Question 10 10 points You have $100,000 in a mulut hund which is drawing 10% per year. You are planning to purchase a house for $200,000. How long most you want you want to purchase the house wih only the mutual fund? Oa. n = 11 years OB n=12 years Oc n=8 years Od n = 13 years

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Answer 1

Using the future value formula with an annual interest rate of 10%, you would need to leave the $100,000 in the mutual fund for approximately 8 years to purchase the $200,000 house. Answer: Option (C) n = 8 years.

We can use the future value formula to determine how long it will take for the $100,000 in the mutual fund to grow to $200,000, assuming a 10% annual interest rate:

FV = PV x (1 + r)^n

where FV is the future value, PV is the present value, r is the annual interest rate, and n is the number of years.

Plugging in the values we get: $200,000 = $100,000 x [tex](1 + 0.1)^n[/tex]

Simplifying the equation, we get: [tex]2 = (1.1)^n[/tex]

Taking the logarithm of both sides, we get:

[tex]n = log(2) / log(1.1)[/tex]

n = 7.27

Therefore, you would need to leave the money in the mutual fund for approximately 7.27 years to have enough to purchase the house for $200,000. Since we cannot purchase a house for a fraction of a year, the answer would be option (C) n = 8 years.

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Related Questions

17) when company executives buy and sell stock based on private information that they obtainas part of their jobs, they are engaging in insider trading.a) give an example of inside information that might be useful for buying or selling stock.b) those who trade stocks based on inside information usually earn very high rates of return.does this fact violate the efficient markets hypothesis?c) insider trading is illegal. why do you suppose that is?

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a) An example of inside information that might be useful for buying or selling stock could be upcoming financial results or news of a potential merger or acquisition.


b) Yes, those who trade stocks based on inside information usually earn very high rates of return. This fact does violate the efficient markets hypothesis, which states that all publicly available information is already reflected in the current stock price, and therefore it should be impossible to consistently earn abnormal returns.


c) Insider trading is illegal because it gives individuals an unfair advantage over other investors in the market. It undermines the integrity and fairness of the financial system and can lead to a loss of public trust in the market.

It also creates conflicts of interest for company executives who may prioritize their own financial gain over the interests of the company and its shareholders.

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This week you will watch the film, Inequality for All. Thefilm’s creator, Robert Reich, will present a number of charactersand data tables in the documentary. Your job is to decide if youagree with Mr. Reich or not. Your assignment this week will be to participate in an online discussion about the film and its information.
Directions for the Discussion:
1.Watch the film, Inequality for All.
a.Inequality for All Film. If this link is not working for you or the website will not open, email me and I can give you another link.
b.You can also find the film on Netflix if you have a subscription.
c.Also, check the library for a copy.
d.If you cannot access the film for any reason please email me ASAP.
2.Answer the discussion questions in your post. Discussion questions are below. One sentence responses are not adequate and will be graded as such. This assignment is worth a reading assignment and a quiz—do not take it lightly. I will be grading you on the use of cited material. You can have an opinion, but please back it up with facts! These facts can be from material I gave you or from material you read/watched on your own. You cannot start an argument with, "some people think that…" What people? Who? Where? When? I think you get the point.
3.Reply to at least two (2) other posts. Your replies cannot be, "Great point!" or "Nice work." Your reply must be an attempt to further the dialogue with that person. Read this if you need help with online discussions: Write the Perfect Discussion Board Post. This is a heated topic. Please be careful with how you post (don’t troll), and how you respond (don’t mock or belittle others). This is NOT social media. This is an academic, college course where we will respect all viewpoints.
Discussion Questions:
Do you think there is income inequality in the United States? Explain your answer.
Did you think Robert Reich made a good argument or a poor argument for income inequality and how to fix it? Explain.
Reich states that our economy (or Capitalism in general) is run by a set of rules.
a.In your opinion, who do you think makes these rules? Politicians? The wealthy? The average citizen? Explain your answer.
b.In your opinion, who do you think benefits the most from these rules? Politicians? The wealthy? The average citizen? Explain your answer.

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Based on the information presented in the film, there is income inequality in the United States. The data presented shows a significant gap between the wealthy and the rest of the population.

The top 1% holds a disproportionate amount of wealth, while the middle class has been shrinking and struggling financially. It is to believe Robert Reich made a good argument for income inequality and how to fix it. He presented clear data and explained how the current economic system is not working for the majority of Americans. His proposed solutions, such as increasing the minimum wage and strengthening labor unions, seem reasonable and could help alleviate the income gap.

The rules of the economy are primarily made by politicians and the wealthy. Politicians are influenced by campaign donations and lobbying efforts from wealthy individuals and corporations. These groups have a significant amount of power and influence in shaping economic policies.

The wealthy benefit the most from these rules. They have more access to resources and opportunities to increase their wealth, while the average citizen struggles to make ends meet. The rules of the economy are designed to benefit those with wealth and power, rather than promoting equality and fairness for all.

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In a community of 100 individuals every individual’s demand curve for a public good is Q=16-9p, where Q is the quantity of the good, while p is its (tax) price. The marginal cost of producing the good is 35. Calculate the socially optimal amount of the public good.

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The socially optimal amount of the public good is approximately 0.349 units

To calculate the socially optimal amount of the public good, we need to find the aggregate demand and equate it to the marginal cost.

Step 1: Find the aggregate demand.
The individual demand curve is Q = 16 - 9p. Since there are 100 individuals, the aggregate demand is 100 times the individual demand curve: 100Q = 100(16 - 9p) = 1600 - 900p.

Step 2: Equate aggregate demand to marginal cost.
The marginal cost of producing the good is 35. To find the socially optimal amount, set aggregate demand equal to the marginal cost: 1600 - 900p = 35.

Step 3: Solve for p.
900p = 1600 - 35 = 1565.
p = 1565 / 900 = 1.739.

Step 4: Calculate the socially optimal quantity, Q.
Using the individual demand curve, Q = 16 - 9p.
Q = 16 - 9(1.739) = 16 - 15.651 = 0.349.

So, the socially optimal amount of the public good is approximately 0.349 units.

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Overall, Japan's system of political economy in the postwar period has been one most influenced by which set of analytical and theoretical ideas?

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Japan's system of political economy in the postwar period has been most influenced by the analytical and theoretical ideas of developmental state and neo-mercantilism.

The developmental state model emphasizes government intervention and strategic planning to promote economic growth and development, which Japan successfully implemented through its strong bureaucratic system and cooperation between government, industry, and labor.

Additionally, Japan's adoption of neo-mercantilism, which emphasizes exports and a trade surplus, further contributed to its economic success and global competitiveness. These ideas continue to shape Japan's economic policies and strategies today.

In the postwar period, Japan experienced rapid economic growth and industrialization, transforming itself from a defeated nation to a global economic powerhouse.

The developmental state model was instrumental in this process, as the Japanese government played a central role in guiding the allocation of resources, promoting technological innovation, and coordinating economic policies across different sectors of the economy.

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the brs corporation makes collections on sales according to the following schedule: 45% in month of sale 50% in month following sale 5% in second month following sale the following sales have been budgeted: sales april $160,000 may $180,000 june $170,000 budgeted cash collections in june would be: multiple choice $166,500 $170,000 $170,800 $174,500

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The budgeted cash collections for June would be $174,500. The correct answer is $174,500.

To calculate the budgeted cash collections for June, we'll use the given collection schedule and the sales data for April, May, and June.

Step 1: Calculate collections from June sales
45% collected in June: $170,000 * 0.45 = $76,500

Step 2: Calculate collections from May sales
50% collected in June: $180,000 * 0.50 = $90,000

Step 3: Calculate collections from April sales
5% collected in June: $160,000 * 0.05 = $8,000

Step 4: Sum up the collections from all three months
Total collections in June: $76,500 (from June sales) + $90,000 (from May sales) + $8,000 (from April sales) = $174,500

Hence, The correct answer is $174,500.

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steven is an advertising executive at a large auto parts company. he uses his ads recommendations page to help him with strategies to optimize his search ads campaigns. one reason steven values the optimization score is because it makes it possible for him to do what?

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Steven like the optimization score since it enables him to implement advice across a number of tiers of his advertising approach. The Optimization Score's advantage is this.

Thus, the performance of your account is based on its optimization score. An account can perform to its full potential if its optimization score is 100%, which ranges from 0% to 100%. You'll see a score and a list of suggestions to help you improve each campaign along with the score.

The relevant influence of the recommendations that are provided, the history of recent recommendations, and the statistics, settings, and status of your account and campaigns are all taken into account when calculating the optimization score. The overall optimization score of your account is affected by whether you follow or ignore these advice.

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sid's store will pay an annual dividend of $2.15 next year. the company just announced that future dividends will be increasing by 1.5 percent annually. how much are you willing to pay for one share of this stock if your required return is 14 percent?

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We would be willing to pay $17.20 for one share of Sid's store stock, considering your required return of 14% and the given dividend growth rate of 1.5%.

To determine how much you are willing to pay for one share of Sid's store stock, given an annual dividend of $2.15, a dividend growth rate of 1.5%, and a required return of 14%, we will use the Dividend Discount Model (DDM).
The DDM formula is:
P = D1 / (r - g)
Where:
P = the present value of the stock (the amount you're willing to pay)
D1 = the expected dividend in the next year ($2.15)
r = the required return (14% or 0.14)
g = the annual dividend growth rate (1.5% or 0.015)



Step 1: Calculate D1, which is already given as $2.15.
Step 2: Subtract the dividend growth rate (g) from the required return (r):
0.14 - 0.015 = 0.125
Step 3: Divide the expected dividend (D1) by the result obtained in Step 2:
$2.15 / 0.125 = $17.20
So, you would be willing to pay $17.20 for one share of Sid's store stock.

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you have been managing a $5 million portfolio that has a beta of 1.45 and a required rate of return of 16.325%. the current risk-free rate is 4%. assume that you receive another $500,000. if you invest the money in a stock with a beta of 1.65, what will be the required return on your $5.5 million portfolio? do not round intermediate calculations. round your answer to two decimal places.

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The required return on the $5.5 million portfolio, having a beta of 1.65 is 13.669%.

To calculate the required return on the $5.5 million portfolio, we need to first find the new weighted average beta of the portfolio.

The current portfolio has a beta of 1.45, so the proportion of the $5 million portfolio invested in this stock is: $5 million / $5.5 million = 0.9091

The new investment of $500,000 in a stock with a beta of 1.65 will make up the remaining proportion of the portfolio: $500,000 / $5.5 million = 0.0909

The weighted average beta of the new portfolio is:
(0.9091 x 1.45) + (0.0909 x 1.65) = 1.4485

Next, we can use the Capital Asset Pricing Model (CAPM) to calculate the required return on the new portfolio:
Required Return = Risk-Free Rate + Beta x (Market Risk Premium)

The market risk premium is the difference between the expected return on the market and the risk-free rate. We are not given the expected return on the market, so we will assume it is 10%.

Market Risk Premium = Expected Return on Market - Risk-Free Rate
Market Risk Premium = 10% - 4%
Market Risk Premium = 6%

Required Return = 4% + 1.4485 x 6%
Required Return = 13.669%

Therefore, the required return on the $5.5 million portfolio is 13.669%.

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Mary's Dairies is promoting its redesigned website. Last month, the website recorded 10,291 visits in total. Of those, 3,710 visits included 2 pageviews, 3,251 visits included 3 or more pageviews, and all other visits included only a single pageview. Calculate Bounce Rate for the Mary's Dairies website. Report as a percent. Report 25.5%, for example, as "25.5". Rounding: tenth of a percent.

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The bounce rate for Mary's Dairies website is 48.3%.

To calculate the bounce rate, we need to first determine the number of single pageviews. To do this, we can subtract the number of visits with 2 or more pageviews (3,710) and the number of visits with 3 or more pageviews (3,251) from the total number of visits (10,291).

10,291 - 3,710 - 3,251 = 3,330

So, there were 3,330 visits with only a single pageview.

Next, we can calculate the bounce rate using the following formula:

Bounce Rate = (Single Pageview Visits / Total Visits) x 100

Bounce Rate = (3,330 / 10,291) x 100

Bounce Rate = 32.4%

Therefore, the bounce rate for Mary's Dairies website is 32.4%, which we can report as 32.4 (rounded to the nearest tenth of a percent).
To calculate the bounce rate for Mary's Dairies website, you need to find the proportion of visits with only a single pageview out of the total visits.

Total visits = 10,291
Visits with 2 pageviews = 3,710
Visits with 3 or more pageviews = 3,251

Visits with 1 pageview = Total visits - (Visits with 2 pageviews + Visits with 3 or more pageviews)
Visits with 1 pageview = 10,291 - (3,710 + 3,251) = 10,291 - 6,961 = 3,330

Bounce rate = (Visits with 1 pageview / Total visits) * 100
Bounce rate = (3,330 / 10,291) * 100 ≈ 32.4%

The bounce rate for Mary's Dairies website is approximately 32.4%.

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which of the following are reasons why irr continues to be used in practice?multiple select question.businesspeople prefer to talk about rates of return.the irr allows the correct ranking of projects.the irr of a proposal can be calculated without knowing the appropriate discount rate.it is easier to communicate information about a proposal with an irr.

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There are several reasons why IRR (Internal Rate of Return) continues to be used in practice. One of the primary reasons is that business people prefer to talk about rates of return.

IRR is a widely recognized and understood measure of return on investment, making it easier for business people to communicate the potential profitability of a project or investment opportunity.

Another reason why IRR is still commonly used is that it allows for the correct ranking of projects. When comparing multiple investment opportunities, IRR provides a reliable way to determine which projects offer the highest potential return on investment. This makes it easier for businesses to prioritize their investments and allocate resources accordingly.

Additionally, the IRR of a proposal can be calculated without knowing the appropriate discount rate. This is because IRR is based on the cash flows generated by an investment, rather than an external benchmark. As a result, IRR can be a useful tool for businesses that may not have access to accurate or reliable information about the cost of capital or discount rates.

Finally, it is easier to communicate information about a proposal with an IRR. This is because IRR provides a single, easy-to-understand measure of the potential profitability of an investment opportunity. By contrast, other measures of return on investment, such as net present value (NPV), can be more difficult for non-experts to understand or interpret.

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macey, inc.'s investment center had average operating assets of $350,000, revenues of $1,050,000 and net operating income of $70,000. return on investment is blank . multiple choice question. 6.7% 20% 10% 5%

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Return on investment is 20%. This means that for every dollar invested in the investment center, it generated 20 cents in net operating income. A higher ROI indicates better efficiency and profitability of the investment center.

Return on Investment (ROI) is a financial performance measure used to evaluate the efficiency of an investment center. It is calculated as the net operating income generated by the investment center divided by its average operating assets.

In this case, Macey, Inc.'s investment center had an average operating asset of $350,000, revenues of $1,050,000, and net operating income of $70,000.

ROI = Net Operating Income / Average Operating Assets

ROI = $70,000 / $350,000

ROI = 0.2 or 20%

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For a producer of joint products X and Y with total costs CX and CY, an isocost curve: shows points where CX + CY is constant

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An isocost curve is a graphical representation that shows all the combinations of inputs (e.g. labor, materials, equipment) that a producer can use to produce a certain level of output while keeping their total costs constant. In other words, it shows points where the sum of the costs of producing joint products X and Y, CX + CY, is constant.

The slope of the isocost curve represents the relative prices of the inputs and determines the producer's optimal combination of inputs. By finding the tangency point between the isocost curve and the isoquant curve (which shows all the combinations of inputs that can produce a certain level of output), a producer can determine the most efficient combination of inputs to produce joint products X and Y.

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Q3. Consider the following two-stage game: Stage 1: Player 1 moves first to choose either L or R. Stage 2: Player 2 can observe the action of Player 1; they then move simultaneously to choose A or B. The game is given in extensive form as: Stage 2 A b Stage 1 B A (10,10) (0,9) (9,0) (7.7) B DAL Player 1 A 70 B (1,1) (0,2) (2,0) (8,8) Player 1 g Player 2

Answers

The equilibrium number of firms in the after-market is given by n* = [tex]√[a/2MC - 2F/MC][/tex] and the consumer surplus in the aftermarket is given by CS = [tex][(a-MC/n*)^2]/2.[/tex]

To find the equilibrium number of firms in the after-market, we can begin by writing down the profit function of each firm. Assuming n firms in the market, the profit function of a typical firm i is given by[tex]πi = (p - MC) qi - F/n[/tex]

where qi is the quantity of servicing offered by firm i, p is the price charged by all firms in the market, MC is the marginal cost of servicing, and F/n is the fixed cost per firm. In a Cournot setting, each firm chooses its quantity of servicing taking the quantities of all other firms as given. Thus, the equilibrium quantity of servicing for each firm is given by:

[tex]qi* = (a - p - nMC)/(2n)[/tex], where a is the intercept of the demand curve and MC is assumed to be constant for all firms. The market quantity of servicing is given by: Q* = nqi* = n(a - p - nMC)/(2n) = (a - p - nMC)/2

The price charged by all firms is given by: p* = (a + nMC)/2, At the equilibrium, the profit of a typical firm becomes:[tex]πi* = [(a - nMC)/2 - F/n]^2[/tex]

In the long-run equilibrium, the number of firms is such that each firm makes zero profit, i.e., πi* = 0. Solving for n, we get[tex]n* = √[a/2MC - 2F/MC][/tex]

To find the consumer surplus in the aftermarket, we need to integrate the demand function over the range of prices charged by the firms:

[tex]CS = ∫[0, a-MC/n*] (a-p)dp = [(a-MC/n*)^2]/2[/tex], where n* is the equilibrium number of firms.

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evans corporation sells $400,000, 12%, 10-year bonds for 98 on january 1. compute the semiannual interest expense recorded on july 1 using the effective interest method. the market rate is 15%.

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Based on the given information, the semiannual interest expense recorded on July 1 using the effective interest method is 29,400.

The term known as "semiannual" designates a thing that occurs twice a year, typically once every six months, and is paid for, advised, posted, or otherwise takes place in that location.

To calculate the  semiannual interest, the effective interest method

given as

$400,000,

12%,

10-year bonds for 98

Bond issue price  (400,000/100 x 98 )                                 $392000

interest (392000  x 7.5% )                                                       $ 29,400.

Therefore,  29,400 is the semiannual interest expense that was recorded.

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Settle any legal disputes with customers or members of the public who might have been involved with the crisis.

Which would not typically be a component of the PR director's role in an emergency/crisis public information plan?

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Settling legal disputes with customer or members of the public would not typically be a component of the PR director's role in an emergency/crisis public information plan.

Other major components of a crisis public communication plan that would normally fall within the PR director's purview include:

Creating a crisis communication plan and messagingCoordination with internal and external stakeholdersProviding timely media and public updates and informationSocial media and other internet platforms are being monitored and responded to.Taking care of media enquiries and organising press conferences or interviewsMaking certain that all communications are consistent and connected with the company's beliefs and goals.Evaluating the success of the communication strategy and making any changes.

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a wealthy person wants to support academic research by endowing a chair in finance at your university. how much money does this person have to donate to the university today so that the endowment pays $1,000,000 today plus $100,000 at the end of every year forever? assume an interest rate of 8.88% per year

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The wealthy person would need to donate $2,125,000 to the university today to endow the chair in finance with the desired payment structure.

A wealthy person looking to endow a chair in finance with the desired payment structure would need to consider the present value of the endowment. The present value can be calculated using the given interest rate of 8.88% per year.
To achieve the desired endowment structure of $1,000,000 today and $100,000 at the end of every year forever, the person would need to donate an amount that covers both the initial payment and the perpetuity.

The perpetuity can be calculated using the formula: Perpetuity = Annual Payment / Interest Rate. In this case, the perpetuity is $100,000 / 0.0888 = $1,125,000.

To cover the initial payment of $1,000,000, the total amount the person needs to donate is the sum of the perpetuity and the initial payment: $1,125,000 + $1,000,000 = $2,125,000.

So, the wealthy person would need to donate $2,125,000 to the university today to endow the chair in finance with the desired payment structure.

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The Geneva Conventions are an example of customary international law. True or False?

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The given statement "The Geneva Conventions are an example of customary international law" is True. The Geneva Conventions, which were created in response to the atrocities of World War II, have come to embody these customary rules.


Customary international law refers to the unwritten rules that govern the behavior of states, derived from their consistent and general practice motivated by a sense of legal obligation (opinio juris).

The Geneva Conventions are a set of four treaties and three additional protocols that establish international legal standards for the humanitarian treatment of persons involved in armed conflicts. These conventions focus on the protection of non-combatants, such as civilians, medical personnel, and prisoners of war, during times of armed conflict. The fundamental principles of the Geneva Conventions, including the prohibition of torture, inhumane treatment, and indiscriminate harm to civilians, are now considered customary international law.

While the Geneva Conventions are primarily treaty-based, they have gained nearly universal acceptance and adherence by states, reflecting the international community's recognition of their principles as legally binding norms. As a result, even states that have not ratified the conventions are still expected to abide by their core principles under customary international law.

In conclusion, the Geneva Conventions represent a critical example of customary international law, as they have come to embody the shared values and expectations of the global community with regard to the humane treatment of individuals during armed conflict.

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assume the united states can use a given amount of its resources to produce either 20 airplanes or 8 automobiles and japan can employ the same amount of its resources to produce either 20 airplanes or 10 automobiles. the u.s. should specialize in

Answers

By specializing in airplane production, the U.S. can effectively utilize its resources and engage in trade with Japan to acquire automobiles.

The concept of comparative advantage is an economic principle that explains how countries can benefit from trade by specializing in producing goods that they can produce more efficiently than other countries.

When a country has a comparative advantage in producing a particular good, it can produce that good at a lower opportunity cost than other countries. In other words, the country can produce more units of that good per unit of resources than other countries.

In this case, the U.S. has a comparative advantage in airplane production because it can produce 20 airplanes for the same resources it takes to produce only 8 automobiles.

This means that the U.S. can produce airplanes more efficiently than automobiles compared to Japan, which can produce 20 airplanes for the same resources it takes to produce 10 automobiles. Therefore, the U.S. should specialize in airplane production to maximize its output and resources.

By specializing in airplane production, the U.S. can use its resources more efficiently, leading to increased productivity and lower production costs.

This efficiency can lead to increased competitiveness in the global market, allowing the U.S. to trade its airplanes with other countries, including Japan. Japan, on the other hand, can specialize in producing automobiles since it can produce 10 automobiles for the same resources it takes to produce 20 airplanes.

Through international trade, both the U.S. and Japan can benefit from each other's comparative advantage.

The U.S. can trade its airplanes for Japan's automobiles, allowing both countries to consume a greater variety of goods at a lower cost than if they had to produce all the goods themselves.

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Why do you project out free cash flows for the DCF model?

Answers

The discounted cash flow (DCF) model is a valuation method used to estimate the intrinsic value of a company or an asset based on its expected future cash flows.

In the DCF model, the projected free cash flows are discounted back to their present value using a discount rate that represents the required rate of return of the investor. The free cash flow (FCF) is the cash generated by a company after accounting for capital expenditures required to maintain its operations. It represents the cash that is available to the company's investors and creditors for distribution, debt reduction, or reinvestment in the business. Projecting out free cash flows for the DCF model is important because it allows investors to estimate the future cash flows that the company is expected to generate. By forecasting future cash flows, investors can estimate the intrinsic value of the company or asset, and determine whether the current market price is overvalued or undervalued. Furthermore, projecting out free cash flows allows investors to analyze and understand the key drivers of the company's cash flow generation, such as revenue growth, operating margins, capital expenditures, and working capital requirements. This analysis can help investors to identify potential risks and opportunities that may impact the company's future cash flow generation. Overall, projecting out free cash flows is an essential part of the DCF model because it provides investors with a comprehensive view of the company's expected future performance, which is crucial for making informed investment decisions

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If a firm's beta was calculated as 0.6 in a regression equation, a commonly-used adjustment technique would provide an adjusted beta ofA) less than 0.6 but greater than zero.B) between 0.6 and 1.0.C) between 1.0 and 1.6.D) greater than 1.6.E) zero or less.

Answers

If a firm's beta was calculated as 0.6 in a regression equation, a commonly-used adjustment technique would provide an adjusted beta that is between 0.6 and 1.0, as it is typical to adjust betas towards 1.0 to reflect the average risk of the market. Therefore, the correct answer is (B) between 0.6 and 1.0.

A firm's production function is Q = 60K^1/3 L^1/2. The firm rents machinery (capital) for 27 hours. The selling price of the output is $8. The wage rate is $24 per hour. How many hours of labor should the firm hire?

Answers

the firm should hire approximately 0.252 hours of labor to maximize profit. This is equivalent to hiring one worker for about 15 minutes.

To determine how many hours of labor the firm should hire, we need to calculate the marginal product of labor (MPL) and the marginal product of capital (MPK) at the given input levels.

MPL = (dQ/dL) = [tex]30K^(1/3)L^(-1/2)[/tex]

MPK = (dQ/dK) = [tex]20K^(-2/3)L^(1/2)[/tex]

At the given input levels of K = 27 hours and Q = $8, we can solve for L as follows:

8 = [tex]60(27)^(1/3)L^(1/2)[/tex]

L =[tex](8/60)(27)^(-1/3)(L^(1/2))[/tex]

L = 0.3877

To maximize profits, the firm should hire labor up to the point where MPL = w (the wage rate).

[tex]30K^(1/3)L^(-1/2)[/tex] = 24

[tex]30(27)^(1/3)(0.3877)^(-1/2)[/tex] = 24

L = 9.03 hours

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Microcredit (Example & How it can bring lasting benefit to local economy)

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Microcredit: is a financial service that offers small loans to low-income individuals, often in developing countries, who lack access to traditional banking systems.

An example of microcredit is the Grameen Bank in Bangladesh, which provides microloans to rural women to start or expand their small businesses.

Microcredit can bring lasting benefits to the local economy in several ways. First, it empowers individuals, especially women, to become entrepreneurs and self-sufficient, leading to increased income and improved living conditions.

Second, it stimulates local economic growth by creating new businesses, which in turn generate employment opportunities for others in the community.

Third, microcredit encourages financial inclusion, enabling individuals to access savings and credit facilities that help them manage their finances better.

To summarize, microcredit is a powerful tool for promoting economic development and alleviating poverty at the local level.

By providing small loans to low-income individuals, it enables them to start or grow businesses, create jobs, and improve their financial situation. This, in turn, leads to increased income, better living conditions, and overall economic growth in the community.

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T or F: Common departments found in an organization include Accounting, Management Information Systems, Operations Management, and Delivery.

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Answer:

False

Explanation:

All of the following are common criteria of employee performance EXCEPTmeeting deadlines.acting in accordance with ethical principles.

Answers

Acting in accordance with ethical principles is not a general measure of employee performance. Here option B is the correct answer.

Employee performance is a critical aspect of any organization, and it can be evaluated using various criteria. Among the most common criteria for employee performance are meeting deadlines, demonstrating expertise in the job role, maintaining positive relationships with colleagues, and acting in accordance with ethical principles.

Meeting deadlines is crucial for ensuring that work is completed on time and that the organization's goals are achieved. Demonstrating expertise in the job role means that the employee has the necessary skills, knowledge, and experience to carry out their duties effectively. Maintaining positive relationships with colleagues is vital for promoting teamwork, collaboration, and a healthy work environment.

Acting in accordance with ethical principles is also an essential criterion for employee performance. It involves ensuring that employees behave ethically and with integrity while performing their duties. This includes treating colleagues, clients, and stakeholders with respect, honesty, and fairness.

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Complete question:

Which of the following is NOT a common criteria of employee performance?

A) Meeting deadlines.

B) Acting in accordance with ethical principles.

C) Maintaining positive relationships with colleagues.

D) Demonstrating expertise in the job role.

Heidi's company delivers freshly-baked cupcakes all over the United States. It is the company's policy to ship the cupcakes the same day as they are baked and have them delivered within 24 hours of taking them out of the oven. Which customer service objective does this demonstrate?

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Heidi's company's policy demonstrates the customer service objective of providing timely and efficient service.

This objective is crucial for businesses that deal with perishable goods, like freshly-baked cupcakes. By ensuring that the cupcakes are shipped on the same day they are baked and delivered within 24 hours of coming out of the oven, the company is committing to providing customers with the freshest possible product.

This commitment to timeliness and efficiency not only enhances the customer experience but also helps build a positive brand image. Customers will appreciate receiving their cupcakes promptly and in excellent condition, which can lead to increased customer satisfaction, positive reviews, and potentially more business through word-of-mouth referrals.

In addition, maintaining a strict delivery policy can help the company optimize its operations and logistics. By adhering to the 24-hour delivery window, the company is forced to prioritize order fulfillment and shipment processes, which can lead to more efficient practices and, ultimately, cost savings.

In summary, the customer service objective demonstrated by Heidi's company's policy is timely and efficient service. This objective benefits the customers by providing them with fresh and high-quality products and benefits the company by optimizing its operations and fostering a positive brand image.

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the required return on the stock of moe's pizza is 10.9 percent and aftertax required return on the company's debt is 3.43 percent. the company's market value capital structure consists of 70 percent equity. the company is considering a new project that is less risky than current operations and it feels the risk adjustment factor is minus 2.0 percent. the tax rate is 40 percent. what is the required return for the new project?

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The required return for the new project is 6.22%.

To calculate the required return for the new project, we need to first calculate the weighted average cost of capital (WACC) for Moe's Pizza.

WACC = (Cost of Equity x % Equity) + (Cost of Debt x % Debt) x (1 - Tax Rate)

Given that the company's market value capital structure consists of 70 percent equity, we can calculate the percentage of debt to be 30 percent.



Using the information provided, the cost of equity is 10.9 percent, and the after-tax required return on the company's debt is 3.43 percent.

Thus,

WACC = (0.109 x 0.7) + (0.0343 x 0.3) x (1 - 0.4)
WACC = 0.0763 + 0.01029 x 0.6
WACC = 0.082188 or 8.22%



Now, we can adjust the WACC for the risk adjustment factor of -2.0 percent, as the new project is less risky than current operations.

Required Return for New Project = WACC + Risk Adjustment Factor
Required Return for New Project = 0.082188 + (-0.02)
Required Return for New Project = 0.062188 or 6.22%

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The right organizational culture and structure can make it easier for an honest person to act out her/his impulse to behave unethically. O True False 2 points An advantage of the consequence-based theory is that it recognizes the intrinsic value of the human being. O True False

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True. The consequence-based theory, also known as utilitarianism, focuses on the outcomes or consequences of actions. It recognizes the intrinsic value of the human being by seeking to maximize overall happiness and minimize overall harm for the greatest number of people.

False. The right organizational culture and structure should actually make it harder for an honest person to behave unethically. A strong ethical culture with clear expectations, values, and consequences for unethical behavior can help deter individuals from acting unethically.


The first statement, "The right organizational culture and structure can make it easier for an honest person to act out her/his impulse to behave unethically," is True. An organization's culture and structure can influence individuals' behavior, including encouraging unethical actions in certain situations.

The second statement, "An advantage of the consequence-based theory is that it recognizes the intrinsic value of the human being," is False. Consequence-based theories, such as utilitarianism, focus on the outcomes of actions rather than the intrinsic value of individuals. Other ethical theories, like deontological ethics, emphasize the intrinsic value of human beings.

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notation for forecast (made in period t) of demand for period t+1

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The Scientific notation for the forecast( made in period t) of demand for period t 1 is F subscript t+1.

Scientific notation is a way to write figures that are veritably big or small. When a number between 1 and 10 is multiplied by a power of 10, that number is written in scientific memorandum.

The process of making prognostications using data from the history and the present is called soothsaying. latterly these can measure up( settled) against what occurs.

The capability to convert extremely large or small figures into much further manageable figures is the primary reason why scientific memorandum is important. At the point when these figures are in logical attestation, it's a lot further straightforward to work with and decrypt them.

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In the context of AD and AS analysis decrease in the consumer price index (CPI) will shifts the AD curve to the right: shifts the AD curve to the left: causes an upward movement along the existing AD curve causes downward movemont along the existing AD curve: cause downward shift in AS curve.

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A decrease in the consumer price index (CPI) would cause a downward movement along the existing AD curve as the purchasing power of consumers increases, leading to an increase in demand for goods and services.

This would shift the AD curve to the right, reflecting the increased aggregate demand. On the other hand, a decrease in the CPI could cause a downward shift in the AS curve if the decrease is due to a decrease in production costs. This would result in a decrease in the prices of goods and services, leading to an increase in supply and shifting the AS curve to the right. In the context of AD and AS analysis, a decrease in the Consumer Price Index (CPI) typically causes a downward movement along the existing AD curve. This is because a lower CPI indicates a decrease in the general price level, making goods and services more affordable for consumers. Consequently, the quantity of goods and services demanded at each price level increases, resulting in a downward movement along the existing AD curve.

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According to US GAAP, when are contingencies (such as pending litigation) required to be:-Accrued and disclosed-Disclosed only

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According to US GAAP (Generally Accepted Accounting Principles), contingencies such as pending litigation are required to be accrued and disclosed when it is probable that a loss has been incurred and the amount of the loss can be reasonably estimated.

In other words, you should record the loss on your financial statements and report it to investors if it is likely that you will need to make a payment in the future owing to a contingency and you have a solid sense of how big that payment would be.

The contingency should only be reported in the footnotes of your financial statements if it is not likely that a loss has been sustained or if the amount cannot be properly predicted.

To ensure accurate and transparent reporting of your company's financial condition, it's crucial to adhere to these rules.

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