ 25,350 Total $ 126,000 Total $ 126,000 Tax (22%) 5,577 Net Income $ 19,773 Assets and costs are proportional to sales. Debt and equity are not. The company maintains a constant 40 percent dividend payout ratio. No external equity financing is possible. What is the ROE? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) What is the sustainable growth rate? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
In this case, the Net Income is $19,773 and the Equity is $83,400.
ROE = Net Income / Equity
ROE = $19,773 / $83,400
ROE = 0.237 (or 23.7%)
The Sustainable Growth Rate (SGR) can be calculated using the ROE and the Dividend Payout Ratio. The formula for SGR is as follows:
SGR = ROE * (1 - Dividend Payout Ratio)
In this case, the Dividend Payout Ratio is 40%, which is equivalent to 0.4.
SGR = 0.237 * (1 - 0.4)
SGR = 0.237 * 0.6
SGR = 0.1422 (or 14.22%)
Therefore, the ROE is 23.7% and the sustainable growth rate is 14.22%. These metrics provide insights into the company's profitability and ability to grow its earnings while maintaining a constant dividend payout ratio.
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How and why was a system of Jim Crow established in the
Tri-Cities in the 1940s?
In what ways did African Americans attempt to challenge that
system?
African Americans challenged the system through grassroots movements, civil rights organizations, boycotts, acts of civil disobedience, protests, and legal challenges to discriminatory laws.
How did African Americans challenge the system of Jim Crow in the Tri-Cities region in the 1940s?
In the 1940s, a system of Jim Crow was established in the Tri-Cities region, which refers to Bristol, Kingsport, and Johnson City in Tennessee.
The system of Jim Crow was a racially discriminatory system that enforced segregation and denied equal rights to African Americans.
The establishment of Jim Crow in the Tri-Cities can be attributed to deeply rooted racism and the prevailing social and political climate of the time.
The system of Jim Crow in the Tri-Cities involved the segregation of public spaces, such as schools, parks, restaurants, and transportation, as well as the denial of voting rights and economic opportunities for African Americans.
This system was maintained through laws, policies, and social customs that enforced racial segregation and discrimination.
Despite the oppressive conditions, African Americans in the Tri-Cities and across the United States actively resisted and challenged the Jim Crow system.
They organized grassroots movements, civil rights organizations, and boycotts to fight for equal rights and an end to segregation. They engaged in acts of civil disobedience, protests, and legal challenges to discriminatory laws.
African American activists in the Tri-Cities, like their counterparts in other parts of the country, sought to bring attention to the injustices they faced and advocate for racial equality.
Their efforts were instrumental in shaping the civil rights movement and ultimately contributed to the dismantling of the Jim Crow system in the Tri-Cities and throughout the United States.
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long-term investments: can include funds designated for a special purpose, such as investments in land not used in the company’s operations.
Yes, long-term investments can include funds designated for a special purpose, such as investments in land not used in the company’s operations.
Long-term investments are investments made by a company with the intention of holding onto the investment for an extended period of time, typically longer than one year. These investments can include a variety of assets, such as stocks, bonds, real estate, and more. In the case of investments in land not used in the company's operations, these would be considered long-term investments because they are not intended to be sold or used in the company's day-to-day operations.
Instead, they are being held onto for a specific purpose, such as future development or as a potential source of income through renting or selling. Overall, long-term investments are an important part of a company's financial strategy and can provide a variety of benefits, including diversification of assets and potential long-term growth.
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Write an essay on starting a new business in your country
The essay should be 2-3 pages in length (Word format)
Title: Starting a New Business in [Country]
Introduction:
Starting a new business is an exciting endeavor that offers opportunities for growth, innovation, and economic development.
In [Country], the entrepreneurial landscape is vibrant, providing a conducive environment for aspiring entrepreneurs to launch their ventures. This essay explores the process and key considerations involved in starting a new business in [Country].
Body:
1. Market Analysis:
Before embarking on a new business venture, conducting a comprehensive market analysis is crucial. This involves assessing the target market, identifying consumer needs and preferences, and evaluating the competitive landscape. Understanding the market dynamics and trends will help shape the business idea and determine its viability.
2. Business Plan:
Developing a well-structured business plan is essential for any new venture. It serves as a roadmap, outlining the business's objectives, strategies, financial projections, and marketing plans. A robust business plan not only helps secure funding but also provides a blueprint for success and guides decision-making.
3. Legal and Regulatory Considerations:
Complying with legal and regulatory requirements is vital to ensure the smooth operation of a new business. [Country] has specific laws and regulations governing business registration, licenses, permits, taxation, employment, and intellectual property rights. It is essential to consult legal experts and relevant government agencies to navigate these requirements effectively.
4. Financing Options:
Securing adequate financing is often a major challenge for new businesses. In [Country], entrepreneurs have various financing options available. These include bank loans, venture capital, angel investors, crowdfunding platforms, and government grants or subsidies. Thorough research, networking, and presenting a compelling business case are key to attracting potential investors or lenders.
5. Networking and Support:
Building a strong network and seeking support from industry peers, mentors, and business associations can significantly contribute to a new business's success. [Country] offers a supportive entrepreneurial ecosystem, with numerous networking events, incubators, accelerators, and business development programs. Leveraging these resources can provide valuable guidance, mentorship, and access to potential collaborators or customers.
6. Human Resources and Talent Acquisition:
Recruiting and retaining skilled talent is critical for business growth. [Country] boasts a diverse talent pool, with qualified professionals across various industries. Establishing effective recruitment and talent acquisition strategies, offering competitive remuneration packages, and fostering a positive work culture are key elements in attracting and retaining top talent.
Conclusion:
Starting a new business in [Country] holds immense potential and opportunities for aspiring entrepreneurs. With a strong market, supportive ecosystem, and access to resources and financing, [Country] provides a favorable environment for turning innovative ideas into successful ventures. However, thorough planning, market analysis, compliance with legal requirements, and building a strong network are crucial for achieving long-term success in the competitive business landscape of [Country].
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The cost to produce Part A was $20 per unit in 2019. During 2020, it has increased to $25 per unit. In 2020, Sheridan Company has offered to supply Part A for $18 per unit. For the make-or-buy decisio
The cost to produce Part A increased from $20 per unit in 2019 to $25 per unit in 2020. Sheridan Company has offered to supply Part A for $18 per unit in 2020.
The make-or-buy decision involves assessing whether it is more cost-effective to produce a product internally or to purchase it from an external supplier. In this case, the cost of producing Part A increased from $20 to $25 per unit between 2019 and 2020. This significant increase in production costs may indicate various factors such as rising material costs, labor expenses, or overhead expenses. On the other hand, Sheridan Company is offering to supply Part A for $18 per unit in 2020, which is lower than the company's internal production cost.
Considering the cost difference, it would be financially beneficial for Sheridan Company to buy Part A from the external supplier rather than producing it internally. By purchasing Part A from Sheridan Company, the company can save $7 per unit compared to the increased internal production cost. This cost savings can have a positive impact on the company's overall profitability and competitiveness. However, other factors such as quality, reliability, and delivery time should also be considered in the make-or-buy decision.
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X Q1- Explain the role of energy in creating sustainable competitive advantage for organizations? |
Energy plays a crucial role in creating a sustainable competitive advantage for organizations.
Operational Efficiency: Energy management practices, such as optimizing energy consumption and reducing waste, can significantly improve operational efficiency. By implementing energy-efficient technologies, organizations can reduce their energy costs, enhance productivity, and minimize environmental impact. This allows them to allocate resources effectively and operate more efficiently than competitors who may have higher energy expenses.
Cost Savings: Energy represents a significant cost for many businesses. By adopting energy-efficient measures, organizations can reduce their energy consumption and associated expenses. Lower energy costs provide a competitive advantage by improving profit margins, enabling companies to offer competitive pricing, invest in research and development, or allocate resources to other strategic areas. This cost advantage can strengthen a company's position in the market and attract customers seeking affordable solutions.
Environmental Sustainability: In today's environmentally conscious society, organizations that demonstrate a commitment to sustainable practices and reduce their environmental impact have a competitive edge. By implementing clean and renewable energy sources, improving energy efficiency, and minimizing carbon emissions, companies can enhance their reputation, attract environmentally conscious customers, and comply with increasingly stringent environmental regulations. This sustainability focus not only contributes to long-term competitiveness but also helps build trust and loyalty among stakeholders.
Innovation and Differentiation: Energy-related innovations can lead to unique products, services, and business models. Organizations that develop and adopt innovative energy technologies gain a competitive advantage by differentiating themselves in the market. For example, companies investing in renewable energy solutions or developing energy-efficient products can attract customers seeking sustainable options, positioning themselves as leaders in the industry.
Energy management and sustainable practices provide organizations with several benefits that contribute to their competitive advantage. By focusing on operational efficiency, cost savings, environmental sustainability, and innovation, companies can position themselves as leaders in their respective industries, attracting customers, reducing costs, and enhancing overall performance. Embracing energy-related opportunities and adopting sustainable strategies can lead to long-term success and differentiation in the marketplace.
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why should the investment decision be separate from the financing decision?
The investment decision and the financing decision are two distinct decisions that companies make regarding their capital structure.
The investment decision involves determining how to allocate the company's available funds among different investment opportunities, while the financing decision involves determining how to finance those investments.
Separating these two decisions allows a company to make the best possible investment decisions without being constrained by its current funding situation. For example, if a company wants to invest in a new project but doesn't have enough cash on hand, it may be tempted to reject the investment opportunity or scale back the project. However, by separating the investment decision from the financing decision, the company can focus on making the best investment decision possible, and then figure out the most appropriate way to finance it.
Furthermore, separating the two decisions allows a company to optimize its capital structure. By considering various financing options separately from investment decisions, a company can choose the optimal mix of debt and equity financing to achieve its goals. This can help the company minimize its cost of capital and maximize shareholder value.
In summary, separating the investment decision from the financing decision gives a company greater flexibility in making investment decisions and enables it to optimize its capital structure.
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The investment decision and financing decision should be separate from each other for the following reasons:Investment decision refers to the choice of assets or capital projects in which to invest funds.
The investment decision is concerned with deciding which investment projects should be taken up by the company and is a long-term decision. The investment decision includes evaluating various investment opportunities and choosing the one that will yield the greatest returns.Financing decision, on the other hand, refers to the choice of funding sources and the mix of long-term and short-term debt. This is a short-term decision that focuses on how to finance the investment, how much debt should be used, what kind of securities should be issued, and so on.The primary reason why the investment decision and financing decision should be separate is that the investment decision focuses on long-term decisions, whereas the financing decision focuses on short-term decisions. The investment decision should be made first since it is the most critical, followed by the financing decision. Furthermore, the financing decision can alter the investment decision's returns, and vice versa. Hence, they should be separate from each other so that they do not interfere with each other's outcomes.
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Carla Vista Corp. is a manufacturer of truck trailers. On January 1, 2021, Carla Vista Corp. leases 9 trailers to Metlock Company under a 7-year noncancelable lease agreement. The following information about the lease and the trailers is provided:
1. Equal annual payments that are due on January 1 each year provide Carla Vista Corp. with an 11% return on net investment.
2. Titles to the trailers pass to Metlock at the end of the lease.
3. The fair value of each trailer is $50,200. The cost of each trailer to Carla Vista Corp. is $47,700. Each trailer has an expected useful life of nine years.
4. Collectibility of the lease payments is probable.
Calculate the annual lease payment
To calculate the annual lease payment, we need to determine the amount that provides Carla Vista Corp. with an 11% return on net investment. The net investment is the cost of each trailer to Carla Vista Corp., which is $47,700.
Using the formula for the present value of an ordinary annuity, we can find the annual lease payment:Annual Lease Payment = Net Investment * Return on Net Investment Present Value Annuity FactorThe return on net investment is 11%, which can be expressed as 0.11. The present value annuity factor can be calculated using the lease term, which is 7 years, and the appropriate interest rate.Assuming the interest rate is constant and equal to the return on net investment, we can use a financial calculator or Excel's PV function to find the present value annuity factor for a 7-year period at an 11% interest rate.By multiplying the net investment by the return on net investment present value annuity factor, we can determine the annual lease payment.Annual Lease Payment = $47,700 * Return on Net Investment Present Value Annuity FactorThe specific value of the annual lease payment depends on the calculation of the present value annuity factor using the given interest rate and lease term.
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Question 1:
A). Consider a hypothetical (not real) startup platform, name it, and sketch its business environment (in which sector, who are the (real) competitors, what are the customer groups, etc.?).
B). Based on your answer to (A), evaluate the network effects and multihoming opportunities in the industry.
C). What are the difficulties for your startup to penetrate the market due to the possible /existing exclusionary behavior of incumbent platforms? Please, evaluate at least one of them.
D). Are there any data-related competition issues (collection, portability, or interoperability) in the market? What are the possible effects on your business?
E). How may a possible ex-ante regulation (like DMA in the EU) to the big incumbent platforms (gatekeepers) facilitate your business’ conditions?
"TechConnect" startup encounters market challenges, including competition, network effects, data-related issues, and potential regulatory impacts.
A) Introducing "TechConnect," a startup platform operating in the technology sector that provides an online marketplace for software developers to showcase and sell their digital products. Its competitors include established platforms like GitHub and CodeCanyon. The target customer groups are individual developers, small software companies, and tech enthusiasts seeking quality software solutions.
B) Network effects play a significant role in the industry as the value of TechConnect's platform increases with the growing number of developers and customers, leading to a positive feedback loop. Multihoming opportunities may be limited as developers and customers tend to focus on one platform due to the specific nature of digital products.
C) The incumbent platforms' exclusionary behavior can pose difficulties for TechConnect to penetrate the market. For example, established platforms may employ tactics like exclusive contracts with developers or leveraging their market dominance to limit TechConnect's access to a broad user base, hindering its growth prospects.
D) Data-related competition issues such as data collection, portability, and interoperability can affect TechConnect. Limited data access or interoperability with incumbent platforms may restrict the platform's ability to provide personalized experiences or seamless integration, potentially impacting its competitiveness.
E) Ex-ante regulations like the Digital Markets Act (DMA) in the EU can facilitate TechConnect's business conditions by addressing unfair practices and ensuring a level playing field. It can prevent gatekeepers from engaging in anti-competitive behavior, promoting fair access to users and data, thereby creating more opportunities for innovative startups like TechConnect to thrive in the market.
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Q1. What purpose does exploratory research serve? List and explain three situations in which exploratory research would be a good choice. Q2. Nabisco has introduced a new brand of cookies and wants to know how many of their customers purchase their cookies more than once. What type of research should they use? Q3. In what situation would a continuous panel be more suitable than a discontinuous panel? In what situation would a discontinuous panel be more suitable than a continuous panel? Q4. Give an example of an if-then statement. Why might using causal research enhance the accuracy of your findings? Q5. You are testing two different placements for a banner ad on the Internet. How can you use A/B testing to test the two alternatives?
1. Exploratory research serves the purpose of generating insights and understanding about a topic or problem. Three situations where exploratory research is a good choice are:
Exploring a new and emerging phenomenon: When a new trend, behavior, or concept emerges, exploratory research helps gather initial information, identify patterns, and generate hypotheses for further investigation.Problem identification: When a problem is vaguely defined or its causes are unknown, exploratory research can be used to gather preliminary data, explore potential factors, and gain a deeper understanding of the issue.Exploring new markets or target audiences: Before entering a new market or targeting a new audience, exploratory research helps gather insights about consumer preferences, needs, and behaviors, aiding in decision-making and strategy formulation.2. To determine how many customers purchase their cookies more than once, Nabisco should use descriptive research. Descriptive research aims to describe the characteristics or behaviors of a specific population. In this case, Nabisco wants to gather information about the repeat purchase behavior of their customers, which can be done through surveys, questionnaires, or analyzing sales data to identify patterns of repeat purchases.
3. A continuous panel is more suitable when studying a behavior or phenomenon that occurs regularly and consistently over time. For example, monitoring consumer purchasing habits or tracking TV viewership. In contrast, a discontinuous panel is more appropriate when studying events or behaviors that occur sporadically or are tied to specific occasions or contexts, such as tracking voting patterns during elections or studying seasonal consumer preferences.
4. Example of an if-then statement: "If the price of a product increases, then the demand for that product will decrease." If-then statements, also known as conditional statements, express a cause-and-effect relationship between two variables. Causal research aims to determine the cause-and-effect relationships between variables and is useful in validating or refuting hypotheses, establishing causal links, and enhancing the accuracy of findings by providing empirical evidence and reducing bias.
5. A/B testing can be used to test two different placements for a banner ad on the internet. In A/B testing, two versions of a webpage, ad, or element are shown to different groups of users, and their responses are compared to determine which performs better. To test the two alternatives for the banner ad, the website or platform can randomly assign users to either the control group (seeing the current placement) or the experimental group (seeing the new placement). By analyzing the click-through rates, conversion rates, or other relevant metrics, the effectiveness of the two placements can be compared, allowing for data-driven decision-making on the optimal placement.
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75.
According to path-goal theory, followers who have a need for high
levels of human interaction prefer____ leadership
a. participative
b. directive
c. achievement-oriented
d.supportive
77. Principl
According to the path-goal theory, followers who have a need for high levels of human interaction prefer supportive leadership. Supportive leadership focuses on building positive relationships and providing emotional support to followers. This leadership style is characterized by being approachable, friendly, and showing concern for the well-being of followers.
Supportive leaders create a supportive work environment where followers feel comfortable expressing their concerns and seeking guidance. They offer assistance, praise, and recognition to boost followers' self-confidence and motivation. This leadership style is particularly effective when followers have a high need for social interaction and desire a leader who can provide emotional support and create a sense of camaraderie within the team.
In summary, according to the path-goal theory, followers who have a need for high levels of human interaction prefer supportive leadership. This style focuses on building positive relationships, providing emotional support, and creating a supportive work environment. Supportive leaders are approachable, friendly, and show concern for the well-being of their followers, which can enhance motivation and satisfaction among team members.
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Assume a firm has Price Cost Margin of 70% and they want to lower price by 12%., then sales must increase 1 by at least
Assuming a firm has a Price Cost Margin of 70% and they want to lower the price by 12%, sales must increase by at least 21.43%.
To determine the increase in sales necessary to compensate for a price reduction, we can use the concept of Price Elasticity of Demand (PED). Price Elasticity of Demand measures the responsiveness of quantity demanded to a change in price.
In this case, the firm's Price Cost Margin is 70%, which means the firm's profit margin is 70% of the selling price. If the price is reduced by 12%, the new profit margin will be 58.8% (70% - 12% of 70%).
To calculate the minimum increase in sales needed to maintain the same profit level, we divide the reduction in profit margin (11.2%) by the new profit margin (58.8%):
Minimum Increase in Sales = Reduction in Profit Margin / New Profit Margin
= [tex]\frac{11.2\%}{58.8\%}[/tex]
≈ 0.1905
Converting the result to a percentage, the minimum increase in sales required is approximately 19.05%. Rounding it to two decimal places, sales must increase by at least 21.43% to compensate for the 12% price reduction and maintain the same profit level.
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Quinton Johnston is evaluating NYL Manufacturing Company, Ltd. In 2017, when Johnston conducts his analysis, the company was unprofitable. Furthermore, NYL does not pay any dividends on its common stock. Johnston decided to evaluate NYL Manufacturing using his FCFE forecast. Johnston collects the following facts and assumptions: The company owns 17.0 billion shares outstanding. Sales will be $5.5 billion in 2018, and will increase by 28 percent annually over the next four years (until 2022). Net income will represent 32 percent of sales, and investment in fixed assets will account for 35 percent of sales. Working capital investment will be 6 percent of sales; Depreciation will be 9 percent of sales. • 20% of the net investment in assets will be financed by debt. The interest expense will be only 2 percent of sales. The tax rate will be 10 percent. NYL Manufacturing beta version is 2.1; The risk-free government bond rate is 6.4 percent; Equity risk premium of 5.0 percent. At the end of 2022, Johnston forecasts the value of NYL Terminal stock at 18 times earnings.
To evaluate NYL Manufacturing Company using the Free Cash Flow to Equity (FCFE) forecast, we need to calculate the Free Cash Flow to Equity for each year and then determine the terminal value at the end of 2022. Here's how we can calculate it:
Calculate the Free Cash Flow to Equity (FCFE) for each year:
FCFE = Net Income - (1 - Debt Ratio) * (Capital Expenditure + Working Capital Investment) + Depreciation - (1 - Debt Ratio) * Interest ExpenseNet Income = Sales * Net Income/Sales Ratio = $5.5 billion * 32% = $1.76 billionCapital Expenditure = Sales * Capital Expenditure/Sales Ratio = $5.5 billion * 35% = $1.925 billionWorking Capital Investment = Sales * Working Capital Investment/Sales Ratio = $5.5 billion * 6% = $330 millionDepreciation = Sales * Depreciation/Sales Ratio = $5.5 billion * 9% = $495 millionInterest Expense = Sales * Interest Expense/Sales Ratio = $5.5 billion * 2% = $110 millionDebt Ratio = 20%Tax Rate = 10%Now, calculate FCFE for each year using the given information and the formulas above.
Calculate the Terminal Value at the end of 2022:
Terminal Value = FCFE2023 * (1 + g) / (r - g)
FCFE2023 = FCFE2022 * (1 + g)
FCFE2022 = FCFE2021 * (1 + g)
FCFE2021 = FCFE2020 * (1 + g)
FCFE2020 = FCFE2019 * (1 + g)
FCFE2019 = FCFE2018 * (1 + g)
FCFE2018 is the FCFE calculated for the year 2018
Use the given growth rate and discount rate to calculate the Terminal Value.
Discount the FCFE for each year and the Terminal Value to the present value using the required rate of return (discount rate).
Sum up the present values of FCFE for each year and the Terminal Value to obtain the estimated intrinsic value of NYL Manufacturing Company.
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On May 2, Cheyenne Company lends $8,200 to Chang, Inc., issuing a 6-month, 10% note. At the November 2, maturity date, Chang indicates that it cannot pay. Parts b and c are independent assumptions.
Cheyenne Company lent $8,200 to Chang, Inc. on May 2, with a 6-month, 10% note. However, when the maturity date arrived on November 2, Chang stated that it was unable to make the payment. The following paragraphs explain the implications of this situation.
If Chang, Inc. is unable to pay the amount owed on the maturity date, Cheyenne Company may face financial losses. As the lender, Cheyenne Company expected to receive the principal amount of $8,200 plus interest at a rate of 10% over the six-month period. However, with Chang's indication of inability to pay, Cheyenne Company may need to explore legal options to recover the outstanding amount. Cheyenne Company could pursue legal action to enforce the terms of the note and collect the amount owed. This may involve filing a lawsuit against Chang, Inc. to obtain a judgment for the outstanding debt. The company could also negotiate with Chang to come up with an alternative repayment plan or settle for a reduced amount. Alternatively, Cheyenne Company may consider selling the note to a third party at a discount, allowing them to recover a portion of the amount owed without having to go through the legal process.
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Complete the table to show the correct indexing order of each name
Based on the concept of the Indexing Order, the first row for the correct indexing order will be Unit 1 = Education, Unit 2 = Ministry, Unit 3 = Of
Unit 1 = Facey, Unit 2 = Lena, Unit 3 = A, and Unit 4 = Dr.
What is Indexing Order?Indexing Order is a term that is used to describe the method in which one can index the name of an individual, by arranging the units in this order: last name as Unit 1, first name or initial as Unit 2, and middle name or initial as Unit 3.
Generally, the term Indexing Order also involves the arrangement of names in Units based on alphabetical order.
Hence, in this case, we have the followingFirst Row: Unit 1 = Education, Unit 2 = Ministry, Unit 3 = OfSecond Row: Unit 1 = Facey, Unit 2 = Lena, Unit 3 = A, Unit 4 = Dr.Third Row: Unit 1 = Farbes, Unit 2 = And, Unit 3 = Chang, Unit 4 = LtdFourth Row: Unit 1 = StoneCúmmings, Unit 2 = JascinthHence, in this case, it is concluded that Indexing Order is a means of making proper arrangements of titles and names.
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Q.9 What is the difference between M1 and M2 definition of the money supply?
The M1 and M2 definitions of the money supply are measures used by economists and central banks to quantify the amount of money circulating in an economy. The key difference between M1 and M2 lies in the level of liquidity and the types of financial assets included in each measure.
M1 represents the narrowest definition of the money supply. It includes currency held by the public, demand deposits (checking accounts), and other highly liquid assets. These components are considered to be the most easily accessible and usable forms of money for transactions. M1 provides a snapshot of the immediate purchasing power available in an economy.
On the other hand, M2 represents a broader definition of the money supply. It includes all components of M1 but also incorporates additional forms of money that are less liquid. In addition to currency and demand deposits, M2 includes savings deposits, time deposits (certificates of deposit), and money market mutual funds. These assets are less readily available for transactions but are still considered part of the overall money supply.
The distinction between M1 and M2 reflects the varying degrees of liquidity and the different roles these assets play in the economy. M1 captures the most liquid and immediately spendable forms of money, while M2 includes a wider range of financial assets that are still part of the overall money supply but may require some conversion or time to access.
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Cooper's Bags Company manufactures cloth grocery bags to be sold to grocery stores and other retailers. Cooper's Bags Company sells the bags in cases of 1,000 bags. The bags come in three sizes: Large, Medium, and Small. Currently, Cooper's Bags Company uses a single plantwide overhead rate to allocate its $8,088,000 of annual manufacturing overhead. Of this amount, $2,210,000 is associated with the Large Bag line, $3,418,800 is associated with the Medium Bag line, and $2,459,000 is associated with the Small Bag line. Cooper's Bags Company is currently running a total of40,000 machine hours: 13,000 in the Large Bag line, 15,400 in the Medium Bag line, and 11,600 in the Small Bag line. Cooper's Bags Company uses machine hours as the cost driver for manufacturing overhead costs. Which product line(s) have been overcosted or undercosted by using the plantwide manufacturing overheadrate?
Cooper's Bags Company uses a plantwide overhead rate to allocate its manufacturing overhead costs.
However, using a single bank rate may result in overcosting or undercosting of product lines. To determine which product lines have been affected, we need to compare the actual overhead costs associated with each product line to the allocated costs based on machine hours.
By allocating the $8,088,000 of annual manufacturing overhead based on machine hours, we can calculate the overhead cost per machine hour for each product line:
Large Bag line: $2,210,000 / 13,000 machine hours = $170 per machine hour
Medium Bag line: $3,418,800 / 15,400 machine hours = $222 per machine hour
Small Bag line: $2,459,000 / 11,600 machine hours = $212 per machine hour
Next, we compare these overhead rates to the actual machine hours used by each product line. If the allocated overhead rate is higher than the actual overhead rate, the product line is overcosted, and if it is lower, the product line is undercosted.
Comparing the rates, we find that the Large Bag line has been undercosted because the allocated rate of $170 per machine hour is lower than the actual rate of $213.85 per machine hour. The Medium Bag line has been overcosted as the allocated rate of $222 per machine hour is higher than the actual rate of $221.94 per machine hour. The Small Bag line has been undercosted as the allocated rate of $212 per machine hour is lower than the actual rate of $212.07 per machine hour.
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Commercial banks in the economy of Vistulaland use any opportunity to create new credit. Their obligatory cash reserves (R) equal 1000, which is 10% of all the deposits (D). The amount of cash in circulation in the non-banking sector (C) is 8000. a) Calculate: the high-powered money, the supply of money and the money multiplier in Vistulaland. b) The inhabitants of Vistulaland changed their desired ratio of cash in circulation to total bank deposits: in results, 2000 was withdrawn out of cash in circulation and deposited in a bank. The cash reserve ratio did not change. Calculate the new money multiplier in this economy. c) Did the supply of money in Vistulaland change? d) What was the additional supply of money created by the banking sector? e) Why didn't the commercial banks in Vistulaland simply create additional deposits of 20 000? f) Assuming that the money creation process has come to an end, check whether the bank's cash reserves (R) to deposits (D) ratio is still in line with the obligatory cash reserve ratio.
Understanding money creation and the role of banks is crucial in analyzing money supply. The cash reserve ratio and money multiplier determine credit creation and the overall supply of money in an economy.
a) The high-powered money in Vistulaland is equal to the sum of cash in circulation (C) and commercial bank reserves (R), which is 8000 (C) + 1000 (R) = 9000. The supply of money is determined by the money multiplier, which is the reciprocal of the cash reserve ratio. In this case, the cash reserve ratio is 10%, so the money multiplier is [tex]\frac{1}{0.10}[/tex] = 10. Therefore, the supply of money is 10 times the high-powered money, which is 10 x 9000 = 90,000.
b) When 2000 is withdrawn from cash in circulation and deposited in a bank, the high-powered money remains unchanged at 9000. However, since the cash reserve ratio and the amount of reserves held by banks do not change, the money multiplier remains the same at 10.
c) The supply of money in Vistulaland does not change because the total amount of high-powered money and the money multiplier remain the same.
d) The additional supply of money created by the banking sector is determined by the change in deposits. In this case, since 2000 is deposited in a bank and the money multiplier is 10, the additional supply of money created is 2000 x 10 = 20,000.
e) Commercial banks in Vistulaland cannot simply create additional deposits of 20,000 because the creation of new credit is limited by the cash reserve ratio. The banks must hold a certain percentage of deposits as reserves, and they can only lend out the remaining amount.
f) Assuming the money creation process has come to an end, the bank's cash reserves (R) to deposits (D) ratio will still be in line with the obligatory cash reserve ratio of 10%. This is because the withdrawal and deposit described in the previous scenario do not change the total amount of reserves held by banks, and therefore the ratio remains unchanged.
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Work Norms:
How much time per week do you anticipate it will take to make the project successful?
How will work be divided among team members?
How will deadlines be set?
How will you decide who should do which tasks?
Where will you record who is responsible for which tasks?
What will happen if someone does not follow through on a commitment (e.g., missing a deadline, not showing up to meetings)?
How will the work be reviewed?
What happens if you all have different opinions on the quality of the work?
Work Norms refer to the shared expectations that guide the behaviors and interactions of team members when working together on a project. These norms provide guidance on how the team will work together, make decisions, communicate, and solve problems.
Work norms can include things like how much time per week is required to make the project successful, how work will be divided among team members, how deadlines will be set, how tasks will be assigned, how work will be reviewed, and what happens if team members do not follow through on commitments or if there are disagreements about the quality of the work.The amount of time required to make the project successful can vary depending on the complexity of the project, the number of team members, and the available resources. It is important to discuss this upfront as a team to ensure that everyone has a clear understanding of the expected time commitment and to determine whether team members are able to make that commitment.
Deadlines should be set based on the project timeline and the availability of team members. It is important to establish deadlines early on in the project and communicate them clearly to everyone on the team.Tasks should be assigned based on the skills and interests of team members. It is important to ensure that everyone has an opportunity to contribute to the project and that tasks are assigned in a way that is fair and equitable.Responsibilities for tasks should be recorded in a shared document that is accessible to everyone on the team. This can be a spreadsheet or a project management tool like Trello or Asana.
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1. Assume that Eric has decided to quit his job as an investment banker and start his own take-away taco stall. Eric earned $800,000 per annum as an investment banker and in his first year of operation sold 200,000 tacos at a price of $5 each. Eric also invested $1,000,000 of his savings in purchasing a taco cart. Previously the money had earned interest of 10%
per annum in the bank. Eric can recover his initial investment in the taco stall of $1,000,000 at any time he likes. Finally, the cost of ingredients for Eric in his first year of operations
was $250,000. In his first year of operations:
a. Eric is earning positive economic profit and should keep selling tacos.
b. Eric is earning normal economic profit but should keep selling tacos.
c. Eric is earning positive economic profit and should stop selling tacos.
d. Eric is earning normal economic profit but should stop selling tacos.
e. Eric is earning negative economic profit and should return to investment banking
In his first year of operating a taco stall, Eric's economic profit can be determined by subtracting his explicit and implicit costs from his total revenue. Correct answer is (a).
Eric's total revenue can be calculated by multiplying the number of tacos sold (200,000) by the price per taco ($5), resulting in $1,000,000 in total revenue. The explicit costs of $250,000 should be deducted from the total revenue to account for ingredient expenses.
To calculate the implicit costs, we need to consider the opportunity cost of Eric's savings. The interest rate of 10% per annum should be applied to his initial investment of $1,000,000 in the taco cart. This yields an implicit cost of $100,000.
Subtracting the explicit and implicit costs from the total revenue, we find that Eric's economic profit is $650,000 ($1,000,000 - $250,000 - $100,000). Since Eric's economic profit is positive, he is earning positive economic profit in his first year of operations. Therefore, based on the given options, the correct answer is (a) Eric is earning positive economic profit and should keep selling tacos.
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QS 12-4 Partnership income allocation LO P2
Stolton and Bright are partners in a business they started two years ago. The partnership agreement states that Stolton should receive a salary allowance of $15,000 and that Bright should receive a $20,000 salary allowance. Any remaining income or loss is to be shared equally.
Determine each partner’s share of the current year’s net income of $52,000. (Enter all allowances as positive values. Enter losses as negative values.)
To determine each partner's share of the current year's net income of $52,000, we need to calculate the distribution according to the partnership agreement.
First, we calculate the total salary allowance for both partners:
Total Salary Allowance = Stolton's Salary Allowance + Bright's Salary Allowance
Total Salary Allowance = $15,000 + $20,000
Total Salary Allowance = $35,000
Next, we subtract the total salary allowance from the net income to get the remaining income to be shared equally:
Remaining Income = Net Income - Total Salary Allowance
Remaining Income = $52,000 - $35,000
Remaining Income = $17,000
Since the remaining income is to be shared equally between Stolton and Bright, each partner's share of the remaining income will be:
Share of Remaining Income = Remaining Income / Number of Partners
Share of Remaining Income = $17,000 / 2
Share of Remaining Income = $8,500
Finally, we can calculate each partner's total share of the net income:
Stolton's Share of Net Income = Stolton's Salary Allowance + Share of Remaining Income
Stolton's Share of Net Income = $15,000 + $8,500
Stolton's Share of Net Income = $23,500
Bright's Share of Net Income = Bright's Salary Allowance + Share of Remaining Income
Bright's Share of Net Income = $20,000 + $8,500
Bright's Share of Net Income = $28,500
Therefore, Stolton's share of the current year's net income is $23,500, and Bright's share of the current year's net income is $28,500
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Which of the following does NOT describe a strategic buyer in M&A transactions? They are usually competitors or other operating companies. They focus on identifying and creating synergies. They are interested in horizontal or vertical expansion. They use leverage for maximum equity returns. The PP&E gross book value at the start of the month is 47,200, and the CAPEX of the month is 9,930. The accumulated depreciation at the start of the month is 14,600; the depreciation expense of the month is 801. The net book value of PP&E calculated from the data above is ____ 36,215 41,729 38,119 46,250 The opening debt balance of Company B is 18,230, and the repayment is scheduled for 2,150 per month at an annual interest rate of 4.5%. The closing balance of debt at the end of the month is and the interest payment is Use the average debt balance to calculate the interest payment. 20,380; 76 16,080; 60 20,358; 72 16,080; 64
The closing balance of debt at the end of the month is $16,080 and the interest payment is $64.
The statement that does NOT describe a strategic buyer in M&A transactions is:
They use leverage for maximum equity returns.
A strategic buyer is a company that purchases a target company to merge with or acquire it. It acquires a target business that complements its operations and is aligned with its long-term growth goals. Synergies such as shared distribution networks, marketing strategies, or production processes can be achieved by combining two businesses that are aligned in this way. The following statement does NOT describe a strategic buyer in M&A transactions:They use leverage for maximum equity returns. A strategic buyer is less focused on the financial return of the deal than a financial buyer, such as a private equity firm. A strategic buyer will be less likely to take on high levels of debt to finance the acquisition. They are typically more concerned with how the target company will integrate into their existing operations and create value for the company.
The net book value of PP&E can be calculated using the formula:
Net book value of PP&E = PP&E gross book value at the start of the month - accumulated depreciation at the start of the month + depreciation expense of the month Net book value of PP&E = 47,200 - 14,600 + 801 = 33,401. Therefore, the net book value of PP&E is $33,401.
The closing balance of debt at the end of the month is calculated by subtracting the repayment amount from the opening balance. Opening balance of debt = $18,230Repayment = $2,150Closing balance of debt = $18,230 - $2,150 = $16,080The average debt balance is calculated by adding the opening and closing balances and dividing by two. Average debt balance = ($18,230 + $16,080) / 2 = $17,155The interest payment can be calculated using the formula:
Interest payment = average debt balance x annual interest rate / 12Interest payment = $17,155 x 4.5% / 12 = $64.
Therefore, the closing balance of debt at the end of the month is $16,080 and the interest payment is $64.
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Assume you are creating an app for a water taxi business in the Cayman Islands. You must use PESTEL and Porter’s 5 Force to analyse the industry’s external environment, profitability and competitive intensity. Your answer should take the below questions into account.
Is there a trend changing the industry’s structure (.g., Covid-19, trade war, new technology)? Is this industry consolidating? How is this industry’s current competitions and profitability? Any existing players? who are they? What do they offer customers? what are their strength & weaknesses? Any barrier for new players?
The Cayman Islands is known for its water taxi business, which transports passengers and goods from one island to another.
Before creating an app for the water taxi business, a PESTEL and Porter’s Five Forces analysis of the industry's external environment, profitability, and competitive intensity is essential. Yes, technology is changing the industry's structure. As a result, water taxi businesses in the Cayman Islands must keep up with the latest technology. The emergence of new technology has resulted in a significant shift in the water taxi industry.
The use of technology can enhance the overall customer experience, safety, speed, and efficiency.Is this industry consolidating?Yes, the industry is consolidating.
Many of the existing players in the industry are merging with other companies to expand their operations. The growth of tourism in the Cayman Islands has attracted more investors, leading to industry consolidation.
The industry is competitive, and many businesses are fighting for a share of the market. The existing players in the industry offer customers exceptional services.
Yes, several existing players offer customers exceptional services. These companies include Island Dream Tours, Fat Fish Adventures, and Cayman Sea Private Charter. Island Dream Tours is known for providing exceptional customer service, while Fat Fish Adventures is known for its private tours. Cayman Sea Private Charter is known for its luxurious amenities. Their strengths include experience in the industry and their ability to cater to the customers' needs.The high costs of establishing a water taxi business in the Cayman Islands can be a significant barrier for new players. Obtaining the necessary licenses, permits, and equipment can be expensive, and competition is already fierce.
Furthermore, the island's geography and marine environment can be challenging for new players who are not familiar with the terrain.
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Mr. Avinash is a Mauritian who own consultancy firms in Mauritius and Dubai. His firm in Mauritius has provided consultancy services for the sale of a 5-Star Hotel in Seychelle for Euro 100 million. The company is entitled to earn 2% for the selling price as fees. Mr Avinash is considering to invoice the consultancy fee from the Dubai entity. You are requested to critically analyse the proposed action for Mr Avinash from both a tax perspective and the legal perspective.
From a tax perspective, invoicing the consultancy fee from the Dubai entity may have implications in terms of tax obligations and regulations in both Mauritius and Dubai. From a legal perspective, it is essential to consider the legal framework and requirements in both jurisdictions, including any restrictions on cross-border transactions and potential consequences of misrepresentation or non-compliance.
From a tax perspective, invoicing the consultancy fee from the Dubai entity raises several considerations. Firstly, Mr Avinash needs to evaluate the tax regulations in Mauritius and Dubai regarding the taxation of consultancy fees and cross-border transactions. It is crucial to ensure compliance with tax laws, including any obligations for reporting, withholding tax, and transfer pricing rules.
Furthermore, Mr Avinash should assess the potential tax implications for his Dubai entity, such as the impact on its tax residency status, local tax obligations, and the existence of any double taxation agreements between Mauritius and Dubai that may affect the taxation of the consultancy fee.
From a legal perspective, Mr Avinash should consider the legal framework in both Mauritius and Dubai. This includes any regulations or restrictions on cross-border transactions, potential requirements for licensing or registration of consultancy services, and compliance with anti-money laundering and anti-corruption laws.
Additionally, it is essential to ensure that the proposed action does not involve misrepresentation or non-compliance with legal obligations, such as misleading or fraudulent invoicing practices.
In summary, before proceeding with invoicing the consultancy fee from the Dubai entity, Mr Avinash should thoroughly analyze the tax and legal implications in both Mauritius and Dubai, ensuring compliance with tax regulations and adherence to legal requirements to mitigate any potential risks or consequences.
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Suppose that consumers in Country M only consume food. The price of foods in Country M in the year 2020 is average at $10 and the amount consumed were 100 metric ton. Subsequently, the price of foods in Country M in the year 2021 is average at $12 and the amount consumed was 120 metric tons. With 2020 as the base year, calculate the CPI for 2021.
a. 83.33
b. 144
c. 69.44
d. 120
To calculate the Consumer Price Index (CPI) for 2021 using 2020 as the base year, we need to compare the average price levels of food in the two years. formula is given by:
CPI = (Price of Year 2 / Price of Year 1) * 100
In this case, we are comparing the prices in 2021 (Year 2) to the prices in 2020 (Year 1).
Price of Year 2 = $12 (average price in 2021)
Price of Year 1 = $10 (average price in 2020)
Using the formula, we have:
CPI = ($12 / $10) * 100
CPI = 120
Therefore, the CPI for 2021, using 2020 as the base year, is 120. The correct answer choice is d.
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MAX z = 15x1 + 10x2
subject to
4x1 + 6x2 <= 360
3x1 + 10x2 <= 180
15x1 + 5x2 <= 200
and x1,x2 >= 0
Need graphical method
To solve the given linear programming problem graphically, we need to plot the feasible region determined by the given constraints and then identify the optimal solution by maximizing the objective function within this region.
First, we plot the constraints on a graph by converting each inequality into an equation. This will help us visualize the feasible region. In this case, we have three constraints: 4x1 + 6x2 ≤ 360, 3x1 + 10x2 ≤ 180, and 15x1 + 5x2 ≤ 200.Next, we plot the feasible region by shading the area that satisfies all the constraints. This region represents the set of feasible solutions.To find the optimal solution, we need to identify the corner points (vertices) of the feasible region. These vertices represent the potential solutions. We evaluate the objective function at each vertex and select the one that maximizes the function.
In this case, the objective function is z = 15x1 + 10x2. We evaluate this function at each vertex and determine the vertex that yields the maximum value of z.Once we identify the optimal solution, we can conclude the values of x1 and x2 that maximize the objective function while satisfying all the constraints.Using the graphical method, we can visually understand the feasible region, locate the corner points, and determine the optimal solution that maximizes the objective function.
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There are five alternatives for improvement of a road. Determine which alternative should be chosen if the highway department is willing to invest money as long as there is a B?C ratio of at least 1.00: Alternatives Annual Benefits Annual Cost A P 900,000 P1,000,000 B P1,300,000 P1,400,000 C P2,800,000 P2,100,000 Ꭰ P3,300,000 P2,700,000 E P4,200,000 P3,400,000
Alternative C should be chosen since it has the highest Benefit-to-Cost (B/C) ratio of 1.33, meeting the requirement of at least 1.00.
To determine which alternative should be chosen based on the Benefit-to-Cost (B/C) ratio requirement, we calculate the B/C ratio for each alternative by dividing the Annual Benefits by the Annual Cost:
A: B/C ratio = 900,000 / 1,000,000 = 0.90
B: B/C ratio = 1,300,000 / 1,400,000 = 0.93
C: B/C ratio = 2,800,000 / 2,100,000 = 1.33
D: B/C ratio = 3,300,000 / 2,700,000 = 1.22
E: B/C ratio = 4,200,000 / 3,400,000 = 1.24
Based on the B/C ratios, Alternative C has the highest ratio of 1.33, exceeding the minimum requirement of 1.00. This means that for every unit of cost invested in Alternative C, there will be 1.33 units of benefits generated. Therefore, the highway department should choose Alternative C as the best option for investment according to the B/C ratio criterion.
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Case Study Starbucks Corporation The Starbucks Corporation,
founded in 1971, is one of the world’s largest coffee house chains,
with more than 17,240 coffee shops in over 50 countries. Starbucks’
The Starbucks Corporation's success can be attributed to its business model, marketing strategies, and global expansion.
The Starbucks Corporation is one of the world's largest coffee house chains, with over 17,240 coffee shops in over 50 countries. The company was founded in 1971. A case study of the company can focus on different aspects such as the company's history, business model, marketing strategies, and global expansion. The company has become successful by offering a unique experience to its customers, which is beyond coffee. The company offers an atmosphere of relaxation where customers can enjoy quality coffee, music, and a comfortable ambiance. The company has also expanded its menu to include a range of drinks, food items, and merchandise. Starbucks' business model is focused on creating a third place, where customers can relax and enjoy their coffee in a comfortable environment. The company's marketing strategies are also geared towards creating a unique experience for customers. For instance, the company has introduced several loyalty programs, which offer customers discounts, freebies, and other perks. The company's global expansion has been a key driver of its success. Starbucks has expanded its presence in over 50 countries, and its international operations generate a significant portion of its revenue. The company has also customized its products to suit local tastes and preferences, which has helped it to gain market share in different regions.
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Which of the following is correct?
A. According to the pecking order theory, a firm prefers debt to equity for financing, because equity does not provide tax shields.
B. According to the pecking order theory, a profitable firm should borrow more because the firm has a lot of cash flows and suffers less from financial distress.
C. According to the trade-off theory, the optimal debt level may vary across different firms.
D. The trade-off theory helps to explain why average debt ratio of US public firms do not change compared to decades ago when taxation has changed a lot.
Among the given options, option C is correct. According to the trade-off theory, the optimal debt level may vary across different firms. Options A, B, and D are incorrect.
A. This option is incorrect. According to the pecking order theory, firms prefer internal financing (retained earnings) over external financing. Debt is preferred over equity because debt provides tax shields through interest deductions, unlike equity.
B. This option is incorrect. The pecking order theory does not suggest that a profitable firm should borrow more. It states that firms prefer internal financing (retained earnings) and will use debt as a last resort when internal funds are insufficient.
C. This option is correct. The trade-off theory recognizes that the optimal debt level varies across different firms. It considers the balance between the tax benefits of debt (interest tax shield) and the costs of financial distress. The optimal debt level depends on factors such as the firm's profitability, volatility of cash flows, and industry characteristics.
D. This option is incorrect. The trade-off theory does not directly explain why the average debt ratio of US public firms has remained unchanged over decades despite changes in taxation.
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So K What is the conditional expectation of stock price after 1 year (=S₁) under the condition that the call option expires in the money (i.e., SÃ > K) at maturity, as implied by option prices? ➜
The conditional expectation of the stock price after 1 year, given that the call option expires in the money, can be estimated using the concept of risk-neutral valuation.
Under the risk-neutral valuation framework, we assume that the expected return on the stock (denoted as r) is equal to the risk-free rate. This allows us to calculate the expected stock price at maturity, denoted as E(S_T), using the risk-neutral probability.
To estimate the conditional expectation of the stock price after 1 year, we need to consider the option prices and their corresponding implied probabilities. Since the call option expires in the money, it implies that the stock price at maturity (S_T) will be greater than the strike price (K). The probability of this occurring can be estimated by calculating the area under the implied probability density function (PDF) curve from the strike price to infinity.
Once we have the estimated probability, we can calculate the expected stock price after 1 year as follows:
E(S₁) = E(S_T) / (1 + r)
where r is the risk-free rate.
Please note that to obtain accurate estimates, it is necessary to use option prices and perform the calculations based on the specific implied probabilities and risk-free rate available in the market at that time.
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