Getrich has 1.8 million shares outstanding and a current share price of $6.8 per share. It also has $70.2 million in outstanding debt, with a debt cost of capital of 9.6%. Getrich’s equity cost of capital is 12.7%. If the corporate tax rate is 27.5%, what is Getrich's weighted average cost of capital? Round your answer to two decimal places in percentage form.

Answers

Answer 1

Getrich has 1.8 million shares outstanding and a current share price of $6.8 per share. It also has $70.2 million in outstanding debt, with a debt cost of capital of 9.6%. Getrich’s equity cost of capital is 12.7%. If the corporate tax rate is 27.5% then Getrich's weighted average cost of capital is 7.84%.

To calculate Getrich's weighted average cost of capital (WACC), we need to determine the proportion of equity and debt in the company's capital structure. The WACC represents the average rate of return required by both equity and debt holders.

First, let's calculate the market value of equity and debt:

Market Value of Equity = Number of Shares Outstanding * Share Price

Market Value of Equity = 1,800,000 * $6.8 = $12,240,000

Market Value of Debt = $70,200,000

Next, we need to calculate the weight of equity and debt in the capital structure:

Weight of Equity = Market Value of Equity / (Market Value of Equity + Market Value of Debt)

Weight of Equity = $12,240,000 / ($12,240,000 + $70,200,000) = 0.148

Weight of Debt = 1 - Weight of Equity = 0.852

Now, we can calculate the cost of equity and cost of debt:

Cost of Equity = Equity Cost of Capital = 12.7%

Cost of Debt = Debt Cost of Capital = 9.6%

Next, we calculate the WACC using the formula:

WACC = (Weight of Equity * Cost of Equity) + (Weight of Debt * Cost of Debt) * (1 - Tax Rate)

WACC = (0.148 * 12.7%) + (0.852 * 9.6%) * (1 - 27.5%)

WACC = 1.8956% + 8.1976% * 0.725

WACC = 1.8956% + 5.9445%

WACC = 7.8401%

The WACC represents the minimum rate of return that Getrich needs to generate in order to satisfy both equity and debt holders. It takes into account the proportions of equity and debt in the company's capital structure, as well as the respective cost of capital for each component.

In this case, Getrich has a higher weight assigned to debt compared to equity, indicating a higher reliance on debt financing. The WACC of 7.84% reflects the blended cost of equity and debt, adjusted for the corporate tax rate of 27.5%. It serves as an important benchmark for evaluating the profitability and attractiveness of potential investment opportunities for the company.

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Related Questions

The learning curve for a product is 80%. It took 15 hours to complete the first unit. using the logarithmic method How long will it take to complete the 5th unit. Select one: a. 10.56 hours
b. 5.45 hours
c. 9.67 hours
d. 13.55 hours
e. 8.93 hours

Answers

With a learning curve of 80%, it would take around 12.55 hours to complete the 5th unit.

Learning curve of the product = 80%

Time for the first unit = 15 hours

Total number of units = 5

A learning curve is a mathematical notion that illustrates visually how a process improves with practise and learning over time. According to the learning curve idea, tasks will demand less time and resources as they are carried out more frequently due to the proficiency that is acquired when the procedure is learnt.

Calculating the time as per the learning curve -

Time for nth unit = Time for the first unit x (n^log(learning curve))

Time for 5th unit will be -

= [tex]15 x (5^log(0.80))[/tex]

= [tex]15 x (5^-0.09691)[/tex]

= 15 x 0.8367

= 12.55

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T/F. dell’s strategy to offer mass customization to consumers in the pc manufacturing industry

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True. Dell's strategy of offering mass customization to consumers in the PC manufacturing industry is well-known. Dell revolutionized the industry by allowing customers to customize their computers based on their specific needs and preferences. Instead of offering only pre-configured models, Dell gave customers the option to choose various components such as processors, memory, storage, and graphics cards, allowing for personalized configurations.

This strategy provided customers with more control over the features and specifications of their computers, catering to their individual requirements. It also helped Dell differentiate itself from competitors and create a competitive advantage in the market.

By embracing mass customization, Dell was able to streamline its manufacturing processes, reduce inventory costs, and deliver products more efficiently. This approach contributed to Dell's success in the PC industry and established it as a leader in providing customizable solutions to consumers.

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An investor required 10% return on his money. A property had gross annual income of $110,000, a vacancy rate of 4%, and operating expenses of $10,000. What would be the maximum price that the investor

Answers

The maximum price that the investor should pay for the property would be $1,000,000.

Explanation: To calculate the maximum price, we need to use the Net Operating Income (NOI) and the required rate of return. The NOI is the gross annual income minus the vacancy rate and operating expenses.

Calculate the Net Operating Income (NOI):

Gross Annual Income = $110,000

Vacancy Rate = 4% (4/100)

Operating Expenses = $10,000

NOI = Gross Annual Income - (Gross Annual Income * Vacancy Rate) - Operating Expenses

= $110,000 - ($110,000 * 0.04) - $10,000

= $110,000 - $4,400 - $10,000

= $95,600

Determine the maximum price based on the required rate of return:

Required Rate of Return = 10% (10/100)

Maximum Price = NOI / Required Rate of Return

= $95,600 / 0.10

= $956,000

Therefore, the maximum price that the investor should pay for the property is $956,000.

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.The industry-low, industry-average, and industry-high cost benchmarks that appear on p. 6 of each issue of the Footwear Industry Report
The industry-low,
industry-average, and industry-h are worth careful scrutiny by the managers of all companies because when the benchmarking data signals that a company's costs for one or more of the benchmarks are out-of-line, managers are well advised to take corrective action in the next decision round.
The industry-low,
industry-average, and industry-h are of value only to the managers of companies having negative operating profit per pair sold in one of more geographic regions.
The industry-low,
industry-average, and industry-h are of considerable value to the managers of companies pursuing a low-cost strategy but are of very limited value to company managers employing other types of strategies.
The industry-low,
industry-average, and industry-h are of little value because the benchmarking data do not identify which companies have the lowest/highest costs for any of these cost benchmarks.
The industry-low,
industry-average, and industry-h are most valuable to the managers of companies whose cost benchmarks are above the industry average and/or who are looking for evidence to confirm the need to substantially increase their efforts to secure celebrity endorsements in the upcoming decision round in order to help take branded market share away from rivals.

Answers

The statement that accurately describes the value and relevance of industry-low, industry-average, and industry-high cost benchmarks is:

"The industry-low, industry-average, and industry-high are most valuable to the managers of companies whose cost benchmarks are above the industry average and/or who are looking for evidence to confirm the need to substantially increase their efforts to secure celebrity endorsements in the upcoming decision round in order to help take branded market share away from rivals."

These benchmarks provide valuable information to managers who want to compare their costs to industry standards and identify areas where their costs may be out-of-line. By analyzing these benchmarks, managers can take corrective action to improve their company's performance in the next decision round. Additionally, the benchmarks can help companies pursuing a low-cost strategy in assessing their competitiveness within the industry.

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list the standard composition of negotiation team

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Negotiation is an art that entails interacting with other people to reach a mutually beneficial agreement. The formation of a negotiation team is vital to ensure that different perspectives and ideas are taken into consideration.

The following are the standard composition of a negotiation team:

1. Leader: The team's leader is responsible for overseeing the negotiations and ensuring that the team stays on track. They also provide guidance and make final decisions if there is a deadlock.

2. Technical Expert: A technical expert is a member of the team who has expertise in a specific area. They help the team in making technical decisions based on their knowledge.

3. Legal Advisor: A legal advisor provides the team with legal advice and information that can influence the outcome of the negotiations

.4. Subject matter expert: They provide expertise on the topics related to the negotiations.

5. Communication Specialist: Communication specialist provides guidance and expertise in delivering the team's message to the other party.

6. Note-taker: The note-taker is responsible for documenting the progress made during the negotiations. They take minutes of the meetings to ensure that there is a record of what has been discussed.

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Answer all parts (a) to (e) of this question. If a firm produces quantities q₁ and q2 of two goods, its total cost is: C = q₁ +q_1^2+q_2^2-aq1q2. The goods are sold in competitive markets at prices p₁>1 and p2. (a) [10 marks] Write down an expression for the profit of the firm. Obtain and provide an economic interpretation for the first-order profit-maximising conditions. (b) [10 marks] Using the Cramer's rule, find the quantities q₁ and q2 that satisfy the first order conditions. (c) [10 marks] Find the second-order conditions for profit maximisation. For what values of a are the second-order conditions satisfied? (d) [10 marks] Assume the second-order condition is satisfied. Use calculus to determine the way in which the supply of good 2 varies with a rise in p₁. Explain why it depends on the sign of a. (e) [10 marks] Assume the second-order condition is satisfied. If p₁ = 0.5 and p2 = 1, under which condition about a will good 1 be supplied by the firm? Explain the economic intuition behind the results.

Answers

The profit of a firm can be expressed as C By substituting the expression of C in the equation above Taking the partial derivative of P with respect to q₁ and setting it equal to zero Using Cramer's rule, we can solve for The second-order condition is satisfied when the determinant of the Hessian is negative.

The Hessian of P with respect to q₁ and q₂ is given by The determinant of the Hessian is After simplifying, we get When the second-order condition is satisfied, the supply of good 2 varies with a rise in p₁ according to the following equation The sign of a determines whether the supply of good 2 will increase or decrease as p₁ increases.

When which means that the supply of good 2 increases with an increase in . On the other hand, when which means that the supply of good 2 decreases with an increase in When and the profit of the firm can be expressed as The supply of good 1 will be positive when the partial derivative of P with respect to q₁ is positive. The economic intuition behind this result is that when a is small, the firm can produce both goods at a low cost, so it will supply good 1 as long as the price is higher than half the cost.

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Evaluate to total present worth of all the cash-flow of machine ABC for an interest rate of 10% per year. Relevant costs are as follows

investment cost = $18,000
useful life = 20 years
Market value = $5000

Annual operating expenses =$250
Overhead cost end of the 7th year = $500
Overhead cost end of the 14th year = $800

Answers

The total present worth of all the cash-flow of machine ABC for an interest rate of 10% per year is $6,915.78.

In order to find the total present worth of all the cash-flow of machine ABC for an interest rate of 10% per year,

we need to consider the relevant costs that are as follows: Investment cost = $18,000Useful life = 20 years Market value = $5000Annual operating expenses = $250Overhead cost end of the 7th year = $500Overhead cost end of the 14th year = $800

We will use the formula for total present worth to evaluate the total present worth of the cash flow.

The formula for total present worth is given by: Total present worth (P) = A1 + A2(P/A, i, N)Here,A1 = Initial investment costA2 = Net annual cash flow P/A, i, N = Present worth factor at i% interest rate for N years

Now, let's evaluate the net annual cash flows for 20 years: Year Annual cash flow(250)Overhead cost End of the year7th year(500)14th year(800)

The net annual cash flow for each year will be $250 - $500 - $800 = -$1050Let's find out the present worth factor for 20 years at 10% interest rate using the formula :P/A, i, N = 1/[(1+i)^n - 1/i(1+i)^n] = 0.149

In order to find the total present worth of all the cash-flow of machine ABC, we need to find the sum of the present worth of each year's net cash flow for the period of 20 years.

Total present worth (P) = A1 + A2(P/A, i, N)P = $18,000 - $1050(0.149)[1/0.10 - 1/1.10^20]P = $18,000 - $11,084.22 = $6,915.78

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One of the main insights of the Ricardian model of trade is that the beneficiaries of international trade are (a) All trading countries (b) More productive countries (c) Less productive countries (d) It depends on their factor endowments

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One of the main insights of the Ricardian model of trade is that the beneficiaries of international trade are more productive countries.What is the Ricardian Model of Trade The Ricardian model of trade is an economic model that was developed in 1817 by David Ricardo, a British economist.

The model demonstrates how specialization in a country's production and trade between countries can lead to gains from trade. The model is based on the idea of comparative advantage, which states that a country should specialize in the production of goods and services in which it has a lower opportunity cost than other countries.Comparative advantage is a situation in which a country can produce a good at a lower opportunity cost than another country. For example, if a country can produce 1 unit of cloth at a lower opportunity cost than another country, and the other country can produce 1 unit of wine at a lower opportunity cost than the first country, then it is beneficial for the two countries to trade with each other.

The Ricardian model of trade suggests that countries should specialize in the production of goods and services in which they have a comparative advantage. This leads to an increase in the efficiency of production, which results in an increase in output and consumption. In other words, specialization and trade lead to gains from trade.The beneficiaries of international trade are more productive countries. The Ricardian model suggests that countries should specialize in the production of goods and services in which they have a comparative advantage. This means that more productive countries will be able to produce goods and services more efficiently than less productive countries. As a result, they will benefit more from international trade.

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The quality department at an electronics company has noted that, historically, 93% of the units of a specific product pass a test operation, 5% fail the test but are able to be repaired, and 2% fail the test and need to be scrapped. Due to recent process improvements, the quality department would like to test if the rates have changed. A recent sample of 500 parts revealed that 471 parts passed the test, 20 parts failed the test but were repairable, and 9 parts failed the test and were scrapped. (You may find it useful to reference the appropriate table: chi-square table or F table)

a. Choose the appropriate alternative hypothesis for the test.

multiple choice 1

At least one of the pi (i = 1, 2, 3) differs from its hypothesized value.

All pi (i = 1, 2, 3) values differ from its hypothesized value.

b-1. Compute the value of the test statistic. (Round the intermediate calculations to at least 4 decimal places and final answer to 3 decimal places.)

b-2. Find the p-value.

multiple choice 2

p-value 0.10

0.05 p-value < 0.10

0.025 p-value < 0.05

0.01 p-value < 0.025

p-value < 0.01

c-1. At the 5% significance level, what is your conclusion?

c-2. Would your conclusion change at the 1% significance level?

multiple choice 3

No

Yes

Answers

The correct answer is: p-value > 0.10.

a. The appropriate alternative hypothesis for the test is: "At least one of the pi (i = 1, 2, 3) differs from its hypothesized value."

b-1. To compute the test statistic, we need to calculate the expected frequencies under the null hypothesis.

Assuming the null hypothesis is true, the expected frequencies are:

Expected frequency for passing the test: (500) * (0.93) = 465

Expected frequency for failing the test but repairable: (500) * (0.05) = 25

Expected frequency for failing the test and scrapping: (500) * (0.02) = 10

The test statistic for the chi-square test is calculated using the formula:

χ² = Σ [(Oᵢ - Eᵢ)² / Eᵢ],

where Oᵢ is the observed frequency and Eᵢ is the expected frequency for each category.

Using the observed and expected frequencies:

χ² = [(471 - 465)² / 465] + [(20 - 25)² / 25] + [(9 - 10)² / 10]

= [36 / 465] + [25 / 25] + [1 / 10]

= 0.077 + 1 + 0.1

= 1.177 (rounded to 3 decimal places)

b-2. To find the p-value, we compare the test statistic to the chi-square distribution with (3-1) = 2 degrees of freedom. Looking up the p-value in the chi-square table or using statistical software, we find that the p-value is greater than 0.10.

Therefore, the correct answer is: p-value > 0.10.

c-1. At the 5% significance level, since the p-value is greater than 0.05, we fail to reject the null hypothesis. This means there is not enough evidence to conclude that the rates have changed.

c-2. At the 1% significance level, the conclusion would remain the same.

The p-value is still greater than 0.01, so we would still fail to reject the null hypothesis and conclude that there is not enough evidence to suggest a change in the rates.

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Using the terms of the Fraud Triangle, upper management giving everyone in the accounting department a raise except for the staff accountant who is responsible for cash receipts is an example of:

financial pressure for fraudulent operations reporting

financial pressure for misappropriation of assets

rationalization for misappropriation of assets

opportunity for fraudulent operations reporting

Answers

Using the terms of the Fraud Triangle, upper management giving everyone in the accounting department a raise except for the staff accountant who is responsible for cash receipts is an example of: financial pressure for misappropriation of assets.

The Fraud Triangle is a model used to explain the reasoning behind fraudulent behavior. The Fraud Triangle consists of three components: Opportunity, Rationalization, and Financial Pressure.

A staff accountant who is responsible for cash receipts is in a critical position and can embezzle cash quickly, as there are very few internal controls in place for cash receipts, which makes it an excellent opportunity for embezzlement. The staff accountant feels financial pressure because he is not getting a raise even though he has done his job well. As a result, he is now tempted to misappropriate the funds to cover up the gap between his expectations and reality. As a result, this scenario is an example of financial pressure for misappropriation of assets.

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The Managing Director of Muscat Traders LLC, Mr. Humaid said al Harthy, says he is fed up with you, the external auditor. He has frequently complained that the audit provides no benefit to him as Owne

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As per the Companies Act 2013, if a large listed company or its directors are involved in a fraud, the company is mandated to have its financial statements audited. Consequently, the company is required to appoint an external auditor as the internal auditor's opinion is compelled to be qualified.

Why you have to get the audit

The specific criteria and thresholds for mandatory external audits can vary based on factors such as the company's size, nature of business, ownership structure, and other relevant factors. These requirements are typically designed to ensure transparency, financial accountability, and protection of stakeholders' interests.

Therefore, it is important to consult the relevant laws and regulations applicable to Muscat Traders LLC to determine whether they are obligated to have an external audit.

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Question

The Managing Director of Muscat Traders LLC, Mr. Humaid said al Harthy, says he is fed up with you, the external auditor. He has frequently complained that the audit provides no benefit to him as Owner-Manager. During the final audit last year you discovered that Mr.Humaid had been withdrawing funds from the business which he refused to disclose as Directors remuneration and therefore you were obliged to qualify your audit opinion. Mr Ahamed intends to remove you as auditor. Required: (a) Do you think external audit is compulsory for Muscat Traders LLC as per Oman legal requirements? Yes/No.justify your answer.

Rational choice theory assumes that economic agents are rational and self-interested. Based on the evidence from behavioural laboratory experiments (e.g., dictator games), behavioural economists suggest that people are not always self-interested, rather they have intrinsic preferences for others’ well-being (e.g., altruism, inequity aversion). However, some other studies in behavioural economics investigate this further and disentangle the intrinsic preferences into several other factors. Following the discussion in the lecture, state two such studies that try to disentangle the true intrinsic preferences based on dictator games in the lab. Explain clearly and briefly the following: (i) what each study addresses; (ii) brief description of the experimental design; and (iii) intuitive explanations.

Answers

Huit am naj ver los Amos

A couple wants to accumulate GH¢10,000 by December 31, 1999. They make 10 equal annual deposits starting January 1, 1990. If interest is at j1 = 12%, what annual deposit is needed?

Answers

The couple needs to deposit GH¢662.09 annually to accumulate GH¢10,000 by December 31, 1999.

Given that a couple wants to accumulate GH¢10,000 by December 31, 1999, they make 10 equal annual deposits starting January 1, 1990,

and the interest is at j1 = 12%.

We need to calculate the annual deposit required.

Let A be the annual deposit required.

Then, Future value of an annuity is given as, FV = A {(1 + j)n - 1}/j

Where, A = Annual deposit

j = interest rate

n = number of years

FV = Future value

Also,Present value (PV) of the future value (FV) is given as,

PV = FV / (1 + j)n

Where,PV = Present value

Now, according to the question,

A = ?

j = 12%

n = 10

FV = GH¢10,000

PV = A {(1 + j)n - 1}/j × 1 / (1 + j)n

We need to calculate A

Arranging the formula for FV, we get

A = FV × j / {(1 + j)n - 1}

Putting the given values, we get

A = GH¢10,000 × 12% / {(1 + 12%)10 - 1}

Thus, the annual deposit needed is GH¢662.09 (approx)

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If IIROC limits the margin on a stock to 70 percent, initially
how much money would you need to personally invest to purchase
$6,000 worth of BMO stock?
a.
$4200
b.
$6,000
c.
It depends on the price.

Answers

If IIROC limits the margin on stock to 70 percent It depends on the price. Option D is the correct answer.

A self-regulatory organization that oversees all trading activity and investment dealers on Canada’s debt and equity marketplaces is known as the Investment Industry Regulatory Organization of Canada (IIROC).

If IIROC limits the margin on stock to 70 percent, it means that you can borrow up to 70 percent of the purchase price of the stock. if you want to purchase $6,000 worth of BMO stock, you would be able to borrow up to 70% of it then the equation is given as,

= $6,000 × 0.7 = $4,200.

We need to personally invest the remaining 30 percent of the purchase price, which is given as,

= $6,000 - $4,200

= $1,800.

Therefore, The money would you need to personally invest to purchase

$6,000 worth of BMO stock is  $1,800.

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Please answer the following question in project management:
Other macro factors such as weather, environment, etc. that influence the demand in residential and commercial HVAC market in the state of Oklahoma.

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In project management, other macro factors such as weather, environment, etc. influence the demand in residential and commercial HVAC market in the state of Oklahoma. This means that the demand for HVAC systems in the state is higher than in other areas, as people need to have reliable heating and cooling systems to protect themselves from the extreme weather conditions.

These macro factors could include the weather conditions and environmental factors that are specific to the state of Oklahoma. For example, Oklahoma is located in Tornado Alley, which is a region of the United States that experiences more tornadoes than any other part of the country. Other macro factors that can influence the demand for residential and commercial HVAC systems in Oklahoma include changes in the overall economic conditions of the state, changes in population demographics, and changes in building codes and regulations.

Economic conditions in the state can have a direct impact on the demand for HVAC systems, as people are less likely to invest in new systems when they are facing financial hardship. Demographic changes in the state can also have an impact on the demand for HVAC systems, as changes in population density can result in changes in the amount of heating and cooling that is required in a particular area.

Finally, changes in building codes and regulations can have an impact on the type of HVAC systems that are required in new construction projects, which can influence the demand for these systems in the state.

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Valuation) Fingen’s 16-Year, $1,000 Par Value Bonds Pay 12% Interest Annually. The Market Price Of The Bonds Is $1,150 And The Market’s Required Yield To Maturity On A Comparable-Risk Bond Is 9%.A. Compute The Bond’s Yield To Maturity.B. Determine The Value Of The Bond To You, Given Your Required Rate
(Related to Checkpoint 9.2 and Checkpoint 9.3) (Bond valuation) Fingen’s 16-year, $1,000 par value bonds pay 12% interest annually. The market price of the bonds is $1,150 and the market’s required yield to maturity on a comparable-risk bond is 9%.

a. Compute the bond’s yield to maturity.
b. Determine the value of the bond to you, given your required rate of return.
c. Should you purchase the bond? (Options- should/should not. Overpriced/Underpriced


a. What is your yield too majority on the Fingen bonds given the market price of the bonds?
__% (Round to two decimal places.)

Answers

a. The yield to maturity on the bond is 10.15%.

b. The bond is worth $1,045.88 to you given your required rate of return.

c. You should not purchase the bond as it is overpriced.

a. The yield to maturity is a useful method of estimating the expected return on a bond, taking into account any premium or discount to par value and the coupon rate. This calculation assumes that all interest payments are reinvested at the same rate, resulting in a more precise estimate of actual return.

The formula for calculating the yield to maturity is as follows:

YTM = (C + ((FV - PV) / n)) / ((FV + PV) / 2)

Where: C is the annual coupon payment, FV is the face value of the bond, PV is the present value of the bond, n is the number of years to maturity

Substituting the given values, we get;

YTM = (120 + ((1000 - 1150) / 16)) / ((1000 + 1150) / 2) ≈ 10.15%

b. The bond's value is calculated using the present value formula, which is:

PV = C * (1 - (1 / (1 + r)^n)) / r + FV / (1 + r)^n

Where: r is the required rate of return, C is the annual coupon payment, FV is the face value of the bond, PV is the present value of the bond, n is the number of years to maturity

Substituting the given values and using the yield to maturity computed in part a., we get;

PV = 120 * (1 - (1 / (1 + 0.11)^16)) / 0.11 + 1000 / (1 + 0.11)^16 ≈ $1,045.88

c. Since the bond's value is less than the current market price, it is overpriced. Therefore, you should not purchase the bond.

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A director is hired to manage a team that has had issues with productivity efficiency and morale. She takes the time to get to know each of our employees personally learning the strengths weaknesses and ambitions. She spends a part of a day with each employee letting them train her of the jobs so she can understand the day today challenges. She quickly promote experienced employees to the manager role and publicly credits team members important successes. She forms cross departmental alliances that benefit her team and improve the quality of her work for the whole department. the team it becomes more efficient happier and better at solving problems. Identify the type of political power demonstrated by the COO

Answers

In the given situation, the type of political power demonstrated by the COO is "expert power".Expert power is a type of political power that is based on an individual's expertise, knowledge, or skills in a particular field.

In the given situation, the director demonstrates her expert power by taking the time to get to know each employee personally and learning about their strengths, weaknesses, and ambitions.

She also spends a part of the day with each employee to understand their daily challenges. This helps her gain the expertise and knowledge that is required to manage the team efficiently and effectively.

She also promotes experienced employees to the manager role and publicly credits team members important successes.

She forms cross-departmental alliances that benefit her team and improve the quality of her work for the whole department. This further demonstrates her expert power, as she is able to use her knowledge and skills to build cross-departmental alliances that benefit her team and the entire department. As a result of her actions, the team becomes more efficient, happier, and better at solving problems.

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Appleford Sdn Bhd is a furniture manufacturer. It has a small range of products. Its manufacturing processes are characterized by a high level of automation. Appleford Sdn Bhd decides to choose a volume-based cost driver for its indirect manufacturing costs. Which of the following cost drivers is most appropriate? A. The number of units produced. B. The number of machine hours. C. The number of manufacturing batches. D Direct labour hours. A business pays a salesman a basic salary, plus commission based on how much he sells. Which type of cost are the salesman's total earnings? A. Fixed cost B. Variable cost C. Stepped cost D. Mixed cost

Answers

Part 1: The most appropriate cost driver for Appleford Sdn Bhd's indirect manufacturing costs in a high level of automation would be B. The number of machine hours.

Part 2: The salesman's total earnings would be a B. Variable cost.

Part 1: In a highly automated manufacturing process, the usage of machines plays a crucial role in determining the level of indirect manufacturing costs. The number of machine hours represents the amount of time the machines are actively operating during the production process.

Since Appleford Sdn Bhd's manufacturing processes are characterized by a high level of automation, it is logical to choose the number of machine hours as the cost driver for indirect manufacturing costs. The more machine hours used, the higher the indirect manufacturing costs are expected to be.

Part 2: The salesman's total earnings consist of a basic salary plus commission based on how much he sells. The commission portion of his earnings varies directly with the amount he sells. As his sales increase, his commission also increases, resulting in a higher total earnings. Variable costs are costs that change in direct proportion to the level of activity or sales volume.

In this case, the salesman's total earnings are directly tied to the level of sales, making them a variable cost. The basic salary portion of his earnings may be considered a fixed cost, as it remains the same regardless of sales volume, but the commission component is variable. Therefore, the correct answer is B. Variable cost.

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____is the price at which the holder of the option has the right to buy or sell the asset.

Answers

The price at which the holder of the option has the right to buy or sell the asset is called the strike price.

The strike price, also known as the exercise price, is a predetermined price specified in an options contract at which the holder of the option can choose to buy or sell the underlying asset. The strike price is an essential component of options trading and is agreed upon at the time the options contract is created.

For call options, the strike price is the price at which the holder can buy the underlying asset if they choose to exercise the option. If the market price of the asset is higher than the strike price, the holder can profit by purchasing it at the lower strike price.

For put options, the strike price is the price at which the holder can sell the underlying asset if they choose to exercise the option. If the market price of the asset is lower than the strike price, the holder can profit by selling it at the higher strike price.

The strike price plays a crucial role in determining the potential profitability and value of an options contract.

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A large electric utility company spews 62 million tons of greenhouse gases (mostly carbon dioxide) into the environment each year This company has committed to spending $2.1 billion in capital over the next five years to reduce its annual emissions by 6% More will be spent after five years to reduce greenhouse gases further. a. What is the implicit cost of a ton of greenhouse gas? b. If the United States produces 2 billion tons of greenhouse gases each year, how much capital must be spent to reduce total emissions by 4% over the next five years based on your answer in Part (a)? Cons a. The implicit cost of greenhouse gas is $ per ton.

Answers

A large electric utility company spews 62 million tons of greenhouse gases (mostly carbon dioxide) into the environment each year This company has committed to spending $2.1 billion in capital over the next five years to reduce its annual emissions by 6%  will need  $43.04 billion to be spent to reduce total emissions by 4% over the next five years in the United States.

a. To calculate the implicit cost of a ton of greenhouse gas emissions, we divide the total capital expenditure by the reduction in emissions. In this case, the company will spend $2.1 billion over five years to reduce emissions by 6%. Therefore, the implicit cost per ton of greenhouse gas emissions is:

Implicit cost = Total capital expenditure / Reduction in emissions

Implicit cost = $2.1 billion / (0.06 × 62 million tons)

Implicit cost = $5.38 per ton

b. If the United States produces 2 billion tons of greenhouse gases each year and we want to reduce total emissions by 4% over the next five years, we can calculate the capital expenditure required based on the implicit cost per ton calculated in part (a).

Capital expenditure = Reduction in emissions × Total emissions × Implicit cost per ton

Capital expenditure = (0.04 × 2 billion tons) × $5.38 per ton

Capital expenditure = $43.04 billion

Therefore, approximately $43.04 billion must be spent to reduce total emissions by 4% over the next five years in the United States.

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What is the industry abbreviation used for the person in charge of the Accounting Department?
A. GM
B. FOM
C. FC
D. FSD

Answers

The industry abbreviation used for the person in charge of the Accounting Department is C. FC, which stands for Financial Controller. The Financial Controller is a key position within an organization's finance and accounting function.

This role is responsible for overseeing the accounting operations, financial reporting, budgeting, and compliance within the organization.

The Financial Controller plays a crucial role in managing and maintaining the financial health of the company. They are responsible for ensuring accurate and timely financial reporting, implementing financial controls and processes, and analyzing financial data to support decision-making. They also collaborate with other departments and senior management to provide financial insights and strategic recommendations.

The abbreviation FC is commonly used in the industry to refer to the Financial Controller position. It is a recognized abbreviation that allows for clear and concise communication within the business and finance community. The use of standardized abbreviations helps communication, especially in written correspondence, reports, and job titles.

It is important to note that industry abbreviations may vary in different contexts or regions. However, FC is widely understood and accepted as the abbreviation for the person in charge of the Accounting Department, specifically the Financial Controller.

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On June 1, Shamrock, Inc. issues 2,600 shares of no-par common stock at a cash price of $8 per share. Journalize the issuance of the shares. (Credit account titles are automatically indented when amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter for the amounts.)

Answers

To journalize the issuance of the shares of no-par common stock by Shamrock, Inc. on June 1, you would record the following entry:

Date         Account Titles                   Debit           Credit

-----------------------------------------------------------------------------

June 1     Cash                                        $20,800    (2,600 shares x $8)

               Common Stock                                      $20,800

Explanation:

In this transaction, Shamrock, Inc. issues 2,600 shares of no-par common stock at a cash price of $8 per share. The total cash received is calculated by multiplying the number of shares (2,600) by the cash price per share ($8), resulting in $20,800. The amount received from the issuance of shares is recorded as a debit to the Cash account.

The Common Stock account is credited with the same amount, representing the issuance of the shares to the shareholders. This entry reflects the increase in the company's equity due to the issuance of the new shares.

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4. Explain Hofstede’s cultural dimensions. Explain
any two cultural dimensions with examples. (300 words)

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Hofstede's cultural dimensions theory is a framework for cultural analysis, widely utilized in cross-cultural communication and cultural studies. The six cultural dimensions are Power Distance, Individualism vs. Collectivism, Masculinity vs. Femininity, Uncertainty Avoidance, Long-term Orientation vs. Short-term Orientation, and Indulgence vs. Restraint. Below are two of the cultural dimensions

The theory is based on six cultural dimensions that are used to explain and assess cultural differences across different countries, regions, and cultures. The six cultural dimensions are Power Distance, Individualism vs. Collectivism, Masculinity vs. Femininity, Uncertainty Avoidance, Long-term Orientation vs. Short-term Orientation, and Indulgence vs. Restraint. Below are two of the cultural dimensions. Power Distance, this dimension refers to the level of acceptance of hierarchical authority or power between people in a given society.

Societies with high power distance generally accept unequal power distribution and may have strict social hierarchies. For instance, in India, a high power distance society, people tend to accept and follow orders from people in positions of power without questioning their authority. In contrast, in Denmark, a low power distance society, people value equality, and people in positions of power are seen as equals. Individualism vs. Collectivism, this dimension refers to the extent to which people view themselves as independent individuals or as part of a group.

In individualistic societies, people value their personal freedom and independence, while in collectivist societies, people value social harmony and cooperation. For instance, in the United States, an individualistic society, people value personal achievement and self-expression. In contrast, in Japan, a collectivist society, people value group harmony and interpersonal relationships. So therefore framework for cultural analysis created by Geert Hofstede is framework for cultural analysis with six cultural dimensions, that are are Power Distance, Individualism vs. Collectivism, Masculinity vs. Femininity, Uncertainty Avoidance, Long-term Orientation vs. Short-term Orientation, and Indulgence vs. Restraint

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One reason we saw for the firms to have a large size is a large MES (the economies of scale are exhausted at a large level of output). Another reason may be the scope economies (you may want to quickly review section 4.3.1 in chapter 4 of the textbook). Use the ideas of economies of scale and economies of scope to try and explain in short Why are the BC elementary schools small, secondary schools large, and universities very large? (4)
To give you some context,
• a typical elementary school in BC probably has about 80-200 students;
• a typical secondary school in BC probably has about 800-1,500 students;
• SFU has about 30,000 students, UBC about 65,000, UVic about 20,000;
• a typical elementary school teacher teaches everything;
• a typical secondary school teacher specializes in one or two subjects;
• a typical university instructor teaches a subject (specializes in it) and conducts research.

Answers

Economies of scale and economies of scope can be used to explain why BC elementary schools are small, secondary schools are large, and universities are very large. There are several reasons for this:

Elementary schools are small because of economies of scale. A large MES is required for the economies of scale to be exhausted. Elementary schools require little in terms of facilities or staff, which means that small schools can still operate efficiently and economically. Additionally, smaller schools offer a more personalized educational experience for young children.

Secondary schools are large because of economies of scope. Secondary schools require a wide range of facilities and specialized staff to provide a comprehensive education.

Larger schools can offer more specialized courses, sports programs, and extracurricular activities, which can attract more students and increase revenue. Larger schools can also offer a wider range of resources and support services for students and staff, such as counseling services and libraries.

Universities are very large due to both economies of scale and economies of scope. Universities require a significant amount of specialized facilities and staff, including professors, researchers, and support staff.

Larger universities can offer more courses, programs, and research opportunities, which can attract more students and increase revenue. Additionally, larger universities can offer a wider range of resources and support services for students and staff, such as research funding and career services.

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Swed Cougar's Accounting Services provides low-cost tax advice and preparation to those with financial need. At the end of the current period, the company reports the following amounts: Assets-$17,600; Liabilities - $14,300, Revenues $26.600: Expenses-$32.300 Required: 1. Calculate net loss. 2. Calculate stockholders' equity at the end of the period.

Answers

The net loss of Swed Cougar's Accounting Services is  -$5,700 and the stockholders' equity at the end of the period is $3,300

1. Calculation of Net loss:

Net loss refers to the difference between the company's revenue and expenses.

Therefore,

Net loss = Revenues - Expenses

= $26,600 - $32,300

= -$5,700

So, the net loss of Swed Cougar's Accounting Services is $5,700.

2. Calculation of Stockholders' equity at the end of the period:

Stockholders' equity refers to the difference between assets and liabilities.

Therefore,

Stockholders' equity = Assets - Liabilities

= $17,600 - $14,300

= $3,300

Hence, the Stockholders' equity at the end of the period is $3,300.

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Commercial banks differ from other businesses in that both their assets and liability are mostly Select one: a. owned by government b. illiquid C. real d. financial

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Commercial banks differ from other businesses in that both their assets and liabilities are mostly financial.

Unlike other businesses that may have physical assets like inventory, equipment, or property, the primary assets of commercial banks are financial instruments such as loans, investments, and reserves held with other banks. These financial assets generate income for the bank through interest payments and other financial transactions.

Similarly, the liabilities of commercial banks are also financial in nature. They include deposits made by customers, such as checking accounts, savings accounts, and certificates of deposit (CDs). These liabilities represent the funds that the bank holds on behalf of its customers, which can be withdrawn on demand or at a specified maturity date.

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your home insurance policy has a $190 deductible. if a small fire causes $780 damage to your home, what amount of the claim would the insurance company pay?

Answers

The insurance company would pay $590 towards the claim, while the insured would be responsible for paying the remaining $190.

The deductible is the amount that the insured is responsible for paying before the insurance company pays out the claim. It is usually a fixed amount specified in the insurance policy, such as $500 or $1,000.

In this case, the deductible for the insured's home insurance policy is $190. This means that the insured would need to pay the first $190 of the claim out of their own pocket.

The damage caused by the small fire is $780. Therefore, the amount of the claim that the insurance company would pay is the difference between the total damage and the deductible.

That is, $780 - $190 = $590.

The amount of the claim that the insurance company would pay is $590.

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what are the key considerations when evaluating the design and testing of the operating effectiveness of internal controls in conjunction with a financial statement audit?

Answers

When it comes to the financial statement audit, internal control plays a vital role in enhancing the accuracy and reliability of financial reporting. The internal controls can detect errors, frauds, and other irregularities that may exist in the organization.

As an auditor, you should evaluate the design and testing of the operating effectiveness of internal controls to assess the extent to which the internal controls provide reasonable assurance that financial reporting is accurate and reliable. Here are some key considerations for evaluating the design and testing of the operating effectiveness of internal controls in conjunction with a financial statement audit.

1. Understand the entity's internal control system
The auditor should develop a clear understanding of the internal control system of the entity. The auditor should understand the design of the internal control system and evaluate the effectiveness of the system in mitigating the risks associated with the financial reporting process.
2. Evaluate the design of internal control
The auditor should evaluate the design of the internal control system to ensure that the controls are designed to mitigate the risks associated with the financial reporting process. The auditor should also evaluate whether the controls are operating effectively.
3. Test the operating effectiveness of internal controls
The auditor should test the operating effectiveness of the internal control system to determine whether the controls are operating effectively. The auditor should perform tests of controls to assess whether the controls are functioning as intended and are effective in mitigating the risks associated with the financial reporting process.
4. Evaluate deficiencies in internal control
The auditor should evaluate any deficiencies in the internal control system and determine whether the deficiencies are significant enough to affect the auditor's opinion on the financial statements. The auditor should also evaluate whether management has taken appropriate corrective action to address the deficiencies.5. Document the results of the evaluation
The auditor should document the results of the evaluation of the internal control system. The documentation should include the auditor's assessment of the design and operating effectiveness of the internal controls, any deficiencies in the internal control system, and the auditor's conclusion on the effectiveness of the internal control system.
In conclusion, the auditor should consider the above key considerations when evaluating the design and testing of the operating effectiveness of internal controls in conjunction with a financial statement audit. The auditor's evaluation of the internal control system provides assurance to the users of the financial statements that the financial statements are accurate and reliable.

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What Resident Evil games do you guys love and what monster or boss is your favourite inside that game.

a. Resident Evil 1
b. Resident Evil 2
c. Resident Evil 3
d. Resident Evil 4
e. Resident Evil 5
f. Resident Evil Revelations
g. Resident Evil Revelations 2
h. Resident Evil 0
i. Resident Evil 7
j. Resident Evil 1 REmastered
k. Resident Evil 2 REmake
l. Resident Evil 3 REmake

Answers

Answer:

i-

totally business studies

Explanation:

no comment

Answer:

b. Resident Evil 2

Explanation:

Mr X (Tyrant) is my favorite boss in RE2:)

Catnet won 2 months try. She son of receiving of 200.000 now, or she cancetto recret20.000 at the end of each of the next 20 y Gabalecanam nostrant which also should she take? it Gabriele este prezenty the present of the 20-year ondewy a found to the rest of Was the prestasie out the presents en la 000000 How to the newest coat) was word to contact the best answer below) GAL payment Artype

Answers

Catnet has won a 2-month tryout, and she is faced with the decision of receiving R200,000 now or R20,000 at the end of each of the next 20 years. Given that the present value of the 20-year annuity is R209,071.76.

If Catnet takes R200,000 now, this will be a lump sum payment that she can invest in a financial instrument that generates a certain rate of return.

Therefore, we can assume that the R200,000 now is a future value that will be discounted back to the present value using the rate of return.

If the rate of return is 7%, the present value of the lump sum payment will be as follows: PV = [tex]FV/(1+i)^n= R200,000/(1+0.07)^2[/tex]= R165,025.82

On the other hand, if Catnet chooses the R20,000 at the end of each of the next 20 years, this will be an annuity of R20,000 for 20 years, which can be discounted back to the present value using the rate of return.

The present value of the annuity is R209,071.76, this option seems to be better than taking the R200,000 now.

Therefore, Catnet should choose to take R20,000 at the end of each of the next 20 years. Prestasie is an Afrikaans word that means performance or achievement in English.

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