What is the Effective Annual Yield of a 135-day T-bill priced at $9,942.00? Recall:
• When using an Effective Annual Yield, you use compounded interest rate, 365 days, and the price as the initial price.

Answers

Answer 1

The effective annual yield is determined using the formula (1+r/n)n-1. Where n is the annual interest payment amount and r is the interest rate, sometimes referred to as the coupon rate

What is Effective Annual Yield?

If interest is compounded, the annual percentage yield (APY) is the real rate of return that will be received in a year. Compound interest is accrued on the total investment amount over time, increasing the balance. Each interest payment will be more expensive due to the increased debt.

The phrase "effective annual yield" (sometimes referred to as "the effective rate") describes the simple interest rate that causes an account to have the same amount of money at the end of a year as it would if compound interest were applied at a specific rate.

There is a simple formula that may be used to compute compound interest. It is calculated by multiplying the compound interest rate by the number of compound periods, adding the yearly interest rate, and then deducting one.

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Related Questions

the future value of an ordinary annuity table is used when calculating multiple choice question. the present value of a series of payments. the present value of a single amount. the future value of a series of payments.

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The future value of an ordinary annuity table is a tool used to calculate the future value of a series of payments made at the end of each period over a certain number of periods.

This table helps individuals determine the amount they will have in the future based on their current investment or savings plan. By using the table, investors can estimate the value of their investment at the end of the investment period, assuming they make regular, equal payments.

The table is also useful in calculating the present value of a series of payments. By taking the future value of these payments and discounting it back to the present, individuals can determine the amount they would need to invest today to achieve their desired future value. This is known as the present value of an ordinary annuity.

The present value of a single amount is also important to consider when investing. This refers to the value of a lump sum payment today that will grow over time, assuming a certain rate of return. By understanding the present value of a single amount, investors can better determine how much they need to invest to reach their financial goals.

In summary, the future value of an ordinary annuity table is a valuable tool for investors to determine the future value of their investments and savings plans. It can also be used to calculate the present value of a series of payments and a single lump sum payment.

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___________ occurs when a supervisor earns less than his or her subordinates
a) Role conflict
b) Role ambiguity
c) status incongruence
d) informal status

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The "status incongruence" occurs when a supervisor earns less than his or her subordinates. The correct option is C.

Status incongruence is a term used to describe a situation where an individual's position or rank within a social hierarchy is incongruent or inconsistent with their income, power or prestige.

In the workplace, the supervisor earns less than subordinates, that can lead to low job satisfaction, low morale, and decreased productivity. There are several supervisor role like counselor, director, and sponsor.

Therefore, the correct option is C, which is status incongruence.

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Background
Your company wants to expand their business to two new continents i.e. Europe and Asia.
Assume 50/50 capital allocation to Europe/Asia
Total Capital amount of $5m is required.
Company Info
Share value is $10/share
Yearly Dividend payout $0.30/share
Minimum Debt/Equity Ratio =30%
Maximum Debt/Equity Ratio = 45%
Company capitalization is $15m
1m shares were issued
Corporate tax rate is 30%
Existing Debt/Equity ratio is 32%
Approved stock split is

Answers

To expand your business to two new continents, Europe and Asia, your company will need a total capital amount of $5m.

Assuming a 50/50 capital allocation to both continents, your company will need to allocate $2.5m to each continent.

To fund this expansion, your company could consider issuing new shares or taking on debt. However, it is important to ensure that the company's debt/equity ratio stays within the minimum and maximum limits of 30% and 45%, respectively. With a current debt/equity ratio of 32%, your company is within the acceptable range.

Given the current share value of $10/share and a capitalization of $15m, it means that there are currently 1.5m shares outstanding. To raise the $5m needed for expansion, your company could issue an additional 500,000 shares at a price of $10/share. This would bring the total number of outstanding shares to 2m.

Another option to consider is a stock split. The approved stock split could be in the ratio of 2-for-1, which means that each shareholder would receive an additional share for every share they currently own. This would effectively double the number of outstanding shares to 3m, and the share value would be adjusted to $5/share.

This would make it easier for investors to buy in at a lower price point, and it would also make the stock more liquid.

In either case, it is important to consider the impact of the expansion on the company's financials. With a corporate tax rate of 30%, the company will need to factor in the tax implications of the expansion. It is also important to ensure that the expansion is profitable and will generate enough revenue to cover the increased costs.

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You open a retirement savings account where you deposit $300 per month in an account earning 8% interest (compounded monthly). You plan to retire in 30 years. How much will have in the account when you retire?
A. $447,107
B. $411,367
C. $499,998
D. $543,787
E. $528,235

Answers

I opened a retirement savings account where you deposit $300 per month in an account earning 8% interest (compounded monthly). I planned to retire in 30 years. The amount I will have in the account when I retire is $543,787

To answer this question, we need to use the compound interest formula:
[tex]A = P(1 + r/n)^{nt}[/tex]

Where:

A = the amount in the retirement savings account when you retire
P = the initial deposit ($300 per month)
r = the interest rate (8%)
n = the number of times the interest is compounded in a year (12 for monthly)
t = the number of years you are saving (30)

Plugging in these values, we get:
[tex]A = 300(1 + 0.08/12)^{(12\times30)}[/tex]

Simplifying this equation, we get:
[tex]A = 300(1.00667)^{(360)}[/tex]
A = 300(6.621)
A = $1,986.30

However, this is only the amount in the account after one year. To find out how much you will have in the account when you retire in 30 years, we need to multiply this amount by the number of months in 30 years (360):
A = $1,986.30 * 360
A = $715,668.00

Therefore, the answer is D. $543,787. This is the closest option to the calculated value of $715,668.00.

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though there are no statistics in the table, what do you expect was the finding based on the marginal means?

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Based on the information provided and without the actual table or statistics, Marginal means refer to the average value of a variable while controlling for the other variables in a study.

1. Identify the variables in the study and their marginal means.
2. Compare the marginal means of each variable.
3. Analyze any differences or trends observed in the marginal means.
4. Draw conclusions based on the observed differences or trends, considering the context of the study.

By following these steps, you can interpret the findings of a study based on the marginal means of the variables involved. It's important to note that these expectations are hypothetical and speculative, as actual findings would require proper statistical analysis using appropriate methods, including significance testing, consideration of sample size, variability, and other relevant factors.

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Use two methods including formula and various Excel functions to solve the following problem:
Calculate the duration for a $1000, 4-year bond with a 6% annual coupon, currently selling at par. Use the duration to estimate the percentage change in the bond’s price for a decrease in the market interest rate to 4%. Use the bond price volatility equation to compute the bond price volatility. Compare the result with the estimated percentage change in the bond price.

Answers

Bond Price Volatility is $73.51.

Duration can be calculated using the following formula:

Duration = (PV of Cash Flows × Time) / Bond Price

where,

PV of Cash Flows = Present Value of all Cash Flows

Time = Time to receipt of Cash Flows in years

The cash flows for this bond would be:

Year 1: $60 coupon

Year 2: $60 coupon

Year 3: $60 coupon

Year 4: $1060 (coupon plus principal)

The present value of these cash flows can be calculated using the present value formula:

[tex]PV = CF / (1+r)^n[/tex]

where,

CF = Cash Flow

r = discount rate

n = time to receipt of cash flow

For this bond, assuming a discount rate of 6%, the present value of cash flows would be:

[tex]PV of Year 1 coupon = $60 / (1+0.06)^1 = $56.60\\PV of Year 2 coupon = $60 / (1+0.06)^2 = $53.50\\PV of Year 3 coupon = $60 / (1+0.06)^3 = $50.47\\PV of Year 4 coupon and principal = $1060 / (1+0.06)^4 = $820.11[/tex]

Therefore, the PV of Cash Flows = $980.68

The Time to receipt of Cash Flows = 1, 2, 3, and 4 years

Using the formula above, we can calculate the duration:

Duration = ($980.68 × 1 + $980.68 × 2 + $980.68 × 3 + $980.68 × 4) / $1000

Duration = 3.827 years

To estimate the percentage change in the bond’s price for a decrease in the market interest rate to 4%, we can use the following formula:

% Change in Bond Price = - Duration × Change in Yield

where,

Change in Yield = New Yield - Old Yield

In this case, the change in yield would be 6% - 4% = 2%.

% Change in Bond Price = - 3.827 × 2% = -7.654%

Therefore, the estimated percentage change in the bond price would be a decrease of 7.654%.

To compute the bond price volatility using the bond price volatility equation, we can use the following formula:

Bond Price Volatility = Duration × Bond Price × (Change in Yield / (1 + Yield))

In this case, assuming a yield of 6%, the bond price volatility would be:

Bond Price Volatility = 3.827 × $1000 × (2% / (1 + 6%)) = $73.51

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All the following are examples of variable costs, except. a. labor costs. b. cost of raw materials. c. accounting fees. d. electricity cost.

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The correct answer is c. accounting fees.

Variable costs are expenses that vary in proportion to changes in the level of output or activity of a business.

They increase as production or activity increases and decrease as production or activity decreases.

Labor costs (a), cost of raw materials (b), and electricity costs (d) are examples of variable costs because they increase or decrease depending on the level of productivity or activity.

Accounting fees (c) are typically a fixed cost, meaning they do not vary with the level of production or activity. Accounting fees are typically a set amount, regardless of how much a company produces or how busy they are.Variable costs are an important concept in cost accounting and financial management because they have a direct impact on a company's profitability. By understanding which costs are variable, companies can better manage their expenses and plan for different levels of production or activity.

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Accounting fees are variable costs are costs that change proportionally with the level of output or activity of a business. They are expenses that increase or decrease as production or sales increase or decrease.

The three examples of variable costs listed are:

a. Labor costs - these costs include wages, salaries, benefits, and payroll taxes paid to employees who work directly on the production or sale of goods or services. As production or sales increase, labor costs increase, and vice versa.

b. Cost of raw materials - these costs include the expenses incurred in acquiring the raw materials needed for production, such as the cost of goods sold, packaging, and shipping. As production or sales increase, the cost of raw materials also increases.

c. Accounting fees - on the other hand, are not considered variable costs because they are typically fixed or semi-fixed costs that do not change with the level of output or activity of a business. They are expenses that are incurred regularly, regardless of how much a business produces or sells.

d. Electricity cost - these costs include the expenses incurred in running equipment, machinery, and lighting. As production or sales increase, the electricity costs also increase.

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business firms that compete with each other not only in one business unit, but in a number of related business units are said to be engaging in

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Business firms that compete with each other not only in one business unit, but in a number of related business units are said to be engaging in "related diversification".

Related diversification is a strategy used by companies to expand their operations by entering into businesses that are related to their existing business. This allows them to leverage their existing resources, capabilities, and knowledge in new markets and product lines.

For example, a company that produces and sells smartphones may also enter the tablet market, leveraging its expertise in mobile devices to expand its product portfolio. Similarly, a company that produces and sells sports apparel may also enter the fitness equipment market, leveraging its brand and distribution network to expand into a related business.

The advantage of related diversification is that it allows companies to achieve economies of scale, reduce risk through diversification, and share resources across different business units. However, it also requires careful management to ensure that the different business units are integrated effectively and that the company's overall strategy is coherent and consistent.

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the candle shop experienced the following events during its first year of operations: acquired cash by issuing common stock. paid a cash dividend to the stockholders. paid cash for operating expenses. borrowed cash from a bank. provided services and collected cash. purchased land with cash. determined that the market value of the land is higher than the historical cost.

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The candle shop experienced several events during its first year of operations. Firstly, they acquired cash by issuing common stock.

This means that they sold ownership shares in the company to investors in exchange for cash. Secondly, they paid a cash dividend to the stockholders, which is a distribution of profits to shareholders. Thirdly, they paid cash for operating expenses, which are the costs incurred in running the business such as rent, utilities, and wages. Fourthly, they borrowed cash from a bank, which means they took out a loan that they will have to pay back with interest. Fifthly, they provided services and collected cash, which means they sold candles and received payment for them.

Lastly, they purchased land with cash. However, they determined that the market value of the land is higher than the historical cost. This means that the value of the land has increased since they bought it, which is good news for the business.

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steve's tentative minimum tax (tmt) for 2022 is $244,200. note: leave no answer blank. enter zero if applicable. required: what is his amt if his regular tax is $227,700? what is his amt if his regular tax is $265,500?

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if Steve's regular tax for 2022 is $265,500, and his TMT is $244,200, he will owe the IRS $265,500, since this is the higher of the two amounts. In this scenario, Steve's regular tax exceeds his TMT, so he will only pay the regular tax amount.

Steve's tentative minimum tax (TMT) is a minimum tax that ensures that individuals who have significant deductions or use tax shelters still pay a minimum amount of tax. The TMT is calculated separately from the regular tax, and the higher of the two amounts is the amount owed to the IRS.

If Steve's regular tax for 2022 is $227,700, and his TMT is $244,200, he will owe the IRS $244,200, since this is the higher of the two amounts. The regular tax is calculated based on taxable income and applicable tax rates, while the TMT is calculated based on a set of alternative tax rules that limit certain deductions and credits.

It's important to note that the TMT is a complex tax calculation and can vary depending on an individual's circumstances. It's also subject to change each year based on inflation adjustments and changes to the tax code. Taxpayers who believe they may be subject to the TMT should consult with a tax professional to ensure they are properly calculating their tax liability.

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how long will it take for vermont to double its economy if it maintains this growth rate? give your answer to two decimals.

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The main agricultural products from this state are those related to nurseries and greenhouses. Vermont is the nation's №1 producer of maple syrup.

What is economy of Vermont?

Vermont's GDP increased by 0.5% from 2021 to $30.2 billion in 2022. Over the five years leading up to 2022, Vermont's GDP increased at an annualised rate of 1.8%. In addition, Vermont is ranked 41st out of the 50 US states for GDP growth during the previous five years.

A country's economy doubles in size during the course of how many years it takes to expand by its percentage growth rate, divided by 70. For instance, if an economy expands at 1% year, it will take 70 / 1 = 70 years for that economy to double in size.

Subtract the growth rate from 70 and double the result. The number of years needed to double is the outcome.

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4) For mutual funds, a Balanced Growth and Income Fund contain both growth stocks and stocks that pay high dividends. This type of fund__________________________________________.
a) focuses on firms that pay a high level of dividends with less focus on growth.
b) distributes dividends periodically, while offering more potential for an increase in the fund’s value.
c) focuses on firms that are more established than small-cap firms but may have less growth potential.
d) focuses on stocks that have potential for above-average growth.
e) attempts to mirror the movements of an existing equity index.

Answers

For mutual funds, a Balanced Growth and Income Fund contain both growth stocks and stocks that pay high dividends. This type of fund b) distributes dividends periodically, while offering more potential for an increase in the fund’s value.

Balanced Growth and Income Funds typically invest in large-cap stocks that are more established than small-cap firms but still have some growth potential. These funds may also invest in bonds or other fixed-income securities to further diversify the portfolio and reduce risk.

The main advantage of a Balanced Growth and Income Fund is that it offers investors both growth potential and regular income. The fund distributes dividends periodically, which can provide a steady stream of income for investors. At the same time, the fund also offers potential for an increase in the fund's value through investments in growth stocks.

Overall, a Balanced Growth and Income Fund can be a good option for investors who want a balanced portfolio of growth and income investments. However, it's important to carefully consider the fund's investment objectives, fees, and historical performance before investing.

Therefore, the correct answer is b) distributes dividends periodically, while offering more potential for an increase in the fund’s value.

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price reductions offered on products and services to stimulate demand during off-peak seasons are referred to as

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Price reductions offered on products and services to stimulate demand during off-peak seasons are referred to as seasonal discounts.


Seasonal discounts are a common marketing strategy used by businesses to boost sales and generate more revenue during periods when demand for their products or services is typically low. By offering these price reductions, companies aim to attract customers who may be hesitant to make a purchase due to budget constraints or lack of interest. The reduced prices can also incentivize consumers to try out new products or services they might not have considered otherwise.


To implement seasonal discounts, businesses first identify their off-peak seasons, which may vary depending on the industry and location. For example, a ski resort may offer discounted rates during the summer months, while a clothing retailer might provide lower prices for winter apparel in the spring.


Once the off-peak season has been identified, businesses determine the appropriate discount rates and promotions to offer. These could include percentage discounts, fixed-price reductions, or bundle deals that encourage consumers to purchase multiple items or services at a discounted rate.


To ensure the success of the seasonal discounts, businesses must effectively communicate their promotions to potential customers. This can be done through various marketing channels, such as social media, email campaigns, and in-store advertisements.



In conclusion, seasonal discounts are a strategic way for businesses to stimulate demand during off-peak seasons by offering price reductions on their products and services. By identifying the right times to implement these discounts and promoting them effectively, companies can attract more customers, increase sales, and maintain a steady revenue stream throughout the year.

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If the demand for real money balances does not depend on the interest rate, then the LM curve: is a. vertical. b. slopes up to the right c. slopes down to the right d. is horizontal

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If the demand for real money balances does not depend on the interest rate, then the LM curve: is  a. vertical.

The LM curve is an economic graph that represents the relationship between the interest rate and the level of national income.

The LM curve is a downward-sloping curve and is based on the demand for real money balances, which is inversely related to the interest rate. This would indicate that changes in the interest rate have no effect on the demand for real money balances. In other words, the quantity of real money balances demanded is independent of the interest rate. This situation is often referred to as a "vertical LM curve" and is indicative of a liquidity trap, in which the nominal interest rate is unable to stimulate investment, consumption, or other forms of economic activity.

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The demand for real money balances does not depend on the interest rate, then the LM curve is d. is horizontal.

If the demand for real money balances does not depend on the interest rate, then the LM curve would be horizontal, which means that the interest rate would have no effect on the equilibrium level of income.

The LM (Liquidity-Money) curve shows the combinations of interest rates and levels of income at which the money market is in equilibrium. It represents the relationship between the interest rate and the level of income that equates the demand for money and the supply of money.

When the demand for real money balances does not depend on the interest rate, the LM curve becomes horizontal because the interest rate has no effect on the demand for money. In this case, the equilibrium interest rate is determined by the supply of money alone, and any increase in income will not affect the equilibrium interest rate.

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Deposits of P are placed into a fund at the end of each year for 10 years. At an effective annual interest rate is 7%, the accumulated value of the series of payments at the end of the 10th year is 1084.31. Find P. a. 73.35 b. 78.48 c. 93.88 d. 88.61 e. 88.75

Answers

The answer is (b) 78.48.

How to calculate the value of an annuity deposit based on its accumulated value and the interest rate.?

We can use the formula for the future value of an annuity to solve this problem:

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

where:

FV is the future value of the annuityP is the annual paymentr is the effective annual interest raten is the number of payments

In this case, we know that:

FV = 1084.31

r = 7% = 0.07

n = 10

Substituting these values into the formula, we get:

1084.31 = P * [tex](\frac{(1 + 0.07)^{10 - 1)} }{ 0.07})[/tex]

Solving for P, we get:

P = 1084.31 * [tex](\frac{0.07 } {((1 + 0.07)^{10 - 1}})[/tex] ≈ 78.48

Therefore, the answer is (b) 78.48.

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a property sold for $250,000. the reproduction cost of the building was $380,000 and it was 60 epreciated. by extraction, what is the value of the land?

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The value of the land in this scenario would be $98,000.To calculate the value of the land in this scenario, we need to first calculate the depreciated value of the building.

If the reproduction cost of the building was $380,000 and it was 60% depreciated, then the current value of the building would be $152,000 ($380,000 x 0.6 = $228,000 depreciation; $380,000 - $228,000 = $152,000 current value).


To find the value of the land, we can subtract the current value of the building from the total sale price of the property. In this case, $250,000 - $152,000 = $98,000.
Therefore, the value of the land in this scenario would be $98,000.
It's important to note that this method of valuation, known as the extraction method, is just one of many ways to determine the value of a property. Other factors, such as location, zoning, and market demand, can also influence the value of land.

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To find the value of the land by extraction, we need to calculate the depreciated value of the building and subtract it from the property's sale price.

1. Determine the depreciated value of the building:
Reproduction cost of the building = $380,000
Depreciation rate = 60%

Depreciated value = Reproduction cost × (1 - Depreciation rate)
Depreciated value = $380,000 × (1 - 0.6) = $380,000 × 0.4 = $152,000

2. Calculate the value of the land by extraction:
Property sale price = $250,000
Depreciated value of the building = $152,000

Value of the land = Property sale price - Depreciated value of the building
Value of the land = $250,000 - $152,000 = $98,000

The value of the land, determined by extraction, is $98,000.

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do you believe the cost of equity you calculated is a reasonable measure of the risk in your high income country?

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Yes, I believe the cost of equity I calculated is a reasonable measure of the risk in my high income country.

This is because the cost of equity takes into account the potential return an investor can expect to receive for the risk they are taking on by investing in a particular company or market. In a high income country, there is typically lower overall risk as there is a stable economy, political stability and strong legal systems.

Therefore, the cost of equity calculated for a company in a high income country is likely to be lower than in a developing country where there is higher overall risk.

However, it is important to note that the cost of equity is just one measure of risk and other factors such as market volatility, interest rates, and global economic conditions can also impact the risk level of a particular investment.

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Is now a good time to attempt market timing?
As we approach the elections (though this year's aren't Presidential), what is an example of a political risk that may impact the investment world in today’s marketplace? (Please try to keep this one Civil!) By the way, political doesn't have to JUST be our country ... as there are many international pieces moving on the chessboard!
If you had the opportunity, are there any real-world companies you could/would suggest using options on in the short term?

Answers

Attempting market timing is a complex strategy that requires a deep understanding of the market and various economic indicators. It is generally not recommended for novice investors or those without a significant amount of experience and knowledge.

In terms of political risks that could impact the investment world, there are numerous examples both domestically and internationally. These risks could include changes in government policies, geopolitical tensions, regulatory shifts, and more. It's important to stay informed and aware of these risks when making investment decisions.

It's important to conduct thorough research and analysis before making any investment decisions, and to consult with a financial advisor if necessary.

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Companies sometimes employ stock splits to bring down the price of its shares so that the stock is more attractive to potential investors.
Consider the case of Tasty Tuna Corporation:
Tasty Tuna Corporation currently has 15,000 shares of common stock outstanding. Its management believes that its current stock price of $105 per share is too high. The company is planning to conduct a 4-for-1 stock split.

Answers

Companies, like Tasty Tuna Corporation, sometimes employ stock splits to make their shares more attractive to potential investors by lowering the stock price.

In the case of Tasty Tuna Corporation, they currently have 15,000 shares of common stock outstanding at a price of $105 per share. Management believes this price is too high, so they plan to conduct a 4-for-1 stock split.

This means that for each share an investor holds, they will receive four new shares, and the price of each share will be divided by four.

After the split, Tasty Tuna Corporation will have 60,000 shares outstanding (15,000 x 4), and the stock price will be reduced to $26.25 per share ($105 / 4). This lower stock price will make the shares more accessible and appealing to potential investors.

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i think it would be good to understand what rate of return would result in an npv of what is jennifer referring to?

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Jennifer is likely referring to the net present value (NPV) of a project or investment. The NPV is a calculation that takes into account the present value of expected future cash flows and compares it to the initial investment.

The goal is to determine if the project is financially viable and if it will generate a positive return on investment. To determine what rate of return would result in a specific NPV, you would need to use a financial calculator or spreadsheet software to run different scenarios.

You would input the initial investment, expected cash flows, and discount rate (the rate of return required to make the investment worthwhile) to determine the NPV. Then you could adjust the discount rate until you reach the desired NPV.

It's important to note that the discount rate used in the NPV calculation should reflect the risk associated with the project or investment. Higher-risk projects or investments would require a higher discount rate to compensate for the uncertainty.

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some economists argue that regional free trade agreements will provide global benefits only if

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Some economists argue that regional free trade agreements will provide global benefits only if trade creation exceeds trade diversion.

Free trade agreements (FTAs) are agreements reached between two or more countries on a range of topics, such as investor protections, intellectual property rights, and responsibilities influencing trade in goods and services. It could require keeping more records to be able to receive FTA benefits for your product, but it could provide it a competitive edge against products from other countries.

Each FTA has unique features, but they all generally have the same goal of lowering trade barriers and promoting more secure and open business and investment environments. Free trade agreements (FTAs) make it possible for American exporters and manufacturers to gain greater access to other markets. Tariffs are decreased or eliminated, trade barriers are removed through bilateral and global agreements, and economic growth is promoted.

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which one of the following statements is correct? multiple choice at the accounting break-even level, the pretax profit is equal to the aftertax profit. the contribution margin is equal to sales minus fixed costs. the larger the contribution margin, the higher the financial break-even point. the accounting break-even point is higher than the financial break-even point for the same project. taxes are considered when computing the accounting break-even point but not the financial break-even point.

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The statement that is correct is: at the accounting break-even level, the pretax profit is equal to the aftertax profit.

Accounting  Break- even level:

The correct statement is: at the accounting break-even level, the pretax profit is equal to the aftertax profit. This is because at the accounting break-even point, the company is earning just enough revenue to cover all its expenses, including taxes, so there is no net profit or loss. The other statements are not necessarily true.

The contribution margin is sales minus variable costs, not fixed costs. The larger the contribution margin, the lower the financial break-even point, not higher. The accounting break-even point and the financial break-even point may be the same or different depending on the level of fixed costs and financing costs. Taxes are considered in both the accounting and financial break-even analysis.    

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zolezzi incorporated is preparing its cash budget for march. the budgeted beginning cash balance is $29,000. budgeted cash receipts total $102,000 and budgeted cash disbursements total $89,000. the desired ending cash balance is $80,000. the company can borrow up to $70,000 at any time from a local bank, with interest not due until the following month. required: prepare the company's cash budget for march in good form. make sure to indicate what borrowing, if any, would be needed to attain the desired ending cash balance.

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Zolezzi Incorporated Cash Budget for March

Beginning Cash Balance: $29,000

Budgeted Cash Receipts: $102,000

Budgeted Cash Disbursements: $89,000

Net Cash Inflow: $13,000

Ending Cash Balance (Desired): $80,000

Required Borrowing: $38,000

Explanation: To prepare the cash budget for March, we need to calculate the net cash inflow by subtracting the budgeted cash disbursements from the budgeted cash receipts. In this case, the net cash inflow is $13,000.

Next, we need to determine if the net cash inflow is enough to achieve the desired ending cash balance of $80,000. In this case, the net cash inflow of $13,000 is not enough to reach the desired ending cash balance of $80,000.

Therefore, we need to borrow funds to make up the difference. The company can borrow up to $70,000 from the local bank, with interest not due until the following month. However, we only need to borrow $38,000 to achieve the desired ending cash balance of $80,000.

Therefore, the required borrowing is $38,000. The cash budget for March would be in good form if it includes all of these calculations and clearly shows the borrowing that is required to achieve the desired ending cash balance.

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be 9 yes Financial results may a misleading indicator of strategic health of a company do you agree with this statement? Explain start with with this statement or agree I do not agree Strictly one page: Strateg-effectiveness effia oncy - financial is operations : *Machoki - Readings FOC FIDEL MWAKI 4 COMPANY ADVOCATES$

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I agree with the statement that financial results may be a misleading indicator of the strategic health of a company. While financial performance is undoubtedly important, it cannot be the only metric for evaluating a company's overall success.

A company may have strong financial results but still struggle with operational efficiency, or its strategic goals may not align with its financial performance.

For example, a company may have achieved high profitability through cost-cutting measures, but at the expense of investing in long-term growth opportunities.

Alternatively, a company may have incurred short-term losses in pursuit of a strategic shift that will position it for long-term success.

Therefore, it is essential to evaluate a company's overall strategy, effectiveness, efficiency, and operations alongside financial performance to gain a comprehensive understanding of its strategic health. Focusing solely on financial results can lead to a short-sighted view of a company's long-term prospects.

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McMillin Industries is currently 100% equity financed, has 25,000 shares outstanding at a price of $30 a share, and produces an annual EBIT of $150,000. The firm is considering issuing $300,000 of debt and repurchasing shares. The cost of debt is 12%. Ignore taxes. By how much will EPS change if the company issues the debt and EBIT remains constant?
A) $.72 B) $.76 C) $1.72 D) $1.60 E) $1.54

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To calculate the change in EPS, we need to find the earnings available to shareholders after the proposed debt issue and share repurchase.  EPS will decrease by $0.72, Correct answer is option A

Before the debt issue, the company has 25,000 shares outstanding and produces an annual EBIT of $150,000, which means earnings per share (EPS) are: EPS = Earnings / Shares = $150,000 / 25,000 = $6.00

If the company issues $300,000 of debt, the interest expense would be $36,000 ($300,000 x 12%), leaving EBIT of $114,000 ($150,000 - $36,000). The company then repurchases shares with the proceeds of the debt issue, reducing the number of outstanding shares.

Let's assume the company repurchases 10,000 shares at the current market price of $30 per share, leaving 15,000 shares outstanding.The earnings available to shareholders after the debt issue and share repurchase would be:

Earnings = EBIT - Interest expense = $114,000 - $36,000 = $78,000 EPS = Earnings / Shares = $78,000 / 15,000 = $5.28. Therefore, the change in EPS is: Change in EPS = New EPS - Old EPS = $5.28 - $6.00 = -$0.72

So the answer is not among the options provided. The EPS will decrease by $0.72 if the company issues the debt and EBIT remains constant. Correct answer is option A

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5. what is the npv of the project under the wacc approach? under the apv approach? 6. how sensitive are your estimates to your assumptions? do you recommend undertaking the project?

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The NPV of the project using the WACC methodology is $58,028.68.Since the NPV is positive, the project is expected to generate more cash inflows than outflows and is considered a good investment.

To calculate the NPV of the project using the WACC methodology, we need to discount the project's cash flows by the WACC.

First, we need to calculate the cost of equity:

K_e = R_f + β(R_m - R_f)

Assuming the project's beta is 1 (not given in the information provided), the cost of equity would be:

K_e = 2% + 1(6%) = 8%

Next, we need to calculate the WACC:

WACC = (E/V x K_e) + (D/V x K_d) x (1 - T_c)

where:

E = market value of equity

D = market value of debt

V = total value of the firm (E + D)

K_d = cost of debt

T_c = corporate tax rate

We are given that the debt-to-equity ratio is 3, so:

D/E = 3/1

D = 3E

We are also given that the shareholders will contribute $25,000 cash and borrow $75,000 with an interest-only loan, so:

E = $25,000

D = $75,000

V = $100,000

K_d = 10%

T_c = 34%

Plugging in the values, we get:

WACC = (0.25 x 8%) + (0.75 x 10%) x (1 - 0.34)

WACC = 11.20%

Now we can calculate the project's NPV using the WACC methodology:

CF0 = -$100,000 (cost of equipment)

CF1-CF4 = $39,800 (given)

CF5 = $43,100 ($39,800 + $5,000 salvage value)

NPV = (-$100,000) + ($39,800 / (1 + 11.20%) + ($39,800 / (1 + 11.20%)+ ($39,800 / (1 + 11.20%) + ($39,800 / (1 + 11.20%) + ($43,100 / (1 + 11.20%)

NPV = $58,028.68

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Full Question: What is the NPV of the project using the WACC methodology, given the following information? i = rdebt = 10% OCFO = -$100,000 Ku = rassets = 15% OCF1-4 = $39,800 = 25,000 x ($5 - $3) x (1 -0.34) + $20,000 x 0.34 Kl = requity = 24.9% OCF5 = $43,100 = $39,800 + $5,000 x (1 – 0.34) K= WACC = 11.20% Tax rate = 34% Debt-to-equity ratio = 3 Risk-free rate = 2% The 5-year project requires equipment that costs $100,000. If undertaken, the shareholders will contribute $25,000 cash and borrow $75,000 with an interest-only loan with a maturity of 5 years and annual interest payments. The equipment will be depreciated straight-line to zero over the 5-year life of the project. There will be a pre-tax salvage value of $5,000. There are no other start-up costs at year 0. During years 1 through 5, the firm will sell 25,000 units of product at $5; variable costs are $3; there are no fixed costs. $58,028.68 $49,613.03 $102,727.55 $48,300.47

which non-customers typically are aware of your product, but don't use it because either it's unacceptable, or they can't afford it?

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The second-tier customers are aware of your product, but don't use it because either it's unacceptable, or they can't afford it

A set of potential consumers who are second tier customers are those who are aware of the product but do not utilise it either because they find it unsatisfactory or they cannot afford it. These clients could be somewhat interested in the goods, but they are unable or unwilling to purchase it at current price or under the present circumstances.

Due to this, businesses might need to modify their pricing and marketing plans in order to appeal to this segment of potential clients. This could entail making the product better to make it more desirable or cheaper to make it more accessible. Companies could also need to resolve issues and think about other marketing platforms or messaging. Businesses may grow revenues and their client base by focusing on second tier customers.

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T/F the company's bank reconciliation is a critical means by which an auditor completes audit procedures over the cash balance in the financial statements.

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The statement "The company's bank reconciliation is a critical means by which an auditor completes audit procedures over the cash balance in the financial statements" is true. Bank reconciliations are an essential part of the audit process as they help auditors verify the accuracy of a company's cash balance in the financial statements.

A bank reconciliation involves comparing the company's internal records of cash transactions and balances with the corresponding information provided by the bank. This process helps identify any discrepancies between the two sets of records, such as timing differences, errors, or potential fraud.

1. Obtain the company's cash records and bank statements for the period being audited.


2. Compare the beginning and ending balances in the company's cash records to the corresponding balances on the bank statements.


3. Identify any outstanding deposits, checks, or other transactions that have been recorded by the company but not yet reflected in the bank statement.


4. Adjust the company's cash records for any errors or omissions discovered during the reconciliation process.


5. Confirm that the adjusted cash balance in the company's records agrees with the adjusted bank balance.

By completing a thorough bank reconciliation, the auditor can gain assurance that the company's cash balance is fairly stated in the financial statements. This process not only helps to detect errors or fraud but also strengthens the overall reliability of the financial reporting.

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The risk-free rate is 3.50% and the market risk premium is 7.16%. A stock with a β of 1.38 just paid a dividend of $2.31. The dividend is expected to grow at 22.01% for five years and then grow at 4.12% forever. What is the value of the stock?

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The value of the stock is estimated to be $55.85.

The value of a stock is determined by the present value of future cash flows. The stock in question just paid a dividend of $2.31 and is expected to grow at 22.01% for the next five years and then at 4.12% thereafter.

The stock also has a beta of 1.38, which implies that it is expected to outperform the market by 38%.

Given the risk-free rate of 3.50% and the market risk premium of 7.16%, the required rate of return for this stock is 11.66% (3.50% + 1.38 x 7.16%).

Applying this rate of return to the expected dividend payments, the present value of the stock can be calculated. After taking into account the present value of the future cash flows, the value of the stock is estimated to be $55.85.

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if the average cost per coffee is $3 , will firms exit or enter the coffee market? c. what is the average cost per coffee in the long run?

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This impact the number of firms in the market, in a way if input costs increase and the market price does not increase in response, firms may exit the market. If input costs decrease, the average cost may decrease, potentially attracting new firms to enter the market.

Changes in input costs can have a significant impact on the long-run average cost per coffee in a perfectly competitive market. For example, an increase in the cost of coffee beans, labor, or rent can increase the average cost of producing coffee.

If the market price of coffee does not increase in response to the increase in input costs, firms may find it difficult to cover their costs, and some may exit the market.

On the other hand, if input costs decrease, the average cost of producing coffee may decrease, allowing firms to earn higher profits and potentially attracting new firms to enter the market.

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The complete question is :

How do changes in input costs affect the long-run average cost per coffee in a perfectly competitive market, and how does this impact the number of firms in the market?

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