The case of Purple Panda Products Purple Panda Products is considering a new project that will require an initial investment of $4 million. It has a target capital structure of 35% debt, 2% preferred stock, and 63% common equity. Purple Panda has noncallable bonds outstanding that mature in five years with a face value of $1,000, an annual coupon rate of 10%, and a market price of $1,050.76. The yield on the company's current bonds is a good approximation of the yield on any new bonds that it issues. The company can sell new shares of preferred stock that pay an annual dividend of $8 at a price of $92.25 per share. Assume that Purple Panda new preferred shares can be sold without incurring flotation costs. Purple Panda does not have any retained earnings available to finance this project, so the firm will have to issue new common stock to help fund it. Its common stock is currently selling for $22.35 per share, and it is expected to pay a dividend of $1.36 at the end of next year. Flotation costs will represent 8% of the funds raised by issuing new common stock. The company is projected to grow at a constant rate of 8.7%, and they face a tax rate of 40%. Purple Panda's WACC for this project will be: (Hint: Round your answer to two decimal places.) 11.07% O 9.90% 11.65 % 10.49%

Answers

Answer 1

The WACC (Weighted Average Cost of Capital) for Purple Panda's new project will be 11.07%.  Option A is the correct answer.

The WACC represents the average rate of return required by a company to finance its projects. It is calculated by weighting the cost of each component of the company's capital structure (debt, preferred stock, and common equity) by their respective proportions.

To calculate the WACC, we need to determine the cost of each component. Purple Panda's cost of debt is determined by the yield on its existing bonds, which is a good approximation for new bonds. The cost of preferred stock is the dividend yield on the preferred shares. The cost of common equity is calculated using the dividend discount model (DDM) approach, taking into account the expected dividend and the flotation costs associated with issuing new common stock.

By plugging in the relevant values and weights for each component, and considering the tax rate, we can calculate the WACC. In this case, the WACC for Purple Panda's new project is determined to be 11.07%.

Therefore, option A (11.07%) is the correct answer for Purple Panda's WACC for this project.

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Related Questions

Wildhorse Company bottles and distributes B-Lite, a diet soft drink. The beverage is sold for 50 cents per 16- ounce bottle to retailers, who charge customers 75 cents per bottle. For the year 2020, m

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The CVP Income Statement is contained in the attachment that we have here

Howe to get the CVP Income Statement

The attachemnet contains the calculation of he income statement for the given company

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Wildhorse Company bottles and distributes B-Lite, a diet soft drink. The beverage is sold for 50 cents per 16-ounce bottle to retailers, who charge customers 75 cents per bottle. For the year 2020, management estimates the following revenues and costs. Sales $1,850,000 Selling expenses-variable $95,000 Direct materials 470,000 Selling expenses-fixed 54,000 Direct labor 340,000 Administrative expenses-variable 30,000 Manufacturing overhead-variable 360,000 Administrative expenses-fixed 109,000 Manufacturing overhead-fixed 170,000 Prepare a CVP income statement for 2020 based on management's estimates. WILDHORSE COMPANY CVP Income Statement (Estimated) For the Year Ending December 31, 2020

FILL THE BLANK. If Ghana can produce 35 cocoa or 7 gold, while Liberia can produce 32 cocoa or 8 gold. Then will be exporters of cocoa and _____ will be exporters of gold Liberia; Liberia Ghana; Liberia Liberia; Ghan

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If Ghana can produce 35 cocoa or 7 gold, while Liberia can produce 32 cocoa or 8 gold, then Ghana will be exporters of cocoa and Liberia will be exporters of gold.

The given question deals with the comparative advantage of two countries, Ghana and Liberia in the production of two goods - cocoa and gold. The comparative advantage refers to a country's ability to produce a particular good at a lower opportunity cost than another country. Opportunity cost is the cost of producing one good in terms of foregone production of the other good.

The country which has the lower opportunity cost of producing the good has a comparative advantage in its production In this case, Ghana has a lower opportunity cost of producing cocoa as compared to Liberia. This means that Ghana has a comparative advantage in the production of cocoa over Liberia. Whereas Liberia has a lower opportunity cost of producing gold as compared to Ghana. This means that Liberia has a comparative advantage in the production of gold over Ghana.

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Which of the following would be an effective means of benchmarking?
a. Comparing the city's key ratios to those of special purpose governments in the area
b. Comparing current-period ratios to published medians of the same ratios for cities of similar size or in the same geographic region
c. Comparing key ratios to published medians of the same ratios for larger cities in other parts of the country
d. Comparing current-period ratios to estimates for future periods

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Comparing current-period ratios to published medians of the same ratios for cities of similar size or in the same geographic region would be an effective means of benchmarking. The correct option is b.

Benchmarking involves comparing an organization's performance or metrics against industry standards, competitors, or peers to identify areas for improvement and set performance targets. In the context of benchmarking for a city, it is essential to compare relevant ratios to meaningful benchmarks. Here's why option b is the most appropriate choice:

b. Comparing current-period ratios to published medians of the same ratios for cities of similar size or in the same geographic region:

This option focuses on comparing the city's current-period ratios to published medians specifically tailored to cities of similar size or within the same geographic region. This approach allows for a more meaningful and relevant benchmarking analysis. Cities in the same region or of similar size may face similar economic, social, and demographic factors that can influence their financial performance.

By comparing to published medians of such cities, the city can gain insights into how its ratios stack up against its peers, identify areas of strength or weakness, and make informed decisions for improvement.

The other options (a, c, d) may have limitations:

a. Comparing the city's key ratios to those of special purpose governments in the area:

Special purpose governments may have different mandates, objectives, and financial characteristics compared to the city, making the benchmarking less relevant for assessing overall performance.

c. Comparing key ratios to published medians of the same ratios for larger cities in other parts of the country:

Comparing to larger cities in different parts of the country may not provide a meaningful benchmark as the economic, demographic, and socio-political contexts could vary significantly, making the comparison less relevant.

d. Comparing current-period ratios to estimates for future periods:

Benchmarking involves comparing actual performance to established benchmarks, and using estimates for future periods may not provide accurate or reliable comparisons.

In conclusion, option b, comparing current-period ratios to published medians for cities of similar size or in the same geographic region, would be the most effective means of benchmarking as it provides relevant and comparable data for performance evaluation and improvement.

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Please answer the following question in project management:
Macro-economic factors influencing the volume and direction of the demand in the residential and commercial HVAC market in the state of Oklahoma.

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Given statement solution is :- In project management, understanding the macro-economic factors that influence the demand in a specific market is essential for making informed decisions and developing effective strategies.

In project management, understanding the macro-economic factors that influence the demand in a specific market is essential for making informed decisions and developing effective strategies. When it comes to the residential and commercial HVAC (Heating, Ventilation, and Air Conditioning) market in the state of Oklahoma, several macro-economic factors can impact the volume and direction of demand. Some of these factors include:

Economic Growth: The overall economic growth of Oklahoma, as measured by factors such as gross domestic product (GDP), employment rates, and disposable income, can significantly influence the demand for residential and commercial HVAC systems. During periods of economic expansion, there is typically increased construction activity and higher consumer spending, leading to greater demand for HVAC installations and replacements.

Construction and Real Estate Market: The level of construction activities and the state of the real estate market have a direct impact on the demand for HVAC systems. Residential HVAC demand is closely tied to housing construction and renovation projects, while commercial HVAC demand is influenced by the construction of new commercial buildings, office spaces, and retail centers. Fluctuations in the construction and real estate market can affect the volume and direction of demand for HVAC systems.

Energy Prices: Energy prices, particularly the cost of electricity and natural gas, can influence the demand for HVAC systems. Higher energy prices can make energy-efficient HVAC systems more attractive to consumers, as they offer potential energy cost savings. Additionally, energy efficiency regulations and incentives can further impact the demand for HVAC systems by encouraging the adoption of more efficient technologies.

Climate and Weather Patterns: The climate and weather conditions in Oklahoma can significantly impact the demand for HVAC systems. Extreme temperatures, both in summer and winter, drive the need for efficient cooling and heating solutions. Unpredictable weather patterns, such as heatwaves, cold spells, or severe storms, can create sudden surges in HVAC demand as customers seek to repair or upgrade their systems.

Government Regulations and Incentives: Government policies, regulations, and incentives related to energy efficiency, environmental sustainability, and building codes can influence the demand for HVAC systems. Incentives such as tax credits or rebates for the installation of energy-efficient HVAC systems can stimulate demand. Likewise, regulations that mandate specific energy performance standards can drive market demand towards more efficient and environmentally friendly HVAC solutions.

Technological Advancements: Technological advancements in HVAC systems, such as the development of smart thermostats, energy management systems, and more efficient equipment, can influence the demand for HVAC installations and replacements. Customers may be motivated to upgrade their systems to benefit from improved comfort, energy savings, and enhanced control over their HVAC systems.

Demographic Factors: Demographic factors, such as population growth, age distribution, and household formation rates, can impact the demand for residential and commercial HVAC systems. An expanding population, increasing urbanization, and shifts in household sizes can drive the need for new installations and replacements to accommodate growing demand.

By considering these macro-economic factors, project managers can gain insights into the volume and direction of demand in the residential and commercial HVAC market in Oklahoma. This understanding can inform decision-making processes, such as resource allocation, marketing strategies, and project planning, to effectively address market dynamics and capitalize on opportunities.

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If the increment of the for statement is ________ then the loop counts ________.
a.true, downwards
b.false, downwards
c.positive, downwards
d.negative, downwards

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If the increment of the for statement is negative then the loop counts downwards.

What is  loop counts ?

A counting loop, also known as a counter-controlled loop, is a loop where the number of repetitions is known in advance. The first two of the examples before are counting loops.

The count loop uses a variable to keep track of which iteration it is currently in. The variable's name can be anything you choose; "i" is the default.

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Standard Costs and Planning for estion 8 of 11 1) < > Your answer is correct. Carper was presented with a second capital investment that provided similar production facilities as the first one. This investment cost $405.000, had a useful life of 7 years with a salvage value of $15.000. Depreciation is by the straight-line method. During the life of the investment, annual net income and net annual cash flows are expected to be $26.460 and $81.000 respectively. Carper's 7% cost of capital is also the required rate of return on the investment. Compute the cash payback period. (Round answer to 0 decimal places, e.g. 25.) Cash payback period (c2) e Textbook and Media Compute the annual rate of return. (Round answer to 2 decimal places, e.g. 15.25%) Annual rate of return Save for Later 5 years % 1.43/2.5I Attempts: 1 of 2 used: 4 Attempts: 0 of 2 used Subenit Answer (C3) The parts of this question must be completed in order. This part will be available when you complete the part above

Answers

The cash payback period for Carper's second capital funding is approximately 5 years.

The coin's payback period is an economic metric that facilitates assessing the time it takes to recoup the initial investment in a capital challenge or investment. In this example, we are able to calculate the cash payback duration for Carper's second capital investment.

The 2nd capital investment has a value of $395,000 and a beneficial life of 7 years. At the top of its beneficial existence, it will have a salvage fee of $15,000. The depreciation approach used is the immediately-line method, this means that the same quantity is depreciated every 12 months.

To calculate the annual depreciation expense, we subtract the salvage value from the initial cost and divide it with the aid of the beneficial life:

Annual Depreciation Expense = (Initial Cost - Salvage Value) / Useful Life

Annual Depreciation Expense = ($395,000 - $15,000) / 7

Annual Depreciation Expense ≈ $55,000

Now that we realize the annual depreciation rate, we are able to calculate the net annual cash flows. The net annual coins go with the flow is the difference between the yearly net income and the annual depreciation cost:

Net Annual Cash Flow = Annual Net Income + Annual Depreciation Expense

Net Annual Cash Flow = $22,960 + $55,000

Net Annual Cash Flow = $77,960

Next, we need to calculate the cash payback length. The cash payback length is the time it takes for the cumulative Internet annual cash flows to be identical to or exceed the preliminary funding.

To calculate the coin's payback length, we divide the preliminary funding by using the net annual cash float:

Cash Payback Period = Initial Investment / Net Annual Cash Flow

Cash Payback Period = $395,000 / $77,960

Cash Payback Period ≈ 5 years (Rounded to 0 decimal places)

Therefore, the cash payback period for Carper's second capital funding is approximately 5 years. In this approach, it'll take around 5 years to recoup the preliminary investment based on the Internet annual cash flows.

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The correct question is:

which type of restriction on quantity of imports is the most transparent? which type of restriction on quantity of imports is the most transparent? quota government procurement policies voluntary export restraints licensing requirements

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Among the types of restrictions on the quantity of imports, voluntary export restraints are generally considered the most transparent. Voluntary export restraints involve an agreement between the exporting and importing countries, where the exporting country voluntarily restricts the quantity of goods it exports to the importing country.

Voluntary export restraints are often seen as transparent because they involve a mutually agreed-upon arrangement between two countries. Both parties are aware of the restrictions being imposed, and the terms and conditions of the agreement are typically publicly disclosed. This transparency allows businesses and consumers to anticipate and plan for the limitations on imports.

In contrast, other types of restrictions on the quantity of imports may be less transparent. Quotas, for example, involve a fixed limit on the quantity of imports allowed, but the criteria for allocation and the decision-making process can be less clear. Government procurement policies, which prioritize domestic suppliers for government purchases, may also lack transparency if the criteria for selection are not clearly defined or open to public scrutiny.

Licensing requirements, on the other hand, can vary in transparency depending on the specific regulations and procedures in place. Licensing processes may involve a set of rules and criteria that importers must meet, but the level of transparency can vary from country to country. In some cases, the licensing requirements may be clear and publicly available, while in others, they may be opaque or subject to discretion.

In summary, voluntary export restraints tend to be the most transparent type of restriction on the quantity of imports due to the explicit agreement between countries and the public disclosure of terms. However, it is important to note that the level of transparency can vary within each type of restriction depending on the specific regulations and practices implemented by different countries.

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Assume that all banks are subject to a uniform 10 percent reserve requirement. A commercial bank receiving a new checkable (demand) deposit of $100 would be able to extend new loans in the amount of:
Group of answer choices
$10.
$90.
$100.
$1,000.

Answers

A commercial bank receiving a new checkable deposit of $100 would be able to extend new loans in the amount of $90.

The reserve requirement is the percentage of deposits that banks are required to hold as reserves and not loan out. In this case, the uniform reserve requirement is 10 percent.

When a new deposit of $100 is received, the bank is required to hold 10 percent of that amount as reserves. Therefore, the bank must hold $10 as reserves and can extend new loans using the remaining $90.

The bank is allowed to loan out a portion of the deposit because only a fraction is required to be held as reserves. In this case, the bank can extend new loans in the amount of $90, as $10 is reserved to meet the 10 percent requirement.

Hence, the correct answer is $90, as the bank can utilize $90 of the $100 deposit for new loans, while $10 is kept as required reserves.

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Congress would like to increase tax revenues by 5.5 percent. Assume that the average taxpayer in the United States earns $56,000 and pays an average tax rate of 20 percent. a. If the income effect is in effect for all taxpayers, what average tax rate will result in a 5.5 percent increase in tax revenues? (Round your answer to 2 decimal places.)

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If the income effect is in effect for all taxpayers, the average tax rate that will result in a 5.5 percent increase in tax revenues is 21.1%.

The average taxpayer in the United States earns $56,000 and pays an average tax rate of 20 percent. Congress would like to increase tax revenues by 5.5 percent. We need to determine the average tax rate that will result in a 5.5 percent increase in tax revenues.

In this case, we can use the formula for calculating tax revenues:

Tax Revenues = Average Tax Rate x Tax Base

We know that Congress would like to increase tax revenues by 5.5 percent. Therefore, the new tax revenues will be:

T2 = 1.055T1

where T1 is the old tax revenue and T2 is the new tax revenue.

We know that the average taxpayer earns $56,000 and pays an average tax rate of 20 percent. Therefore, the old tax revenue (T1) will be:

T1 = 0.2 x $56,000 = $11,200

Substituting T1 into the formula for T2, we get:

T2 = 1.055T1 = 1.055 x $11,200 = $11,824

Finally, we can substitute T1, T2, and the old tax base ($56,000) into the formula for calculating the average tax rate and solve for the new tax rate:

Tax Revenues = Average Tax Rate x Tax Base

$11,824 = Average Tax Rate x $56,000

Average Tax Rate = $11,824 / $56,000

Average Tax Rate = 0.211 or 21.1%

Therefore, the average tax rate that will result in a 5.5 percent increase in tax revenues is 21.1%.

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This image of the coronation of Elizabeth II represents what I learned about monarchies because….

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The image of the coronation of Queen Elizabeth II represents what I have learned about monarchies because it showcases the traditional and ceremonial aspects of a monarchical system of government.

Monarchies are forms of governance where a single individual, typically a king or queen, holds supreme power and inherits the position through hereditary means. The coronation ceremony is a significant event that symbolizes the formal ascension of a monarch to the throne.

Firstly, the image highlights the concept of legitimacy and continuity in monarchies. The coronation ceremony signifies the seamless transfer of power from one monarch to the next, based on the principle of hereditary succession. It reflects the belief that the monarch's authority derives from a divine or ancestral right, which has been upheld throughout history.

Secondly, the image demonstrates the ceremonial role of monarchs in society. Monarchs often serve as the symbolic figureheads of their nations, representing unity, tradition, and national identity. The coronation ceremony is a grand spectacle that showcases the monarch's role as the embodiment of the state and its history.

Furthermore, the image reveals the close connection between monarchies and tradition. Monarchies are often deeply rooted in centuries-old customs and rituals, which are preserved and celebrated during significant events like a coronation. These traditions contribute to the sense of continuity and stability associated with monarchies.

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Bill wants to buy a bond. It has a face value of $10,000, a bond rate of 4% (nominal), payable annually, and matures in 10 years. Bill wants to earn a minimum return of 5% per year. How much should Bill pay for the bond?

Answers

Let us calculate how much Bill should pay for the bond. First, we need to calculate the bond price using the formula: Bond price = Annual interest payment / Discount rate. Therefore, Bill should pay $8,000 for the bond.

Where Annual interest payment = Bond rate * Face value of the bond discount rate is the rate that will be used to discount the bond price flows in the future.

It is also referred to as the yield rate. Since we are given the nominal bond rate, we will first convert it to the real rate as follows: Real rate = [(1 + nominal rate) / (1 + inflation rate)] - 1

We are not given the inflation rate so we will assume that it is 2%.Real rate = [(1 + 0.04) / (1 + 0.02)] - 1= 0.0196 or 1.96%

Discount rate = Real rate + Inflation rate= 0.0196 + 0.02= 0.0396 or 3.96%

Annual interest payment = 4% * $10,000 = $400

Bond price = $400 / 0.05= $8,000

Therefore, Bill should pay $8,000 for the bond.

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A company that uses an in-house advertising department might turn its advertising and promotion tasks over to an outside agency to: Select one: a. get more control over the advertising process. b. save money. c. get an objective, fresh look at its advertising situation by someone outside of the company who can come up with different creative ideas. d. make coordination of the advertising and promotional process easier. e. do all of the above. Clear my choice

Answers

Explanation:

think the answer is E all of the Above

the audit procedure which requires the auditor to record the last check number used on the last day of the year and subsequently trace to the outstanding checks and the cash disbursements records is performed to satisfy the audit objective of

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The audit procedure described is performed to satisfy the audit objective of completeness.

Completeness is an audit objective that ensures all transactions and events that should be recorded and disclosed in the financial statements are included. The procedure of recording the last check number used on the last day of the year and subsequently tracing it to the outstanding checks and cash disbursements records helps the auditor verify that all cash disbursements have been properly recorded.

By examining the sequence of check numbers and reconciling them with the recorded transactions, the auditor can determine if any cash disbursements are missing or if there are any unrecorded liabilities. This procedure helps ensure that all relevant cash disbursements are accounted for and included in the financial statements, thus addressing the completeness objective.

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Which of the following is the Profit Equation?

Profit = (Price – Fixed Costs) x Units of Output + Variable Costs

Profit = (Price – Fixed Costs) x Units of Output – Variable Costs

Profit = (Price – Variable Costs per Unit) x Units of Output + Fixed Costs

Profit = (Price – Variable Costs per Unit) x Units of Output – Fixed Costs

Answers

Option (d) is the correct option. The Profit Equation can be defined as the mathematical formula that is used in order to calculate the profit generated from a business venture. It is basically a measurement of how much revenue a business has earned minus the costs of production.

The Profit Equation can be defined as the mathematical formula that is used in order to calculate the profit generated from a business venture. It is basically a measurement of how much revenue a business has earned minus the costs of production. The profit equation is: Profit = (Price – Variable Costs per Unit) x Units of Output – Fixed Costs

In this equation, the variable costs per unit are the costs that are directly associated with the production of one unit. The fixed costs are the costs that are not related to the production of a unit, but are still necessary for the business to function. In order to calculate the profit of a business, the price of the product or service sold is subtracted from the variable costs per unit, and the result is multiplied by the number of units of output.The fixed costs are then subtracted from this result, which gives the profit. The profit equation helps businesses to determine whether or not they are making a profit, and how much money they are making. It is important to note that the profit equation is only one part of the overall financial picture of a business, and other financial metrics such as cash flow and return on investment should also be considered.

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Which of the following is a method the Reserve Bank of Australia can use to conduct a more expansionary monetary policy?
Selling government bonds to banks, which increases banks' reserves
Purchasing government bonds to banks, which decreases banks' reserves
Purchasing government bonds from banks, which increases banks' reserves
Lowering the reserve requirement ratio on banks
Selling government bonds to banks, which decreases banks' reserves

Answers

The Reserve Bank of Australia can use the "lowering the reserve requirement ratio on banks" method to conduct a more expansionary monetary policy. The correct answer is option(d).

Lower the reserve requirement ratio on banks to conduct a more expansionary monetary policy. The Reserve Bank of Australia (RBA) is Australia's central bank, which is in charge of the nation's monetary policy. Monetary policy is a government's or central bank's process of controlling the supply of money in the economy to meet economic objectives such as low inflation, full employment, and economic stability.

The RBA can conduct a more expansionary monetary policy by reducing the reserve requirement ratio on banks. When the reserve requirement ratio is reduced, banks have more funds available to lend to customers, resulting in increased credit and money supply in the economy. This encourages customer spending, which boosts economic growth and contributes to job creation. The reserve requirement ratio, often known as the cash reserve ratio, is a government mandate that requires banks to keep a certain percentage of their total deposits as reserves.

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4 Vehicle Purchases Suppose you want to buy a new vehicle and you have a choice between a used. 2020 Toyota Land Cruiser that costs $15,000 and consumes $2000 of gas per year of use, or a new 2022 Harley Davidson Electra Glide motorcycle that costs $19,000 and consumes $1000 of gas per year. To make things simple, suppose whichever vehicle you purchase, you purchase now (t = 0) and that either vehicle will last you for the next 5 years. Lastly assume that you will pay the gas costs lump-sum at the end of each year (t = 1, 2, 3, 4, 5). Which vehicle is the least cost option when the interest rate is 5%? What if the interest rate were 10%? (40pts total) For full points, you must calculate the present values. I will not accept answers that only list the correct vehicle without providing any evidence.

Answers

1) the used 2020 Toyota Land Cruiser is the least costly alternative when the interest rate is 5%.

2)the new 2022 Harley Davidson Electra Glide is the least costly alternative when the interest rate is 10%.

To calculate the present value of cash flows of different investments in order to compare them, the discounted cash flow (DCF) method is used. It is used to decide whether an investment is profitable or not, and it is based on the principle that money is worth more today than it is tomorrow.

Hence, we need to determine the present value of both alternatives to determine which one is the least cost option.

1) Used 2020 Toyota Land Cruiser

Price of vehicle = $15,000.00

Annual gas costs = $2,000.00

Number of years = 5

Interest rate = 5%

Discount factor = 3.7908

PV of vehicle = -$15,000.00

PV of gas costs = -$7,639.22

Total present value = -$22,639.22

Thus, the used 2020 Toyota Land Cruiser is the least costly alternative when the interest rate is 5%.

2) New 2022 Harley Davidson Electra Glide

Price of vehicle = $19,000.00

Annual gas costs = $1,000.00

Number of years = 5

Interest rate = 5%

Discount factor = 3.7908

PV of vehicle = -$19,000.00

PV of gas costs = -$3,819.90

Total present value = -$22,819.90

Hence, the new 2022 Harley Davidson Electra Glide is the least costly alternative when the interest rate is 10%.

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Suppose that we are drilling an oil well. The drilling rig costs $1800 today, and in one year the well is either a success or a failure. The outcomes are equally likely. The discount rate is 3%. The PV of the successful payoff at time one is $3100. The PV of the unsuccessful payoff at time one is $0. Now, we know that the rig can be sold for $2900 in a year. When we include the value of the option to abandon, the NPV of this drilling project should be (keep two decimal places): ____________

Answers

The NPV of this drilling project, including the value of the option to abandon, is $4035.95.

To calculate the net present value (NPV) of the drilling project, we need to consider the present value of the cash flows associated with both the successful and unsuccessful outcomes.

For the successful outcome, the present value (PV) of the payoff at time one is given as $3100. Since the discount rate is 3% and the time horizon is one year, the present value can be calculated as $3100 / (1 + 0.03) = $3019.42.

For the unsuccessful outcome, the PV of the payoff at time one is $0.

Next, we consider the value of the option to abandon. This option allows us to sell the drilling rig for $2900 in a year. Since we have the option to abandon the project, the value of this option is equal to the proceeds from selling the rig, discounted back to the present. Therefore, the PV of the option to abandon is $2900 / (1 + 0.03) = $2815.53.

Finally, we can calculate the NPV by subtracting the initial cost of the drilling rig ($1800) from the sum of the PVs of the successful payoff, unsuccessful payoff, and the option to abandon: $3019.42 + $0 + $2815.53 - $1800 = $4035.95.

Therefore, the NPV of this drilling project, including the value of the option to abandon, is $4035.95.

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AirAsia faced several challenges during the COVID-19 pandemic and it found ways to overcome them. The airline faced several challenges such as flight cancellations, decrease in demand, loss of new customers, and paying huge amounts of refunds. AirAsia used undertook four main initiatives such as (i) controlling the operational cost (ii) exploring new businesses (iii) carrying out promotions (iv) applying for bank loans and weighing new proposals. Elaborate with examples the FOUR initiatives undertaken by AirAsia. The number of words of your answer for this assignment should not be more than 1000 words. Cite the sources from which you retrieved your information

Answers

The four initiatives undertaken by AirAsia to face several challenges during the COVID-19 pandemic including controlling the operational cost by cancelling flights not generating profits, exploring new businesses such as cargo services, carrying out promotions such as BIG Sale campaigns, and applying for bank loans and weighing new proposals to secure funding such as issuing bonds and selling shares.

AirAsia is a well-known low-cost airline operating in several countries around the world. Like many other airlines, it was severely affected by the COVID-19 pandemic. However, the airline used several initiatives to overcome the challenges and stay afloat. Here are the four initiatives undertaken by AirAsia:

1. Controlling the operational cost: One of the first initiatives taken by AirAsia was to cut down its operational costs. The airline canceled several flights that were not generating profits and reduced the frequency of some others. It also renegotiated its lease agreements and postponed aircraft deliveries. This helped the airline to reduce its costs and save money.

2. Exploring new businesses: Another initiative taken by AirAsia was to explore new businesses to generate revenue. The airline started offering cargo services to transport essential items such as medical supplies and food. It also launched AirAsia Food to deliver meals to customers in Malaysia and AirAsia Shop to sell duty-free products online.

3. Carrying out promotions: AirAsia also carried out promotions to attract customers and increase sales. The airline offered discounts on flights and packages to encourage people to travel. It also launched BIG Sale campaigns, where customers could book flights at very low prices. These promotions helped the airline to increase its sales and revenue.

4. Applying for bank loans and weighing new proposals: Finally, AirAsia applied for bank loans and weighed new proposals to secure funding. The airline received a loan of RM300 million from Sabah Development Bank to fund its operations. It also explored other financing options, such as issuing bonds and selling shares. These initiatives helped the airline to secure the funding it needed to stay afloat during the pandemic.

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•Satellite Products, Inc. owns two subsidiaries, Saturn Systems and Neptune Audio.

•Saturn supplies printed circuit boards used by Neptune Audio for radios production (1 board for each radio unit). Neptune receives 20,000 boards from Saturn annually.

•The market price of these boards is $40. Their total variable cost of production is $20. The market price of the radios is $105. The unit variable cost of the radio is $30 excluding the cost of the circuit board.

•Saturn Systems is currently operating at full capacity of 35,000 boards per year (including those transferred to Neptune Audio). Demand for the boards is strong and all 35,000 could be sold to outside customers. Saturn uses the full market price as the transfer price charged to Neptune Audio.

•The manager of Neptune Audio argues that Saturn Systems benefits from intercompany transfers because of reduced advertising and other selling costs. Thus, he wants to negotiate a lower transfer price of $35.

1-Calculate the contribution margins for the two subsidiaries using the $40 transfer price.

Answers

The contribution margin for Saturn Systems is $400,000, and the contribution margin for Neptune Audio is $700,000.

Given, the market price of printed circuit boards is $40. The total variable cost of production is $20. The market price of radios is $105. The radio's unit variable cost, excluding the cost of the circuit board, is $30. Every year, Saturn sends 20,000 boards to Neptune Audio. Saturn is now using all of its 35,000 annual board capacity (including those that have been moved to Neptune Audio). Saturn charges Neptune Audio a transfer fee based on the full market price.

A) Calculating the Saturn Systems' Contribution Margin Selling price minus variable costs is the contribution margin. Printed circuit board contribution margin is $40 minus $20.

Printed circuit board contribution margin is equal to $20.

Contribution Margin for Saturn Systems is calculated as follows: 20,000 * $20 = $400,000.

B) Calculation of Neptune's Contribution Margin Audio Radio Unit Contribution Margin = $105 - $30 - $40

Contribution Margin of Radio Unit = $35

Neptune Audio's contribution margin is $20,000 * $35, or $700,000.

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What monthly deposit must be made in order to accumulate 74,136
dollars in 9 years if a fund pays 8% per year, compounded monthly?
Assume that deposits are made at the end of each month.

Answers

The monthly deposit that must be made to accumulate $74,136 in 9 years at an 8% interest rate compounded monthly is approximately $493.71.

To accumulate $74,136 in 9 years with an 8% interest rate compounded monthly, a monthly deposit of approximately $493.71 must be made.

To calculate this, we can use the formula for the future value of an ordinary annuity, which is FV = P * [(1 + r)^n - 1] / r. In this case, the future value (FV) is $74,136, the interest rate (r) is 8% per year (0.08/12 = 0.0066667 per month), and the number of periods (n) is 9 years * 12 months = 108 months.

By plugging these values into the formula, we can solve for P, which represents the monthly deposit. The calculated value of P is approximately $493.71.

Therefore, a monthly deposit of approximately $493.71 is required to accumulate $74,136 in 9 years with an 8% interest rate compounded monthly, assuming deposits are made at the end of each month.

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How, according to Otteson, is the model of honorable business contrary to human nature? (Bit Hint: The answer does not require describing his "small group species" hypothesis. Otteson summarizes the answer in just a couple of succinct sentences. The answer will explain the way in which Otteson thinks that markets and business are – as Marx claimed – an alienating force.)

Answers

According to Otteson, the model of honorable business is contrary to human nature because markets and businesses, as Marx claimed, are an alienating force. Otteson believes that humans are social animals, and we thrive in small groups where we can know and trust each other.

However, markets and businesses are based on impersonal interactions between strangers, which leads to a lack of trust, mutual suspicion, and exploitation. This kind of alienation is harmful to our social and moral well-being, and it is contrary to the model of honorable business that Otteson advocates.

The model of honorable business that Otteson advocates is one that is based on personal relationships and mutual trust. This kind of business is not only more ethical, but it is also more profitable in the long run because it fosters long-term relationships between customers and businesses.

According to Otteson, honorable businesses are those that are committed to creating value for their customers, employees, and society as a whole, rather than just maximizing profits for shareholders.

In summary, Otteson believes that the model of honorable business is contrary to human nature because it goes against our social and moral instincts.

However, he also argues that this kind of business is not only more ethical but also more profitable in the long run because it fosters trust and long-term relationships between customers and businesses.

By promoting this model of business, Otteson hopes to create a more socially and morally responsible business community that is committed to creating value for all stakeholders.

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A company has an equity stock portfolio with current market value of $2,000,000. The portfolio consists of 75% investment in the Stock AAA and 25% investment in the Stock BBB. The company is estimating potential future losses of its portfolio if stock market fluctuates significantly. The company adopts analytical Value-at Risk (VaR) method to assess its exposure to equity market risk. For the Stock AAA, expected monthly returns is 5% and standard deviation of monthly returns is 8%. For the Stock BBB, expected monthly returns is 3% and standard deviation of monthly returns is 6%. The correlation of monthly returns between the Stock AAA and the Stock BBB is 0.60. Required:

1) Determine the absolute monthly VaR at the 95% confidence level.

2) Determine the relative quarterly VaR at the 99% confidence level.

Answers

Absolute Monthly Va R at the 95% Confidence Level Va R is used to estimate potential losses over a specified period of time with a certain degree of statistical confidence. The Va R at the 95% confidence level is calculated by the following formula:VaR95% = -(Mean Monthly Return + Z Score * Standard Deviation of Monthly Returns)

Where, Z Score = 1.65

(at 95% confidence level)

For Stock AAA Mean Monthly Return = 5%

Standard Deviation of Monthly Returns = 8%

Z Score = 1.65

VaR95% = -(5% + 1.65 * 8%) = -17.2%For Stock BBB: Mean Monthly Return = 3%Standard Deviation of Monthly Returns = 6%Z Score = 1.65VaR95% = -(3% + 1.65 * 6%) = -13.3%2) Relative Quarterly Va R at the 99% Confidence Level The relative Va R is expressed as a percentage of the portfolio's market value.

The relative VaR at the 99% confidence level is calculated as follows:

Relative VaR = Absolute VaR / Portfolio's Market ValueRelative Quarterly VaR at 99%

Confidence Level = (75% * VaR(AAA) + 25% * VaR(BBB)) / Portfolio's Market Value Where,

Portfolio's Market Value = $2,000,000

For Stock AAA:VaR

(AAA) = -17.2%For Stock BBB:VaR(BBB) = -13.3%Relative Quarterly VaR at 99% Confidence Level = (75% * -17.2% + 25% * -13.3%) / $2,000,000 = 0.00047 or 0.047%

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D Question 5 a = 1 is the exponential smoothing model equivalent to the O Double ExponentialSmoothing O Dummy Variable Regression O Random Walk O Naive forecasting model? 0.05 pts

Answers

The exponential smoothing model equivalent to a = 1 is the Naive forecasting model.

Naive forecasting is a time series forecasting method in which the prediction for the next period is the actual value of the present period. This is an example of a basic model that is simple to compute and offers a simple baseline forecast. It is often utilized as a benchmark for more complicated models' predictive accuracy. The exponential smoothing model is a forecasting approach that considers the weighted average of previous periods' actual data.

A smoothing constant, often known as alpha (a), is employed to manage the effect of previous period actual values on the current forecast. The values are smoothed as a result of this, removing any noise in the series and allowing for better pattern detection. The exponential smoothing method is classified into three different types, depending on how many time series components it considers.

They are as follows: Simple Exponential Smoothing: This approach considers only the level component in a time series. Double Exponential Smoothing: This approach takes into consideration both the level and trend components in a time series. Triple Exponential Smoothing: This approach considers all three time series components: level, trend, and seasonality.

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If Dave had borrowed $100 for one year at an APR of 4 percent, compounded monthly, what would have been his monthly loan payment? Use Exhibit 1B-4. (Do not round your intermediate calculations

Answers

If Dave had borrowed $100 for one year at an APR of 4 percent, compounded monthly, Dave's monthly loan payment would be $2.83.

Given that Dave borrowed $100 for one year at an APR of 4%, compounded monthly, we need to determine the monthly loan payment. Exhibit 1B-4 is the table of "Present Value of Annuity of $1 per Period."

The formula used:

The formula to calculate the monthly payment for a loan, compounded monthly is as follows:

PV = (PMT / r) × [1 − (1 / (1 + r)n)]

where PV is the present value of the loan,

PMT is the payment to be made per period,

r is the rate of interest per period, and n is the total number of periods

Substituting the values in the above formula, we get:

100 = (PMT / (0.04/12)) × [1 − (1 / (1 + (0.04/12))^(1 × 12))]100

= (PMT / 0.0033333) × (1 − (1 / 1.0404))100

= (PMT / 0.0033333) × 0.1175249PMT / 0.0033333

= 100 / 0.1175249PMT / 0.0033333 = 850.316877PMT

= 850.316877 × 0.0033333PMT

= $2.83

Hence, Dave's monthly loan payment would be $2.83.

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Australasia Apex Company Statement of financial position (Balance Sheet) as of 30 June 2020 and 2021 ($ in millions) Assets 2021 2020 Liabilities and shareholders’ equity 2021 2020 Current assets Current liabilities Cash $146 $84 Accounts payable $344 $312 Accounts receivable 188 165 Notes payable 196 231 Inventory 422 393 Total $540 $543 Total $756 $642 Non-current assets Property, plant and equipment $2889 $2731 Non-current debt $457 $531 Shareholders’ equity Ordinary shares $550 $500 Retained earnings 2089 1799 Total $2639 $2299 Total assets $3636 $3373 Total liabilities and shareholders’ equity $3636 $3373 Statement of profit or loss for Australasia Apex Company for the year 2021($ in million) Sales Revenue $2311 Cost of goods sales 1344 Depreciation 276 Earnings before interest and taxes (EBIT) $691 Interest paid 141 Profit before tax $550 Taxes 115 Profit for the period (Net Income) $435 Dividends $145 Addition to retained earnings 290 3 Required: Using the Company’s above Statement of financial position and Statement of profit or loss, answer the following questions: (a) Calculate the net working capital for the year 2021 and comment on the result in the context of the company’s financial position. (b) Calculate cash flow from assets (CFFA) for the year 2021 and comment on the result in the context of the company’s financial position. (c) Write a brief analytical report on the financial position of the company based on the above analysis (approximate 600 words)

Answers

(a) Net working capital for the year 2021 was $ -216 million which indicates that the company has more short-term debts than the short-term assets. Comment: As we know, Net working capital is the difference between current assets and current liabilities of a company. If the current assets exceed current liabilities, the company has positive net working capital which means the company can pay off its debts using its current assets.

However, if the current liabilities exceed the current assets, the company has negative net working capital which means the company might face difficulty in paying off its debts using its current assets. Australasia Apex Company has a negative net working capital of $-216 million which indicates that the company has more short-term debts than the short-term assets. Although it is not a desirable position for the company to have negative working capital, the negative working capital is a result of the company’s acquisition strategy, and also the company’s inventory buildup, which may prove beneficial for the company in the future.(b) Cash flow from assets (CFFA) for the year 2021 was $587 million, which indicates that the company has enough cash flows from its operating and investing activities to meet its obligations of debt. Comment: Cash flow from assets (CFFA) is the cash flow generated from the operating and investing activities of a company.

CFFA is an important financial metric that shows whether the company has enough cash flows to meet its obligations of debt. Australasia Apex Company has CFFA of $587 million for the year 2021 which indicates that the company has enough cash flows from its operating and investing activities to meet its obligations of debt. Therefore, the company's financial position is strong, and it has the ability to invest in its long-term projects.(c) Financial analysis of Australasia Apex Company shows that the company's liquidity position is weak due to negative net working capital, which may pose a risk to the company’s short-term debt repayment ability. On the other hand, the company has a strong cash flow position and a strong equity position. The company’s strong cash flow position suggests that the company has the ability to pay off its debts and invest in its long-term projects. The strong equity position of the company indicates that the company has the ability to generate funds from its internal sources which are a good sign for the company's growth and profitability.

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On January 15, Tundra Co. sold merchandise to customers for cash of $41,000 (cost $28,000), Merchandise costing $10,600 was sold to customers for $15,600 on January 17; terms 2/10, n/30 Sales totallin

Answers

The transaction descriptions have corresponding journal entries found below:

.

The Journal Entries

January 15

General Journal

Date | Debit | Credit

------- | -------- | --------

15-Jan | Cash | 41,000

15-Jan | Sales | 41,000

15-Jan | Cost of Goods Sold | 28,000

January 17

General Journal

Date | Debit | Credit

------- | -------- | --------

17-Jan | Accounts Receivable | 15,600

17-Jan | Sales | 15,600

17-Jan | Cost of Goods Sold | 10,600

January 20

General Journal

Date | Debit | Credit

------- | -------- | --------

20-Jan | Accounts Receivable | 299,200

20-Jan | Sales | 299,200

20-Jan | Credit Card Expense | 5,984

20-Jan | Cost of Goods Sold | 203,000

January 25

General Journal

Date | Debit | Credit

------- | -------- | --------

25-Jan | Accounts Receivable | 74,000

25-Jan | Sales | 74,000

25-Jan | Debit Card Expense | 370

25-Jan | Cost of Goods Sold | 49,800

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The Complete Question

On January 15, Tundra Co. sold merchandise to customers for cash of $41,000 (cost $28,000). Merchandise costing $10,600 was sold to customers for $15,600 on January 17, terms 2/10, n/30. Sales totalling $299,200 (cost $203,000) were recorded on January 20 to customers using MasterCard; assume the credit card charges a 2% fee. On January 25, sales of $74,000 (cost $49,800) were made to debit card customers. The bank charges Tundra a flat fee of 0.5% on all debit card transactions. Required: Prepare journal entries for each of the transactions described (assume a perpetual Inventory system). View transaction list Journal entry worksheet 1 2 3 4 5 6 Record the sale of merchandise to cash customers. Note: Enter debits before credits. Date Jan 15 General Journal 7 8 Debit Credit

Help me please.. there is no option on here for Human Resources principals, so I jus clicked business as the subject..

Answers

Answer: A. Traditional Model

Explanation:

Strategic planning enables a company to properly plan out what their long term goals and visions are which would help them in operations because it would give them a view of what they are working towards.

A key part of strategic planning involves knowing the operating environment so as to be able to plan better. If this is not well know, the company should go with a traditional/ basic model that would enable them to plan with minimal knowledge and experience until they know better.

Question 9 The cost of a plant asset includes the purchase price, applicable taxes, purchase commissions, and all other amounts paid to acquire the asset and make it ready for its intended use True O

Answers

True. The cost of a plant asset includes not only the purchase price but also various other expenditures incurred to acquire and prepare the asset for its intended use.

These additional costs may include applicable taxes, purchase commissions, legal fees, transportation costs, installation charges, and any other expenses directly attributable to the acquisition and preparation of the asset.When calculating the cost of a plant asset, it is essential to consider all the expenses incurred to make the asset operational. For example, if a company purchases a piece of machinery for its manufacturing facility, the cost of the asset would include the purchase price paid to the supplier, any taxes associated with the purchase, commissions paid to brokers or agents involved in the transaction, transportation costs to deliver the machinery to the facility, and any installation or setup expenses required to make the machinery ready for use.

Including these additional costs in the asset's cost ensures that the company accurately reflects the total investment made to acquire and prepare the asset. This comprehensive cost calculation is essential for proper financial reporting, depreciation calculations, and assessing the asset's overall value to the organization.

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For each of the following situations use the IS-LM-FX model to illustrate the effects of a shock. For each case, state the effect of the shock on the following variables (increase, decrease, no change, or ambiguous): Y, I, E, C, I, TB. Assume the government allows the exchange rate to float and makes no policy response.

a. Foreign output decreases.

b. Investors expect a depreciation of the home currency.

c. The domestic money supply increases.

d. Government spending increases.

Answers

For each of the following situations use the IS-LM-FX model to illustrate the effects of a shock. For each case, state the effect of the shock on the following variables (increase, decrease, no change, or ambiguous): Y, I, E, C, I, TB. Assume the government allows the exchange rate to float and makes no policy response.

a. Foreign output decreases.

This shock shifts the IS curve to the left, as net exports fall due to lower foreign demand. The LM curve is unchanged. The FX curve shifts to the right, as the home currency depreciates due to lower foreign demand for domestic goods and assets. The equilibrium moves from point A to point B. The effects are: Y decreases, I decreases, E decreases, C decreases, I decreases, TB ambiguous (depends on the elasticity of net exports).

b. Investors expect a depreciation of the home currency.

This shock shifts the FX curve to the right, as investors demand more foreign currency and less domestic currency. The IS and LM curves are unchanged. The equilibrium moves from point A to point B. The effects are: Y increases, I increases, E increases, C increases, I increases, TB decreases.

c. The domestic money supply increases.

This shock shifts the LM curve to the right, as the interest rate falls due to higher money supply. The IS curve is unchanged. The FX curve shifts to the right, as the home currency depreciates due to lower interest rate and lower demand for domestic assets. The equilibrium moves from point A to point B. The effects are: Y increases, I increases, E increases, C increases, I increases, TB decreases.

d. Government spending increases.

This shock shifts the IS curve to the right, as government spending boosts aggregate demand. The LM curve is unchanged. The FX curve shifts to the left, as the home currency appreciates due to higher interest rate and higher demand for domestic assets. The equilibrium moves from point A to point B. The effects are: Y increases, I ambiguous (depends on the crowding-out effect), E decreases, C increases, I ambiguous (depends on the crowding-out effect), TB increases.

About Output

Output devices are devices that can display processing results, data entry results or commands on the computer. Based on the output results, output devices can be classified into: Softcopy Hardcopy.

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Assume a 5%/year compounded annually interest rate. Cash flow in time period 0 is $100 and increases by $100 each time period. Find present value of the cash flow below. HINT: You may want to solve it first ignoring the 100 in year zero and then see how to incorporate it.

Answers

Answer : The present value of the entire cash flow is $2,095.24.

Explanation :

The question is asking for the present value of the cash flow given a 5% annual interest rate compounded annually, a cash flow of $100 that increases by $100 each period and the cash flow is shown below:100 200 300 400 ...

We can calculate the present value of the cash flow using the formula for the present value of an annuity. Since the cash flow starts in period 1, we ignore the cash flow in period 0 and solve the problem for the cash flow starting in period 1. Once we have the present value of the cash flow starting in period 1, we add the present value of the cash flow in period 0.

The formula for the present value of an annuity is: PV = (PMT / r) * [1 - (1 + r)⁻ⁿ]where: PV = present value of the annuity, PMT = the payment amount each period, r = the interest rate per period ,n = the number of periods

Using the values given, we have:

PMT = $100r = 5% / year = 0.05 / yearn = infinity (since the cash flow continues indefinitely)

We can use the formula to calculate the present value of the cash flow starting in period 1:

PV1 = ($100 / 0.05) * [1 - (1 + 0.05)⁻ᶦⁿᶠ⁶⁰]   PV1 = $2,000

We can now calculate the present value of the cash flow in period 0 by discounting it back to period 0 using the same formula:

PV0 = $100 / (1 + 0.05) = $95.24

Therefore, the present value of the entire cash flow is: PV = PV0 + PV1 = $95.24 + $2,000 = $2,095.24.

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