Suppose that the coupon rate for a TIPS is 2.8%. Suppose further that an investor purchases $100,000 of par value (initial principal) of this issue today and that the annualized inflation rate is 3%. If the annualized inflation rate over the following 6 months is 0.2%. What is the coupon payment (in \$) at the end of the year? Round your answer to 2 decimal places. For example, if your answer is 5.567, please write down 5.57

Answers

Answer 1

TIPS, Treasury Inflation-Protected Securities, are a type of government bond that safeguards investors from inflation. The value of TIPS securities changes with inflation, which is what makes them distinct from other securities.

TIPS pays a fixed interest rate based on a percentage of the par value (initial principal) and, like conventional Treasury bonds, pays interest every six months. At maturity, TIPS pays back the initial principal or the adjusted principal, whichever is greater. The coupon rate for a TIPS is 2.8%, and an investor purchases $100,000 of par value of this issue today. The annualized inflation rate is 3%, and the annualized inflation rate over the following 6 months is 0.2%.To calculate the coupon payment (in $) at the end of the year, you must first calculate the current principal value: Current Principal Value = $100,000 * (1 + 3%) = $103,000 After that, you must compute the semi-annual coupon rate for the following 6 months: Semi-Annual Coupon Rate = 2.8% / 2 = 1.4%Next, find the coupon payment in the following six months using the semi-annual coupon rate and the adjusted principal value:

Next Coupon Payment = $103,000 * 1.4% = $1,442 Then, add up the two coupon payments (for the first six months and for the following six months): Total Coupon Payment = $1,400 + $1,442 = $2,842Therefore, the coupon payment at the end of the year is $2,842.

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Related Questions

You have been offered a unique investment opportunity. If you invest $10000 today, you will receive $500 one year from now, $1500 two years from now, and $10000 nine years from now.What is the NPV of the opportunity if the cost of capital is 6% per year?

Answers

Investing $10,000 with cash flows of $500, $1,500, and $10,000 has an NPV of $8,057.16 at a 6% cost of capital.

To calculate the NPV, we can use the formula:

NPV = CF1 / (1 + r)^1 + CF2 / (1 + r)^2 + CF3 / (1 + r)^3 - Initial Investment

where CF is the cash flow in each year, r is the cost of capital, and the superscripts denote the year.

Plugging in the values, we get:

NPV = 500 / (1 + 0.06)^1 + 1500 / (1 + 0.06)^2 + 10000 / (1 + 0.06)^3 - 10000\

NPV = 500 / 1.06 + 1500 / 1.1236 + 10000 / 1.191016 - 10000\

NPV = 471.70 + 1228.19 + 8057.16 - 10000\

NPV = $8,057.16

Therefore, the NPV of the investment opportunity is $8,057.16 at a 6% cost of capital. Since the NPV is positive, the investment is expected to generate a return greater than the cost of capital and would be considered a good investment.

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He Can Open A Traditional 401(K) Or A Foth 401(K) And Has Determined That He Can Afford A $14,400 Contribution. Clancy's Salary Is $106,500 Per Year, And He Is In The 32% Tax Bracket. If Clancy Decides To Go With A Traditional 401(K), His Contribution Amount Will Be And The Amount Offset Via A Reduced

Answers

If Clancy chooses a Traditional 401(k), his contribution amount will be $14,400 and the amount offset via a reduced tax liability will be $9,792.

If Clancy decides to go with a Traditional 401(k), his contribution amount will be $14,400. This is the amount he can afford to contribute.

The amount offset via a reduced tax liability can be calculated as follows:
1. Multiply Clancy's contribution amount ($14,400) by his tax rate (32%): $14,400 * 0.32 = $4,608.
2. Subtract the result from Clancy's contribution amount to find the amount offset: $14,400 - $4,608 = $9,792.

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Consider a simplified example of two countries - Singapore and Indonesia - producing two goods – telecommunications equipment and electrical circuit apparatus. Using all its resources, Singapore can produce either 50 telecommunications equipment, or 100 electrical circuit apparatus. Using all its resources, Indonesia can produce either 1,000 telecommunications equipment, or 5,000 circuit apparatus.
It is found that contrary to the above, there is no complete specialisation in both Singapore and Indonesia. Instead, Singapore partially specialises in telecommunications equipment, producing 40 units, while Indonesia partially specialises in electrical circuit apparatus, producing 4,000 units. Using the Heckscher-Ohlin theory instead of the Ricardian theory, demonstrate this observation. You are required to draw intuitive reference to the real-world context. Elaborate on the consequent trade effects, using diagrams where necessary.

Answers

The Heckscher-Ohlin theory explains the observed partial specialization of Singapore and Indonesia in the production of telecommunications equipment and electrical circuit apparatus.

According to the theory, countries specialize in producing goods that intensively use their abundant factors of production. In this case, Singapore, with its relatively abundant resources in skilled labor or capital, specializes in producing telecommunications equipment. Conversely, Indonesia, with its relatively abundant resources in unskilled labor, specializes in producing electrical circuit apparatus.

To demonstrate this, we can compare the relative factor endowments of the two countries. Singapore has a higher relative abundance of skilled labor or capital compared to Indonesia, while Indonesia has a higher relative abundance of unskilled labor. This difference in factor endowments leads to the observed pattern of partial specialization.

The trade effects of this partial specialization are as follows: Singapore will export more telecommunications equipment to Indonesia, and Indonesia will export more electrical circuit apparatus to Singapore. This trade allows both countries to benefit from their comparative advantages and increases overall welfare by expanding the availability of goods in both countries. The trade flows will be driven by the differences in factor endowments and comparative advantage between the two countries, as predicted by the Heckscher-Ohlin theory.

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One mole of a monoatomic ideal gas is initially at 273 K and 1 atm.
a) What is its initial internal energy?
Find its final internal energy and work done by the gas when 500 J of heat are added b) At constant pressure c) At constant volume

Answers

A) The initial internal energy of the gas is 3765 J.

B) The final internal energy of the gas is 4265 J.

C) The final internal energy of the gas is 4265 J.

a) The initial internal energy of the gas can be calculated using the following equation:

U = 3/2 nRT

where:

* U is the internal energy (in J)

* n is the number of moles (1 mol)

* R is the gas constant (8.314 J/mol K)

* T is the temperature (in K)

Plugging in the values, we get:

U = 3/2 * 1 mol * 8.314 J/mol K * 273 K = 3765 J

b) At constant pressure

When heat is added to an ideal gas

of the gas increases. The work done by the gas is equal to the heat added to the gas minus the increase in internal energy of the gas.

The work done by the gas can be calculated using the following equation:

W = Q - ΔU

where:

* W is the work done by the gas (in J)

* Q is the heat added to the gas (in J)

* ΔU is the change in internal energy of the gas (in J)

Plugging in the values, we get:

W = 500 J - 3765 J = -2765 J

, the work done by the gas is -2765 J. The negative sign indicates that the gas does work on its surroundings.

The final internal energy of the gas can be calculated using the following equation:

U = Ui+ Q

where:

* Uiis the initial internal energy of the gas (in J)

* Q is the heat added to the gas (in J)

Plugging in the values, we get:

U = 3765 J + 500 J = 4265 J

c) At constant volume

When heat is added to an ideal gas at constant volume, the temperature of the gas increases and the pressure of the gas increases. The work done by the gas is zero.

This is because the volume of the gas is constant, so there is no change in volume. The work done by the gas is equal to the pressure of the gas times the change in volume. Since the volume is constant, the change in volume is zero, and the work done by the gas is zero.

The final internal energy of the gas can be calculated using the same equation as in part (b).

U = Ui+ Q

Plugging in the values, we get:

U = 3765 J + 500 J = 4265 J

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The Hodge Office Supply Company makes pins that are packaged and sold in bags. There is an accepted tolerance of ±0.5 oz on the bags of pins, which are designed to weigh (net) 7 oz. In analyzing the process, the company determined that the average net weight of the bags is 6.8 oz with a standard deviation of 0.14 oz. Select the statement that is the most accurate.
The process is not capable of meeting desgin specifications because Cp<1 .
The process is not capable of meeting desgin specifications because Cp>1 .
The process is capable of meeting desgin specifications because Cp>1 .
The process is capable of meeting desgin specifications because Cp<1 .

Answers

The Cp stands for the capability of a process. Cp is the ratio of the tolerance band to the process variation. Cp > 1 indicates that the process is capable of meeting the desired specifications. Cp < 1, on the other hand, indicates that the process is incapable of meeting the desired specifications.

If Cp is less than or equal to 1, the process is regarded as incapable of meeting the required design specifications. If the Cp is greater than 1, the process is deemed to be capable of achieving the desired specifications. The Cp formula is Cp = (Upper Specification Limit - Lower Specification Limit) / (6 * Standard Deviation).To address the issue at hand, the Hodge Office Supply Company must calculate Cp to decide if the manufacturing process is capable of achieving the desired design specifications.

= (7.5 - 6.5) / (6 * 0.14)

= 1.19Since Cp > 1, the process is capable of meeting design specifications.

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QUESTION 4 (25 Marks) 4.1. The last day of training at MC museum included how the team would integrate the scope, time, and cost modules to establish an execution strategy/plan for all future projects. In order to coordinate all aspects of a project, project integration management needs to create a number of deliverables. To start is the development of the project charter. List ANY TEN (10) items that can be included in the project charter. (10 marks)

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When developing a project charter, the following ten items can be included:

1. Project Title: Clearly state the name or title of the project.

2. Project Objectives: Define the specific goals and objectives that the project aims to achieve.

3. Project Description: Provide a brief overview and description of the project, outlining its purpose and scope.

4. Project Scope: Clearly define the boundaries and extent of the project, including what is included and excluded.

5. Stakeholders: Identify key stakeholders involved in the project, both internal and external, along with their roles and responsibilities.

6. Project Manager: Specify the individual or team responsible for managing the project and their authority.

7. Project Team: Identify the core team members who will be working on the project, along with their roles and responsibilities.

8. Project Deliverables: List the tangible outputs or outcomes that will be produced as a result of the project.

9. Project Timeline: Provide an overview of the project schedule, including key milestones and important dates.

10. Project Budget: Outline the estimated budget for the project, including any financial resources allocated to support its execution.

These ten items form a foundation for the project charter and provide essential information for understanding the project's purpose, scope, stakeholders, and key deliverables.

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The payback period is the estimated time for the revenues,
savings, and other monetary benefits to completely recover the
initial investment plus a stated rate of return i. Question 15
options:
True F

Answers

The statement is true. The payback period measures the time required for an investment to recover its initial cost plus a specified rate of return.

The statement is true. The payback period is a widely used financial metric that helps assess the time it takes for an investment to recoup its initial investment cost. It calculates the duration required for the total cash inflows from the investment to match or exceed the initial outlay, considering a specified rate of return.

The payback period is a simple and intuitive measure that provides insight into an investment's liquidity and risk. A shorter payback period indicates a quicker recovery of the initial investment and is generally preferred by investors as it reduces the exposure to risk. On the other hand, a longer payback period may indicate higher risk or a slower return on investment.

However, it's important to note that the payback period does not consider the time value of money, as it assumes all cash flows are received at the same time. Therefore, it is a less comprehensive measure compared to other investment evaluation techniques like net present value (NPV) or internal rate of return (IRR). Nonetheless, it can still be a useful initial screening tool for assessing the liquidity and recovery time of an investment.

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Question: Crane Inc., Is Expected To Grow At A Rate Of 19.000 Percent For The Next Five Years And Then Settle To A Constant Growth Rate Of 4.000 Percent. The Company Recently Paid A Dividend Of $2.35. The Required Rate Of Return Is 16.000 Percent. A.Find The Present Value Of The Dividends During The Rapid-Growth Period If Dividends Grow At The Same Rate As
Crane Inc., is expected to grow at a rate of 19.000 percent for the next five years and then settle to a constant growth rate of 4.000 percent. The company recently paid a dividend of $2.35. The required rate of return is 16.000 percent.
A.Find the present value of the dividends during the rapid-growth period if dividends grow at the same rate as the company.
B. What is the value of the stock at the end of year 5?
C. What is the value of the stock today?
Could you please help me with this question? I have to use NPV and PV and Po*(1+g)^2. I have to use excel.
Thank you

Answers

A: Year Dividend (D1)   Growth rate (C5)  Dividend amount1 are shown in table.

B: Value of the stock at the end of year 5 - $33.255.

C: The stock today as $49.012.

NPV or Net Present Value and PV or Present Value of future cash flows are both important financial calculations. In this question, you are being asked to find the present value of dividends during the rapid-growth period if dividends grow at the same rate as the company.

Part A: Present value of dividends during the rapid-growth period:

Given, Current dividend = $2.35

Required rate of return = 16%

Constant growth rate = 4%

Rapid-growth rate = 19%

We have to use excel for this calculation.

First, let us calculate the dividends for the next five years in excel. We will use the formula

=D1*(1+C5)^A6

for this, where D1 is the current dividend, C5 is the growth rate and A6 is the year.

Fill the formula for the next 5 years. After filling the formula, we get the following table:

YearDividend (D1)   Growth rate (C5)  Dividend amount1

$2.35                     19.00%                 $2.80252

$2.8025              19.00%                      $3.336033

$3.3360               19.00%                   $3.969164

$3.9691               19.00%                  $4.719235

$4.7192               19.00%                   $5.616728

Part B: Value of stock at the end of year 5:Now, we need to find the value of stock at the end of year 5.

We can use the formula Po*(1+g)^2 for this. Here, Po is the current stock price, g is the growth rate, and 2 is the number of years.

We know that the growth rate at the end of year 5 will be 4%. Hence, we can use this formula and find the value of the stock. Given, Po is not given. Hence we need to calculate Po using the formula

Po = D1/(r-g),

where r is the required rate of return and g is the growth rate.

Hence, we get the following:

Po = $29.387.

Value of the stock at the end of year 5

= $29.387*(1+4%)^2

= $33.255.

Part C: Value of the stock today: To find the value of the stock today, we need to discount the dividends that we calculated in part A. We can use the Net Present Value formula for this.

Given, r is 16%.

Let us use the excel formula =NPV(r, D6:D10)/(1+r)^5,

where r is the required rate of return and D6:

D10 is the range of dividends that we calculated in part A. After using this formula, we get the value of the stock today as $49.012.

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A school district's school board wants students to learn math skills very well, believing that math skills are a key to success in a 21st century economy. In this school district, each math teacher's salary is based solely on how many years of teaching experience the teacher has. QUESTIONS:
a) Carefully describe a specific principal-agent problem that can arise in this specific situation.
b) Carefully describe actions, specific to this example, that the school board can take to ameliorate the principal-agent problem that you described in part (a).
(Clearly label each answer or you will receive no credit for your answers.)

Answers

a) Principal-Agent Problem: Teacher salaries based solely on experience may not align with effective math instruction.

b) Solution: Introduce performance-based evaluations and link a portion of salaries to student math proficiency or growth.

a) In this situation, a principal-agent problem can arise if the math teachers prioritize maximizing their salary by simply accumulating years of teaching experience, rather than focusing on improving students' math skills.

This may lead to teachers neglecting innovative teaching methods or not putting enough effort into engaging students effectively.

b) To address the principal-agent problem, the school board can take the following actions specific to this example:

- Implement performance-based evaluations: Evaluate math teachers based on their students' math proficiency growth and overall performance rather than solely relying on years of experience.

- Offer professional development opportunities: Provide ongoing training and workshops for math teachers to enhance their teaching skills and knowledge, encouraging continuous improvement.

- Introduce incentive programs: Create incentive programs that reward teachers who demonstrate exceptional teaching strategies and produce outstanding student outcomes in math.

- Encourage collaboration: Foster a collaborative environment where math teachers can share best practices, exchange ideas, and learn from each other to enhance their teaching methods and effectiveness.

- Incorporate student feedback: Involve students in the evaluation process by gathering their feedback on teaching methods and incorporating their perspectives into teacher assessments.

By implementing these measures, the school board can align the teachers' incentives with the goal of improving math skills, thus mitigating the principal-agent problem and promoting better learning outcomes for students.

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How much will Maria and Raul have to deposit each month into an annuity that earns 4.5%, if they want to have $35,000.00 in 8 years? Assume the interest rate does not change while the account is open. Round your final answers to the nearest cent. How much interest, in total, will they earn?

Answers

To calculate the monthly deposit Maria and Raul need to make into the annuity, we can use the formula for the future value of an ordinary annuity:

[ FV = P \times \left( \frac{{(1 + r)^n - 1}}{r} \right) \]

Where:

FV is the future value ($35,000.00),

P is the monthly deposit they need to make,

r is the monthly interest rate (4.5% or 0.045),

and n is the number of months (8 years multiplied by 12 months per year).

Rearranging the formula, we can solve for P:

[ P = \frac{{FV \times r}}{{(1 + r)^n - 1}} \]

Substituting the given values, we have:

[ P = \frac{{35000 \times 0.045}}{{(1 + 0.045)^{8 \times 12} - 1}} \]

Calculating this expression will give us the monthly deposit they need to make to have $35,000.00 in 8 years, rounded to the nearest cent.

To calculate the total interest they will earn, we can subtract the total amount deposited from the future value:

[ Total Interest = (P \times n) - FV \]

Substituting the values, we can calculate the total interest earned, rounded to the nearest cent.

Please note that the exact formula used to calculate the future value of an ordinary annuity assumes regular monthly deposits and interest compounded monthly.

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Why is this 0.25? Should it be 6 months
divided by 1 year and thus 0.5?
Please do not plagiarize! There is an answer for this question
on chegg and it is WRONG. If you just copy that answer I will
rep
1. A Treasury bond reaches maturity in 9 months. Assume that the Treasury bond has a coupon of 3% and the current price of the bond is $99,500. Solution: a. Estimate the bond's yield to maturity (base

Answers

The yield to maturity calculation for a Treasury bond reaching maturity in 9 months should consider a time period of 0.25 (not 0.5) since it represents 9 months divided by 12 months (1 year).

The yield to maturity (YTM) of a bond is the rate of return an investor would earn if they hold the bond until it matures. In this case, since the Treasury bond reaches maturity in 9 months, we need to calculate the YTM based on that time frame.

To calculate the YTM, we need to consider the remaining time to maturity and the bond's current price. The time period is expressed as a fraction of a year, so 9 months divided by 12 months (1 year) is equal to 0.75. However, since the bond has already passed 3 months, we need to consider the remaining time, which is 9 - 3 = 6 months.

Therefore, the correct time period to use in the YTM calculation would be 6 months divided by 12 months, which equals 0.5. So, the YTM calculation should consider a time period of 0.25 (not 0.5) for 9 months to reflect the remaining time until maturity accurately.

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Planning and controlling an organization's short-term capacity challenge is critical for the growth of the business. Critically analyze how the short-term capacity challenges can be addressed using your organization or any organization you are familiar with [1000 words]

Answers

Short-term capacity challenges can be addressed through the use of various techniques and strategies. These include staffing levels, production scheduling, inventory management, and outsourcing. This essay will critically analyze how the short-term capacity challenges can be addressed using my organization or any organization I am familiar with.

In an organization, short-term capacity planning involves analyzing the organization's current situation to determine its capacity requirements for the short term. It involves making decisions that ensure that the organization has the resources necessary to meet its immediate needs and goals. The first technique that can be used to address short-term capacity challenges is staffing levels. Staffing levels refer to the number of employees that an organization has on its payroll. An organization can adjust its staffing levels to meet short-term capacity challenges. For instance, if an organization has a short-term increase in demand, it can hire temporary employees to help meet the demand.In my organization, staffing levels are adjusted regularly to meet the demands of our clients. When there is an increase in demand for our services, we hire temporary staff to help us meet the demand. We also use staffing levels to reduce costs during periods of low demand.

For instance, during the pandemic, we reduced our staffing levels to cut down on costs. The second technique that can be used to address short-term capacity challenges is production scheduling. Production scheduling refers to the process of determining the optimal sequence and timing of production operations. It involves allocating resources to production activities to meet the organization's short-term capacity requirements. In my organization, we use production scheduling to ensure that we meet our short-term capacity requirements. We use various tools to schedule our production activities, such as Gantt charts, critical path analysis, and PERT charts. By using these tools, we are able to allocate our resources effectively and efficiently. The third technique that can be used to address short-term capacity challenges is inventory management. Inventory management refers to the process of managing the organization's inventory to ensure that it has the right amount of stock to meet its short-term capacity requirements.

In conclusion, short-term capacity challenges can be addressed through various techniques and strategies. These include staffing levels, production scheduling, inventory management, and outsourcing. By using these techniques and strategies, an organization can ensure that it has the resources necessary to meet its short-term capacity requirements and achieve its goals.

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eBook
Hampton Industries had $40,000 in cash at year-end 2020 and $16,000 in cash at year-end 2021. The firm invested in property, plant, and equipment totaling $270,000- the majority having a useful life greater than 20 years and falling under the alternative depreciation system. Cash flow from financing activities totaled +$250,000. Round your answers to the nearest dollar, if necessary
a. What was the cash flow from operating activities? Cash outflow, if any, should be indicated by a minus sign
b. If accruals increased by $30,000, receivables and inventories increased by $155,000, and depreciation and amortization totaled $47,000, what was the firm's net income?

Answers

(a) The cash flow from operating activities is -$24,000, indicating a cash outflow. (b) The firm's net income is -$138,000, indicating a net loss.

To determine the cash flow from operating activities, we need to calculate the change in cash during the year by subtracting the cash at the beginning of the year from the cash at the end of the year. This will provide the net increase or decrease in cash.

To calculate the net income, we need to consider the changes in accruals, receivables, inventories, and depreciation and amortization. Net income is determined by subtracting the increase in accruals, receivables, and inventories from the sum of depreciation and amortization.

(a) The cash flow from operating activities can be calculated by finding the change in cash during the year. Given that the cash at year-end 2020 was $40,000 and the cash at year-end 2021 was $16,000, we can calculate the cash flow from operating activities as follows:

Cash flow from operating activities = Cash at year-end 2021 - Cash at year-end 2020

= $16,000 - $40,000

= -$24,000

Therefore, the cash flow from operating activities is -$24,000, indicating a cash outflow.

(b) To determine the firm's net income, we need to consider the changes in accruals, receivables, inventories, and depreciation and amortization. Given that accruals increased by $30,000, receivables and inventories increased by $155,000, and depreciation and amortization totaled $47,000, we can calculate the net income as follows:

Net Income = Depreciation and Amortization - (Increase in Accruals + Increase in Receivables + Increase in Inventories)

         = $47,000 - ($30,000 + $155,000)

         = $47,000 - $185,000

         = -$138,000

Therefore, the firm's net income is -$138,000, indicating a net loss.

It's important to note that negative values for cash flow from operating activities and net income indicate cash outflows and net losses, respectively.

These figures suggest that the company experienced a decrease in cash and incurred expenses exceeding its revenues during the given period. Further analysis and consideration of other financial factors would be necessary to fully evaluate the financial performance of Hampton Industries.

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P-1 EXPECTED RETURN A stock’s returns have the following distribution:DEMAND for the Probability of This Rate of Return If ThisCompany’s Products Demand Occurring Demand Occurs Weak 0.1 (50%) Below Average 0.2 (5) Average 0.4 16 Above Average 0.2 25 Strong 0.1 601.0 Calculate the stock’s expected return, standard deviation, and coefficient of variation.P-2 PORTFOLIO RATE OF RETURN An individual has $35,000 invested in a stock with a beta of 0.8 and another $40,000 invested in a stock with a beta of 1.4. If these are the only two investments in her portfolio, what is her portfolio’s beta? P-3 REQUIRED RATE OF RETURN Assume that the risk-free rate is 6% and the expected return on the market is 13%. What is the required rate of return on a stock with a beta of 0.7?P-4 EXPECTED AND REQUIRED RATES OF RETURN Assume that the risk-free rate is 5% and the market risk is premium is 6%. What is the expected return for the overall stock market? What is the required rate of return on a stock with a beta of 1.2? P-5 BETA AND REQUIRED RATE OF RETURN A stock has a required return 11%, the risk-free rate is 7%, and the market risk premium is 4%. a. What is the stock’s beta? b. If the market risk premium increased to 6%, what would happen to the stock’s required rate of return?Assume that the risk-free rate and the beta remain unchanged.

Answers

If the market risk premium increased to 6%, the stock's required rate of return would increase from 11% to 13%.

P-1 EXPECTED RETURN

The calculation of the expected return of the stock can be carried out with the help of the formula given below:

Expected Return =∑[Probabilities × Rate of Return]

= (0.1 × -50) + (0.2 × -5) + (0.4 × 16) + (0.2 × 25) + (0.1 × 60)

= 0.1 x -50 + 0.2 x -5 + 0.4 x 16 + 0.2 x 25 + 0.1 x 60

= -5 + (-1) + 6.4 + 5 + 6 = 11.4%

Therefore, the expected return of the stock is 11.4%.

Now, let's calculate the standard deviation. For this, first we will calculate the variance of the stock.

Variance = ∑[Probabilities × (Rate of Return - Expected Return)²]

= (0.1 × (-50 - 11.4)²) + (0.2 × (-5 - 11.4)²) + (0.4 × (16 - 11.4)²) + (0.2 × (25 - 11.4)²) + (0.1 × (60 - 11.4)²)

= 507.74

Now, Standard Deviation = √Variance = √507.74 = 22.55%

Lastly, let's calculate the coefficient of variation.

= Standard Deviation / Expected Return

= 22.55% / 11.4%

= 1.98

P-2 PORTFOLIO RATE OF RETURN

The portfolio's beta is given by the formula shown below:

Portfolio beta = [($35,000 / Total Investment) × Beta of Stock A] + [($40,000 / Total Investment) × Beta of Stock B]

= [(35,000 / (35,000 + 40,000)) × 0.8] + [(40,000 / (35,000 + 40,000)) × 1.4]

= 0.52 + 0.88

= 1.4

Therefore, the portfolio’s beta is 1.4.P-3 REQUIRED RATE OF RETURN

The formula for calculating the required rate of return is:

Required Rate of Return = Risk-Free Rate + Beta of the Stock × (Expected Return of the Market - Risk-Free Rate)

Required Rate of Return = 6% + 0.7 × (13% - 6%)

= 6% + 4.9%

= 10.9%

Therefore, the required rate of return on the stock is 10.9%.

P-4 EXPECTED AND REQUIRED RATES OF RETURN

The formula for expected return on the overall stock market is:

Expected Return of the Market = Risk-Free Rate + Market Risk Premium

= 5% + 6%

= 11%

Therefore, the expected return for the overall stock market is 11%.

The formula for required rate of return of the stock is:

Required Rate of Return = Risk-Free Rate + Beta of the Stock × Market Risk Premium

= 5% + 1.2 × 6%

= 5% + 7.2%

= 12.2%

Therefore, the required rate of return on the stock is 12.2%.

P-5 BETA AND REQUIRED RATE OF RETURN

The formula for the beta of the stock is:

Beta of the Stock = (Required Rate of Return - Risk-Free Rate) / Market Risk Premium

= (11% - 7%) / 4%

= 4 / 4%

= 1

Therefore, the stock's beta is 1.

b. The formula for calculating the required rate of return is:

Required Rate of Return = Risk-Free Rate + Beta of the Stock × Market Risk Premium

At a market risk premium of 6%, the new required rate of return will be:

Required Rate of Return = 7% + 1 × 6%= 7% + 6%= 13%

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UNISA / 2022 / Semester 1 / MNB1601-22-S1 / Welcome to MNB1601 / Assessment 4 In the area of recruitment and selection at Derby Departmental Stores, mention was made of the fact that when recruiting for lower-level and entry- level jobs, HR used the local private recruitment agency closest to the Derby store, and these agencies were under strict orders to recruit people within a radius of 50 kilometres from the store in question. It is evident that Derby Departmental Stores has a clearly defined policy when it comes to the recruitment of lower-level and entry-level jobs. The express purpose of recruiting is to s Select one: a. Forecast the expected growth or shrinkage of the business in view of probable economic developments b. Ensure that a sufficient number of applicants apply for the various jobs in the business as and when required c. Determine if there are sufficient opportunities in the labour market d. Make provision for active recruiting campaigns where the need for intensive training programmes is emphasised baterial K Question 2 Not yet answered Marked out of 1,00 P Flag question

Answers

The express purpose of recruiting lower-level and entry-level jobs at Derby Departmental Stores is to ensure that a sufficient number of applicants apply for the various jobs in the business as and when required.

Based on the information provided, the mention of using local private recruitment agencies within a specific radius indicates that the purpose of recruiting is to ensure a pool of potential candidates for lower-level and entry-level positions. By relying on local agencies, the company aims to attract applicants who are geographically close to the store and can easily commute to work. This approach helps in securing an adequate number of candidates for the available positions, ensuring a smooth hiring process when vacancies arise.

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Answer all the exercise questions below.
Question 1
Suppose the jeans industry is an oligopoly and each firm believes its rivals will not follow its price increases but will follow its price cuts. Briefly explain the characteristics of the jean industry in this market.
Question 2
Little Kona is a small coffee company that is considering entering a market dominated by Big Brew. Each company’s profit depends on whether Little Kona enters and whether Big Brew sets a high price or a low price:
Does either player in this game have a dominant strategy?
Big Brew threatens Little Kona by saying, "If you enter, we’re going to set a low price, so you had better stay out." Do you think Little Kona should believe the threat? Why or why not?
Question 3 (Topic 5, 6, 7 and 8)
Determine the market structure for the following cases and explain your reasoning:
The place where you live is like many other places, you and your friends have many choices about where to go to get a haircut. The price you pay for a basic haircut probably ranges from a few dollars at a discount establishment to many dollars at an upscale salon.
The four largest breakfast cereal companies (Kellogg, General Mills, Post, and Quaker) were producing over 86 percent of the total amount of breakfast cereals in the United States. These cereal producers spend a lot on advertising and use advertising as a way to compete with one another.
Beginning in the 1930s and throughout most of the 20th century, the De Beers company, based in Switzerland and South Africa, controlled most of the world’s diamond supply. Control of the supply of diamonds enabled De Beers to restrict the number of diamonds offered for sale and sell them at higher prices than would exist under competition.

Answers

Question 1:

Oligopoly market is a market structure in which a small number of interdependent firms compete against each other. The market structure of the jeans industry is an oligopoly because of the following characteristics:

The jeans industry consists of a few large firms that dominate the market.

The firms produce a homogeneous product, jeans.

The industry is a barrier to entry as it is very difficult for new firms to enter the market due to economies of scale, brand recognition, and advertising.

The firms in this industry engage in strategic pricing, where each firm believes its rivals will not follow its price increases but will follow its price cuts. In this way, the firms try to capture the largest market share by manipulating prices to increase their profits.

Question 2:

Neither player in this game has a dominant strategy. A dominant strategy is one that produces the highest payoff for a player, regardless of what the other player does. Neither Big Brew nor Little Kona has a dominant strategy. Both firms will have to consider their actions based on the actions of their competitor. Big Brew's threat to set a low price if Little Kona enters may or may not be credible. Little Kona should consider the threat and weigh the potential profits it could earn if it enters the market against the potential losses it could suffer if Big Brew does follow through on its threat.

Question 3:

Case 1: The market structure for this case is monopolistic competition. This is because there are many firms competing in the industry, selling similar but not identical products. The price of a basic haircut can vary from a few dollars at a discount establishment to many dollars at an upscale salon.

Case 2: The market structure for this case is an oligopoly. This is because the four largest breakfast cereal companies (Kellogg, General Mills, Post, and Quaker) dominate the market, accounting for over 86% of the total amount of breakfast cereals in the United States. The firms use advertising as a way to compete with one another.

Case 3: The market structure for this case is a monopoly. This is because, throughout most of the 20th century, the De Beers company controlled most of the world’s diamond supply. This enabled De Beers to restrict the number of diamonds offered for sale and sell them at higher prices than would exist under competition.

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A company estimates that it will need $164,000 in 6 years to replace a computer. If it establishes a sinking fund by making fixed monthly payments into an account paying 4.5% compounded monthly, how much should each payment be? The amount of each payment should be $ (Round to the nearest cent.) -C

Answers

Each payment should be approximately $2,330.55.

each payment should be $2,330.55.

to find the amount of each payment, we can use the formula for the future value of an ordinary annuity:

fv = p * ((1 + r)ⁿ - 1) / r

where:

fv = future value (amount needed to replace the computer)p = payment amount

r = interest rate per period (4.5% per year divided by 12 months)n = number of periods (6 years multiplied by 12 months)

plugging in the values:

164,000 = p * ((1 + 0.045/12)⁽⁶*¹²⁾ - 1) / (0.045/12)

solving for p, we find:

p = 164,000 / (((1 + 0.045/12)⁽⁶*¹²⁾ - 1) / (0.045/12))p ≈ 2,330.55

A company estimates that it will need $164,000 in 6 years to replace a computer. If it establishes a sinking fund by making fixed monthly payments into an account paying 4.5% compounded monthly,

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explaining the importance of value integration to the eSports
business network and audience and what this means for an eSports
manager.

Answers

Value integration plays a crucial role in the eSports business network and audience, and it holds significant implications for an eSports manager. Value integration refers to the process of aligning the core values and principles of an organization with the needs and expectations of its target audience. In the context of eSports, it involves incorporating and promoting values such as fairness, inclusivity, sportsmanship, and community engagement throughout the ecosystem.

For an eSports manager, value integration is vital for several reasons. Firstly, it helps to establish a positive brand image and reputation for the organization they represent. By upholding and promoting ethical values, the manager can build trust and loyalty among the audience and stakeholders, which can lead to long-term success and sustainability.

Secondly, value integration fosters a healthy and supportive environment within the eSports community. When the values of fairness, inclusivity, and sportsmanship are deeply ingrained, it encourages respectful competition, teamwork, and a sense of belonging among players, fans, and other participants. This, in turn, attracts a broader audience and enhances the overall experience for everyone involved.

Lastly, value integration enables an eSports manager to tap into the growing market of socially conscious consumers. Many individuals today actively seek out brands and organizations that align with their values. By showcasing a commitment to ethical principles, an eSports manager can attract sponsors, partnerships, and investment opportunities that align with the organization's values and aspirations.

In summary, value integration is of paramount importance to the eSports business network and audience. It allows an eSports manager to establish a positive brand image, foster a supportive community, and attract socially conscious opportunities. Embracing and promoting values that resonate with the target audience can contribute to the overall success and growth of the eSports industry.

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1. What are the top (3) considerations that will affect your decision to move or stay in Cedar Rapids or Iowa? Explain why these are your top (3). 2. What (3) factors will you research that may impact your decision? What does this research show? How does it compare to the other re-location options? 3. What is your decision? Discuss it. If you decide to move, what location did you choose and why?

Answers

1. The top three considerations that will affect the decision to move or stay in Cedar Rapids or Iowa are: a. Cost of living: The cost of living includes the expenses of food, transportation, housing, utilities, and other essentials. Cedar Rapids is known for its affordable living and low housing costs. b. Education system:

The quality of education is an important factor to consider when deciding where to live, as it will have a direct impact on the future of one's family. Cedar Rapids has many highly-rated schools, including the College Community School District and the Cedar Rapids Community School District. c.

Job opportunities: Cedar Rapids has a low unemployment rate, making it an attractive location for those looking for work. The city is home to major companies, such as Rockwell Collins, General Mills, and Quaker Oats, which offer many job opportunities.

2. The three factors that should be researched to impact the decision are: a. Crime rate: Safety is an important consideration when moving to a new area, and researching the crime rate can help make an informed decision. Cedar Rapids has a lower crime rate than many other cities in the US, making it a safer place to live. b. Climate:

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You are interested in buying 3-year Treasury bonds. If you expect one-year Treasuries to yield 1.6%, 4.5%, and 3.3% in each of the next three years, respectively, what YTM do you expect for 3-year Treasuries? Report your answer as an annual rate in decimal format and show four decimal places. For example, if your answer is 5.35% per year, enter .0535.

Answers

Expected yields of 1.6%, 4.5%, and 3.3% in each of the next three years for one-year Treasury bonds, the expected YTM for 3-year Treasury bonds is estimated to be 3.7678 or 3.76%.

The Yield to Maturity (YTM) of 3-year Treasury bonds can be estimated by using the expected yields of one-year Treasury bonds over the nest three years.

YTM is the internal rate of return (IRR) of a bond that takes into account the present value of the future coupon payments and the face value of the bond that is returned to the bondholder at maturity. By evaluating the expected yields of one-year Treasuries of 1.6%, 4.5%, and 3.3% over the next three years, the expected YTM of 3-year Treasury bonds can be calculated.

In order to calculate the YTM for 3-year Treasury bonds, investor's will usually use a discounted cash flow (DCF) analysis. This analysis takes into account the coupon rate of a bond and discoutns those payments back to the current date of the bond investment. Once the total present value of the three years of cash flows is known and the current market value of the bond investment, the YTM can be calculated for the remaining duration of the bond.

Therefore, with expected yields of 1.6%, 4.5%, and 3.3% in each of the next three years for one-year Treasury bonds, the expected YTM for 3-year Treasury bonds is estimated to be 3.7678 or 3.76%.

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The seller offers to take back a second mortgage of $25,000 at a simple interest rate of 4.5%. The loan is amortized over 10 years. What is the amount of interest paid in the first month

Answers

The amount of interest paid in the first month on the second mortgage would be $93.75.

A month is a unit of time used in calendars, typically representing one of the 12 divisions of a year. It is commonly associated with the lunar or solar cycles and serves as a way to measure the passage of time.

In most calendar systems, a month consists of a varying number of days, ranging from 28 to 31 days. The Gregorian calendar, which is the most widely used calendar internationally, has months with lengths that range from 28 to 31 days, except for February, which has 28 days in common years and 29 days in leap years.

To calculate the amount of interest paid in the first month on a second mortgage of $25,000 at a simple interest rate of 4.5% and amortized over 10 years, we need to determine the monthly interest payment.

First, convert the annul interest rate to a monthly rate by dividing it by 12:

Monthly interest rate = Annual interest rate / 12

= 4.5% / 12

= 0.375% (0.00375 as a decimal)

Next, calculate the monthly interest payment by multiplying the loan amount by the monthly interest rate:

Monthly interest payment = Loan amount * Monthly interest rate

= $25,000 * 0.00375

= $93.75

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A country with a closed economy discovers large oil deposits. Assume that the only effect of this discovery is an increase in the expected future marginal product of capital. a. Use the capital market diagram (user cost and MPK vs capital stock) to show the effect on the equilibrium level of capital stock. b. Use desired invertment/aningi diagram (with the real interest rate on the vertical axis) to analyzo the effecta on national saving, investment, and the real interest rate.
Previous question

Answers

a. Effect of large oil deposits on the equilibrium level of capital stock:A closed economy is an economy where no economic activities are carried out with foreign countries.

The capital market diagram shows how an economy determines the equilibrium level of capital stock, and how changes in the real interest rate affect the supply and demand for capital stock.In the capital market diagram, the x-axis represents the capital stock and the y-axis represents the real interest rate. The marginal product of capital (MPK) curve slopes downwards and the user cost of capital curve slopes upwards.

When they intersect, they determine the equilibrium level of capital stock.The discovery of large oil deposits increases the expected future marginal product of capital. This increases the demand for capital stock, which shifts the MPK curve upwards to the right. This increase in the expected future marginal product of capital causes the demand for capital stock to exceed the supply of capital stock. Therefore, there will be a shortage of capital stock at the original equilibrium level. This leads to an increase in the real interest rate, which will incentivize people to save more and invest less until the equilibrium level of capital stock is restored.

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You see the bid and ask prices for ABC Corp are $55.25 and $55.50, respectively.
A) At what price could you purchase the stock?
B) At what price could you sell (what price would a dealer pay you) the stock?
C) You submit a limit order to sell at $55.62. What will happen?
D) You submit a limit order to buy at $55.37. What will happen?

Answers

A) The bid price is the highest price that a buyer is willing to pay for a stock. As a result, an investor may purchase a stock at the bid price. Here, the bid price for ABC Corp is $55.25, which means you can purchase the stock at $55.25.

B) At what price could you sell (what price would a dealer pay you) the stock?

The ask price is the price at which a seller is willing to sell a stock. As a result, a dealer would pay the ask price to purchase the stock. In this case, the ask price for ABC Corp is $55.50, which means a dealer would pay $55.50 to buy the stock.

C) You submit a limit order to sell at $55.62. What will happen?

Since the limit order of $55.62 is greater than the current bid price of $55.25, the order will not be filled right away. The order will be executed only if the stock price rises to or above the limit price of $55.62.

D) You submit a limit order to buy at $55.37. What will happen?

The limit order of $55.37 is less than the current ask price of $55.50, thus the order will not be filled immediately. The order will only be executed if the stock's price decreases to or below the limit price of $55.37. Therefore, it is most likely that the order will remain unfilled.

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Find the future value of $1600 deposited at the end of every three months for 5 years if the bank pays 8.1% interest, compounded quarterly.

Answers

The future value of $1600 deposited at the end of every three months for 5 years if the bank pays 8.1% interest, compounded quarterly is $31,362.

Here, we have to find the future value of the deposited amount. The formula for calculating the future value of a series is:

FV = PMT * ((1 + r / n)^(n * t) - 1) / (r / n)

Where,

FV is the future value of the deposited amount, PMT is the amount deposited, r is the interest rate, n is the number of times the interest is compounded, and t is the time period for which the amount is deposited.

Given,

PMT = $1600, r = 8.1%, compounded quarterly, i.e., n = 4 and t = 5 years

Now, putting the values in the formula,

FV = 1600 * ((1 + 0.081 / 4)^(4 * 5) - 1) / (0.081 / 4)

= 1600 * (1.02025^20 - 1) / 0.02025

= $31,362

Therefore, the future value of $1600 deposited at the end of every three months for 5 years if the bank pays 8.1% interest, compounded quarterly is $31,362.

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payments for 3 years?
a) $ 5236.62 b) $5337,20 c) $ 43332 d) $ 358.03 e) $ 5304.33 f) None of the above

Answers

The payments for 3 years amount to $5337.20 (option b). This option represents the correct value for the payments over the specified time period.

To calculate the payments for 3 years, we need to add up the amounts given in each option. After adding the values from options a, b, c, d, and e, we find that the correct answer is $5337.20. This amount aligns with the specified time frame of 3 years and is the most accurate choice among the provided options. Therefore, option b is the correct answer for the payments over a 3-year period.

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3. Suppose you have a good that you can sell to two different markets over which you have pricing power. The marginal cost is the same regardless of market. The elasticity of demand for one market (call it "Market A" representing a certain type of customer) is 4 and the elasticity of demand for the other market (Market B) is 3. Evaluate this claim: The market B should get charged a 12.5% higher price than market A. True or false (and explain briefly... the best answers will show and use the appropriate formula!) Can you think of any examples where this logic would apply? How do firms attempt to segment markets to be able to exploit this?

Answers

False. Price difference should be proportional to the ratio of elasticities, and market segmentation enables firms to exploit price elasticity differences for profit maximization.

The claim is false. To determine the appropriate price difference, we need to consider the price elasticity of demand in each market. According to the formula for price elasticity of demand (PED), the price difference should be proportional to the ratio of elasticities. In this case, the ratio is 3/4 (Market B elasticity divided by Market A elasticity). Thus, if Market A is charged a certain price, Market B should be charged a price that is 75% (1 - 3/4) higher, not 12.5% higher.

Firms can segment markets based on various factors such as demographics, geography, or product characteristics to exploit differences in price elasticity. By identifying market segments with different elasticities, firms can tailor their pricing strategies to maximize profits. Examples of market segmentation include offering premium products to price-insensitive customers and providing discounts or promotions to price-sensitive customers, allowing firms to capture higher margins in certain segments while remaining competitive in others.

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What type of easement would a television cable company likely purchase from property owners not participating in the cable system, but having lines running through their property?
a. Easement by prescription
b. Temporary easement
c. Easement appurtenant
d. Easement by necessity
e. Easement in gross

Answers

The type of easement that a television cable company would likely purchase from property owners not participating in  the cable system,

but having lines running through their property is an "Easement in gross" (option e).

An easement in gross is a type of easement that is granted to a specific individual or entity,

rather than being tied to a specific property.

In this case, the television cable company would purchase the easement in gross from the property owners,

allowing them the right to access and maintain the cable lines that run through the property,  even if the property owners are not participating in the cable system.

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Find Nike’s cost of equity
Risk free rate is 10 yr treasury
Market risk premium is 5.6% on statista
CAPM: 1.11
Plug these into the CAPM formula

Answers

Nike's cost of equity, based on the given assumptions, is approximately 8.216%.

To find Nike's cost of equity using the CAPM (Capital Asset Pricing Model), we can follow these steps:

1. Identify the risk-free rate: The risk-free rate is the rate of return on a risk-free investment, typically measured by the yield on government bonds. In this case, the risk-free rate is given as the 10-year Treasury rate, but it's not provided in the question. Let's assume it's 2%.

2. Determine the market risk premium: The market risk premium is the additional return that investors expect to earn by investing in the overall market compared to a risk-free investment. According to Statista, the market risk premium is 5.6%.

3. Calculate the cost of equity using the CAPM formula: The CAPM formula is as follows:
  Cost of Equity = Risk-Free Rate + Beta * Market Risk Premium

  In the given question, the CAPM is mentioned as 1.11. However, the CAPM value is typically represented as the beta (β) coefficient, which measures the stock's sensitivity to market movements. Let's assume the beta coefficient is 1.11.
 Now, we can substitute the values into the formula:
  Cost of Equity = 2% + 1.11 * 5.6%
 Simplifying the calculation:
  Cost of Equity = 2% + 6.216
  Adding the percentages:
  Cost of Equity = 8.216%

Therefore, Nike's cost of equity, based on the given assumptions, is approximately 8.216%.

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Cash conversion cycle
Christie Corporation is trying to determine the effect of its inventory turnover ratio and days sales outstanding (DSO) on its cash conversion cycle. Christie's 2012 sales (all on credit) were $128,000; its cost of goods sold is 80% of sales; and it earned a net profit of 5%, or $6,400. It turned over its inventory 7 times during the year, and its DSO was 35.5 days. The firm had fixed assets totaling $50,000. Christie's payables deferral period is 40 days. Assume 365 days in year for your calculations.
a. Calculate Christie's cash conversion cycle. Round your answer to two decimal places.
days
b. Assuming Christie holds negligible amounts of cash and marketable securities, calculate its total assets turnover and ROA. Round your answer to two decimal places.
Total assets
$
ROA
c. Suppose Christie's managers believe that the inventory turnover can be raised to 8.2 times. What would Christie's cash conversion cycle, total assets turnover, and ROA have been if the inventory turnover had been 8.2 for 2012?
Cash conversion cycle
days
Total assets
ROA

Answers

The cash conversion cycle of Christie Corporation is 24.93 days.

Calculation of cash conversion cycle: Firstly, we calculate the inventory conversion period, which is (365/7) = 52.14 days. Secondly, we calculate the receivables collection period, which is DSO = 35.5 days. Thirdly, we calculate the payable deferral period, which is DPO = 40 days. Finally, we calculate the cash conversion cycle as CCC = DIO + DSO - DPO = 52.14 + 35.5 - 40 = 47.64 - 22.71 = 24.93 days. b. Christie Corporation's total assets turnover was 2.56 times and the ROA was 12.38%.

Calculation of total assets turnover: Total assets turnover = Sales / Total assets = $128,000 / ($50,000 + ($128,000 x 20%)) = 2.56 times. Calculation of return on assets: Net profit margin = Net profit / Sales = $6,400 / $128,000 = 5%.Return on assets = Net profit margin x Total assets turnover = 5% x 2.56 = 12.8%.c. If the inventory turnover of Christie Corporation was 8.2 for 2012, then its cash conversion cycle would be 19.61 days, its total assets turnover would be 2.81 times and its ROA would be 13.94%.

Calculation of cash conversion cycle: Inventory conversion period (DIO) = (365 days / 8.2) = 44.51 days. DSO = 35.5 days. DPO = 40 days. CCC = DIO + DSO - DPO = 44.51 + 35.5 - 40 = 39.01 - 19.40 = 19.61 days.Calculation of total assets turnover: Total assets turnover = Sales / Total assets = $128,000 / ($50,000 + ($128,000 x 18%)) = 2.81 times. Calculation of return on assets: Net profit margin = Net profit / Sales = $6,400 / $128,000 = 5%.Return on assets = Net profit margin x Total assets turnover = 5% x 2.81 = 13.94%.

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A company has 12-year bonds outstanding that pay an 4.7 percent coupon rate. Investors buying the bond today can expect to earn a yield to maturity of 9.4 percent p.a.. What should the company's bonds be priced at today? Assume annual coupon payments and a face value of $1000. (Rounded to the nearest dollar)
a. $670
b. $505
c. $2939
d. $1424

Answers

The company's bonds should be priced at $2939. So, the correct answer is c. $2939.

To calculate the price of the company's bonds, we need to use the present value formula. The present value of the bond's future cash flows (coupon payments and face value) is calculated by discounting them at the yield to maturity rate.

The bond pays an annual coupon of 4.7% of the face value, which is $1000. So, the annual coupon payment is 4.7% * $1000 = $47. Since the coupon payments are annual, we need to discount them at the yield to maturity rate of 9.4% p.a. The number of periods until maturity is 12 years.

Using the present value formula: PV = (C / (1 + r)^t) + (F / [tex](1 + r)^t[/tex])
Where PV is the present value, C is the coupon payment, r is the yield to maturity rate, t is the number of periods, and F is the face value.

Substituting the values:
PV = ($47 / (1 + 0.094)^12) + ($1000 / [tex](1 + 0.094)^{12[/tex])

Calculating this gives us:
PV ≈ $2939
Rounded to the nearest dollar, the company's bonds should be priced at $2939. Therefore, the correct answer is c. $2939.

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PiCO search strategy work sheetScenario: : Sarah, a first-year nursing student, is feeling depressed because of the pressure of her studies, the unfamiliar environment of university, and associated financial difficulties. She has heard that physical activity can have a positive effect on mood and as a result is considering starting an exercise program. However, her friend recently began practicing mindfulness meditation and told Sarah that it has improved her mood and helped her to deal with the pressure of studying. 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At a site where the Earth's magnetic field has a magnitude of 0.42 gauss (where 1 gauss = 1.00 X 104 T) and points to the north, 680 below the horizontal, a high-voltage pover line 153 m in lengthcarries a current or TEA.Determine the magnitude and direction of the magnetic force exerted on this wire, if the orientation of the vire and hence the current is as follovehorizontally toward the south What is the wave speed if a wave with a wavelength of 8.30 cmhas a period of 2.44 s? Answer to the hundredths place or twodecimal places. 3) Analyze your own language to determine how you are beingpowerful and un-powerful in your communication. Part B What is the current through the 3.00 2 resistor? | I = A Submit Previous Answers Request Answer X Incorrect; Try Again; 4 attempts remaining Part C What is the current through the 6.00 2 resistor? V] ? I = A Submit Previous Answers Request Answer X Incorrect; Try Again; 4 attempts remaining Part D What is the current through the 12.00 resistor? | I = A < 1 of 1 Submit Request Answer E = 60.0 V, r = 0 + Part E 3.00 12 12.0 12 What is the current through the 4.00 resistor? | 6.00 12 4.00 12 I = Efficiency ratios: Multiple Choice are used to measure how liquid the company is. are used to measure how well the company uses its assets. measure the profits generated by a firm's equity and assets. include the quick ratio, asset turnover ratio, and return on equity. Besides the elevated susceptibility to infections, low blood pressure is one of the dangers burn patients may suffer. Describe the effects this hypotension has on the kidneys and some signs/symptoms (beside the stated hypotension) in such a situation. What could be done to rectify these effects? A parallel-plate capacitor is made of 2 square parallel conductive plates, each with an area of 2.5 10-3 m? and have a distance of 1.00 10 m between the 2 plates. A paper dielectric (k = 2.7)with the same area is between these 2 plates. (E = 8.85 10-12 F/m)What is the capacitance of this parallel-plate capacitor? The company is expected to pay a year-end dividend of $1.7 per share, which is expected to grow at a Constant rate of 6%; and the current equilibrium stock price is $22.5. New stock can be sold to the public at the current price, but a flotation cost of 15% would be incurred. What would the cost of equity from new common stock be? 14.01% 16.07% 13.56% 15.42% 14.89% An uncharged 1.5mf (milli farad) capacitor is connected inseries with a 2kilo ohm resistor A switch and ideal 12 volt emfsource Find the charge on the capacitor 3 seconds after the switchis closed Do you think COVID will be endemic soon or be viewed as a pandemic Shall individuals who are unvaccinated have higher insurance premiums? How should the increased number of cases every few months be addressed? Please respond to the questions to the best of your ability Light of wavelength 0 is the smallest wavelength maximally reflected off a thin film with index of refraction n 0 . The thin film is replaced by another thin film of the same thickness, but with slightly larger index of refraction n f >n 0 . With the new film, f is the smallest wavelength maximally reflected off the thin film. Select the correct statement. f = 0 f > 0 f Case SummaryThe school RN sees an 8-year-old male coming into the nursing office by his Phys Ed teaching with complaints of profuse sweating and confusion. The patient is currently afebrile.What condition would most likely be expected?Which actions are contraindicated?How should the nurse provide the glucose and why?When should the RN re-check the blood glucose? 3. Mike owes James the following obligations: 1. P10,000 due at the end of 4 years II. P1,500 due at the end of 6 years with accumulated interest from today at (0.06, m = 2) Mike will be allowed to replace his total obligation by a payment at P2,000 at the end of 2 years and a second payment at the end of 5 years, with money worth 5%. a) Find the unknown payment. Comparison date: at the end of 5 years. b) Mike wishes to replace the obligations by a first payment at the end of 2 years and twice as much at the end of 6 years with money worth 2 1/2%. Find the unknown payments at a comparison date at the end of 5 years. Concept generation (identify and evaluate possible solutions) of a pacemaker.Embodiment design (elaborate on the selected solution and determine the layout and structure) of a pacemaker.Detailed design (finalize the details including dimensions and materials) of a pacemaker. A ray of light in glass strikes a water-glass interface. The index of refraction for water is 1.33, and for the glass it is 1.50. a) What is the maximum angle of the incidence that one can observe refracted light? () b) If the incident angle in the glass is 45 degrees, what angle does the refracted ray in the water make with the normal? Analyzing Wages-Plus-Commission PayMaybelle works in the shoe department for a high-endstore. She earns $15 per hour for at least 40 hours perweek. On top of that, she earns 10% commission for eachpair of shoes she sells. She is expected to sell $2,500worth of shoes every week.What will Maybelle earn in wages in a typical week?How much commission will Maybelle earn if she sells$3,000 of shoes in one week?vThe next week, customers return $1,000 worth ofshoes. How much money will be deducted fromMaybelle's paycheck?With an economic downturn, sales slump. As a result,Maybelle will likely a rocket is launched from a tower. the height of the rocket, y in feet, is related to the time after launch, x in seconds, by the given equation. using this equation, find the time that the rocket will hit the ground, to the nearest 100th of second. y = 16x^2 + 89x+ 50 ____ are used for recovery from disasters that threaten on-site backups. a. data archives b. electronic vaulting sites c. data backups d. cloud storage sites 17. In experiment 10, a group of students found that themoment of inertia of the plate+disk was 1.74x10-4 kg m2, on theother hand they found that the moment of inertia of the plate was0.34x10-4 kg