which one of these applies to the dividend growth model of stock valuation? group of answer choices the dividend must be for the same time period as the stock price. the growth rate must be less than the discount rate. the rate of growth must be positive. the dividend amount must be constant over time. the model cannot be applied if the growth rate is zero.

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Answer 1

The term that applies to the dividend growth model of stock valuation is "the rate of growth must be positive." The dividend growth model is a method used by investors to estimate the intrinsic value of a stock based on its expected future dividends. The model assumes that the dividend will continue to grow at a constant rate in perpetuity.The correct answer is option is c.

If the rate of growth is zero, the model cannot be applied because there will be no increase in the dividend, and the stock's value will remain constant. The growth rate must be positive for the model to work correctly. However, the growth rate must be less than the discount rate, which is the rate at which the investor discounts the future cash flows to determine the present value.

Furthermore, the dividend must be for the same time period as the stock price for accurate valuation. If the dividend is for a different period, it will not reflect the current stock price. Finally, the dividend amount does not have to be constant over time, but the rate of growth must be consistent.

 This growth rate is an essential factor in determining the stock's value.In conclusion, the dividend growth model of stock valuation is a valuable tool for investors in determining the intrinsic value of a stock. The rate of growth is a crucial factor in this model, and it must be positive to apply it correctly.The correct answer is option is c.

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Related Questions

A common _____ process is reporting performance, where project stakeholders can identify any necessary changes that may be required to keep the project on track.

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A common project management process is reporting performance, where project stakeholders can identify any necessary changes that may be required to keep the project on track.

Project planning is the step in the project schedule management process that involves establishing the precise tasks that the project team members and stakeholders must carry out to produce the project deliverables.

All tasks that guarantee the successful administration and completion of a project are included in project management. It entails finishing a given work at a specific time. All activities start with planning, which includes identifying important stakeholders, carrying out a task, and providing supervision. As a result, project planning entails deciding what particular duties the project team members will perform.

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suppose the market return is expected to be 6%. a stock with a beta of .4 currently is expected to provide a rate of return of 14%. if the market return actually turns out to be 7%, what is your best guess for the rate of return on the stock?

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The rate of return on the stock would be 3.4% if the market return turns out to be 7%. This estimate may not be perfectly accurate, but it provides a reasonable estimate based on the information available.

Based on the information provided, we can use the Capital Asset Pricing Model (CAPM) to estimate the rate of return on the stock. CAPM calculates the expected return of an asset based on its risk and the expected return of the overall market. The formula is as follows:

Expected return on stock = Risk-free rate + (Beta x (Market return - Risk-free rate))

Using the given information, the risk-free rate is not provided, so we will assume it to be 2%. Therefore, the expected return on the stock using CAPM is:

Expected return on stock = 2% + (0.4 x (6% - 2%))
Expected return on stock = 3.6%

However, if the market return actually turns out to be 7%, we can recalculate the expected return on the stock as follows:

Expected return on stock = 2% + (0.4 x (7% - 2%))
Expected return on stock = 3.4%

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a telling or autocratic leadership style is best when group of answer choices team members have much knowledge and experience. a group is relatively new. group members are used to having decision-making control. group members know each other and work well together

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A telling or autocratic leadership style is not necessarily the best approach when group members have much knowledge and experience. This style is characterized by a top-down approach where the leader makes decisions and delegates tasks without seeking input from the team.

This approach can be effective in certain situations, such as during a crisis or when quick decisions need to be made. However, in situations where the team members have expertise and experience, a collaborative leadership style may be more effective.

In a new group, it is important for the leader to establish trust and build relationships with team members. This can be done by using a democratic or participative leadership style, where team members are encouraged to share their opinions and ideas. This approach can also be effective when team members are used to having decision-making control, as it empowers them and helps build a sense of ownership in the process.

In situations where team members know each other and work well together, a delegation or laissez-faire leadership style may be appropriate. This approach allows team members to take the lead and make decisions, while the leader provides guidance and support as needed. Ultimately, the most effective leadership style will depend on the situation and the needs of the team.

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What does not have to be assumed when drawing ademand curve for commodity x?

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When drawing a demand curve for commodity X, we do not have to assume that all other factors affecting demand remain constant.

What is a demand curve?

A demand curve is a graphical representation of the relationship between the price of a good or service and the quantity of that product demanded during a specified period. It shows the quantity of a product that would be bought at different prices, assuming all other factors that affect demand remain constant.

When drawing a demand curve for commodity X, we do not have to assume that all other factors affecting demand remain constant. However, several other factors, such as consumer preferences, income levels, and prices of related goods, can also impact demand. These factors are usually assumed to be constant (ceteris paribus) when drawing a demand curve for a more simplified analysis. In reality, these factors can change, and you do not have to assume they remain constant when creating a demand curve for commodity X.

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landen company uses a single plantwide overhead rate based on direct labor hours. total budgeted overhead costs are $200,000. total budgeted direct materials are $50,000 and total budgeted direct labor hours are 80,000. what is the plantwide overhead rate per direct labor hour? multiple choice question. $4.00 $2.50 $0.25 $0.40

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Plantwide overhead rate per direct labor hour  is $2.50.  

$200,000/80,000=$2.50 per direct labor hour. The correct option is B. The number of direct labor hours required to create one unit of a product is known as the direct labor hours.

Thus, by dividing the total number of finished items by the total  number of direct labor hours required to make them, the figure is obtained. Calculating the discrepancy between the standard direct labor cost per unit and the actual direct labor cost per unit yields the variance.

If the actual direct labor cost per unit is higher than the average direct labor cost per unit, the company has to spend more money than anticipated to create one unit of the product, which is unfavorable for the company's bottom line. One unit of production will cost less to manufacture if the real direct labor cost is lower.

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the blending of advertising, sales promotion, publicity, and personal selling is referred to as the .

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The blending of advertising, sales promotion, publicity, and personal selling is referred to as the Marketing Communications Mix or Promotional Mix.

This concept represents a combination of various tools and strategies that businesses use to communicate their value propositions and key messages to their target audience. The goal is to create awareness, build interest, and ultimately drive sales for products or services.

Advertising involves creating and delivering paid messages through various media channels such as television, radio, print, and online platforms. It is a powerful way to reach a large audience, create brand awareness, and influence consumer perceptions.

Sales promotion encompasses various short-term incentives, offers, and discounts that aim to stimulate customer interest, increase product demand, and encourage purchases. Examples include coupons, contests, and product samples.

Publicity refers to unpaid media exposure and coverage that a company receives, which can have a significant impact on brand image and consumer perception. Public relations activities, such as press releases and event sponsorships, are used to generate positive publicity and maintain a strong relationship with the media.

Personal selling is a direct, one-to-one approach where sales representatives engage with potential customers, build rapport, and provide personalized information to help persuade them to make a purchase. This method is particularly effective in B2B transactions and high-value products or services.

In conclusion, the Marketing Communications Mix is a strategic blend of advertising, sales promotion, publicity, and personal selling techniques used to communicate with target audiences effectively. By employing the right mix of these strategies, businesses can achieve their marketing goals and create a positive impact on consumers.

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Sales for a _____ product begin immediately after introduction because the benefits of purchase are readily understood by consumers.
fad
fashion
low-learning
high-learning
technological

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Sales for a high-learning technological product begin immediately after introduction because the benefits of purchase are readily understood by consumers.

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Which 2 payroll options available inside QuickBooks Online Company?

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QuickBooks Online offers two payroll options for businesses to choose from: Self-service Payroll and Full-service Payroll

QuickBooks Online provides organisations with two payroll options:

Self-service Payroll: A payroll option that allows businesses to manage their own payroll operations within QuickBooks Online. Businesses can use Self-service Payroll to compute paychecks, pay employees through direct deposit or cheque, and file and pay taxes on their own.

Full-service Payroll: This is a full-service payroll option that offers businesses end-to-end payroll management, from paycheck calculation through tax filing and payment. Businesses can use Full-service Payroll to simply enter employee hours and let QuickBooks Online handle the rest.

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when the total of uncorrected misstatements in the financial statements exceeds a material amount, it is likely to lead to an audit report modification.group startstrue or false

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The given statement "when the total of uncorrected misstatements in the financial statements exceeds a material amount, it is likely to lead to an audit report modification" is True because the auditor is required to evaluate the effect of identified misstatements on the financial statements.

The financial statements refers to the formal document that provides information about the financial activities and position of a business, organization or individual.

The financial statements are  prepared by an accountant and they are used to provide insight into the financial performance.

Therefore, the given statement when the total of uncorrected misstatements in the financial statements exceeds a material amount, it is likely to lead to an audit report modification is true.

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How many order ready reminders are sent and what is the cadence?

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Cadence has always been associated with rhythm—the rhythm of music, of marching, of a person's voice, and of natural noises. As our definition demonstrates, the word has also been used for other purposes for a very long time, most of which still relate to sound. In business lingo, "cadence" refers to how frequently a regularly scheduled event takes place.

A call cadence, also known as a sales cadence, is a strategy that specifies how frequently and how long a salesperson should wait before contacting a lead. A call cadence aids in keeping you in your sales lead's thoughts.

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The grocery industry has an annual inventory turnover of about 13 times. Organic​ Grocers, Inc., had a cost of goods sold last year of ​$11,130,000​; its average inventory was ​$997,300. What was Organic​ Grocers' inventory​ turnover, and how does that performance compare with that of the​ industry?

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Organic Grocers': inventory turnover (11.15 times) is lower than the industry average (13 times), this means that Organic Grocers has a lower inventory turnover rate compared to the overall grocery industry.

To determine Organic Grocers' inventory turnover and compare it with the industry average, we will follow these steps:

1. Calculate Organic Grocers' inventory turnover:


Inventory turnover = Cost of Goods Sold (COGS) / Average Inventory


Inventory turnover = $11,130,000 / $997,300

2. Compare Organic Grocers' inventory turnover with the industry average:


The grocery industry has an annual inventory turnover of about 13 times. We will compare this number with the inventory turnover calculated for Organic Grocers.

So, let's calculate the inventory turnover for Organic Grocers:

Inventory turnover = $11,130,000 / $997,300


Inventory turnover ≈ 11.15 times

Now, let's compare this with the industry average of 13 times:

Organic Grocers' inventory turnover (11.15 times) is lower than the industry average (13 times). This means that Organic Grocers has a lower inventory turnover rate compared to the overall grocery industry. This could indicate that Organic Grocers might have slower-moving inventory or less efficient inventory management compared to the industry average.

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Demand for C&A's product is 15,000 units per year. Holding costs per year are 4% of item cost which is $100. Ordering costs are $5 per order. The supplier offers C&A a discount of 5% if the order quantity is 200 or higher. What is the optimal order quantity?201 194 199 299 200

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The optimal order quantity when discounts are involved is either the EOQ or any one of the minimum order quantities above EOQ that qualify for additional discount. The EOQ formula is:

EOQ = √((2DS)/H)

where D is annual demand, S is ordering cost per order and H is holding cost per unit per year2.\

Given that demand for C&A’s product is 15,000 units per year, holding costs per year are 4% of item cost which is $100 and ordering costs are $5 per order, we can calculate the EOQ as follows:

EOQ = √((2DS)/H) = √ ((215000$5)/ ($100*0.04)) = 200

Since the supplier offers C&A a discount of 5% if the order quantity is 200 or higher, the optimal order quantity would be 200.

Therefore, the answer to your question is 200.

Only when a product's demand is consistent year-round and every new order is filled in full when the inventory level falls to zero does EOQ come into play. Each order has a fixed cost regardless of the number of units ordered; orders are regarded as containing only one item.

Each unit held in storage is also subject to a fee known as the holding cost, which is sometimes expressed as a percentage of the item's purchase price. The EOQ formulation is straightforward, but there are additional factors to take into account while using it, such as transportation costs and quantity discounts.

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Will Shakespeare is a struggling playwright in sixteenth-century London. As the price he receives for writing a play increases, he is willing to write more plays. Given the following situation, shift the demand and/or supply curve(s) and move the equilibrium point to its new position. Event: To celebrate the defeat of the Spanish Armada, Queen Elizabeth declares several weeks of festivities, which involves commissioning new plays. Market for Shakespeare's plays S Price of a play E D Quantity of plays

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The demand curve for Shakespeare's plays shifts to the right due to the Queen's commissioning of new plays, leading to an increase in the equilibrium quantity of plays and potentially higher prices.

Shakespeare's plays would undoubtedly see a change in demand to the right if Queen Elizabeth decided to commission new plays to commemorate the destruction of the Spanish Armada. This is because there would be a stronger desire to pay for Shakespeare's plays during the festivities, which would raise the number of plays requested at each price point.

The equilibrium point would shift to a new location as a result, reflecting the increased demand for Shakespeare's plays during the celebrations, with more plays available and maybe higher costs.

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a $l,000 corporate bond is convertible to 50 shares of the corporation's common stock. what is the minimum price that the stock must obtain before bondholders would consider converting a bond to the company's common stock?

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The minimum price at which bondholders would consider converting the bond to the company's common stock is $20 per share.

To determine the minimum price at which bondholders would consider converting the bond to the company's common stock, we need to calculate the conversion ratio, which is the number of shares of common stock that can be obtained by converting one bond.

Conversion ratio = Par value of bond / Conversion price per share

Since the bond is convertible to 50 shares of common stock:

Conversion ratio = $1,000 / 50 = $20 per share

Therefore, the minimum price at which bondholders would consider converting the bond to the company's common stock is $20 per share.

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the application of technology to achieve crm is a key element of e-business but what is the goal of crm?

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The goal of CRM, or Customer Relationship Management, is to manage and analyze interactions with current and potential customers to improve business relationships, customer retention, and drive sales growth.

The application of technology to achieve CRM involves the use of software and other digital tools to manage customer data, track customer interactions, and automate marketing, sales, and customer service processes. This helps businesses to better understand their customers' needs and preferences, provide more personalized service, and build stronger, long-lasting relationships with their customers.

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Using the Internet find and read ONE article on trade disputes. Summarize your article in 100 – 250 words. Then use the article to explain how the realist and liberal perspectives on trade conflicts are different.

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The realist perspective on trade conflicts focuses on power struggles and national interests, while the liberal perspective emphasizes cooperation and interdependence in global trade.

I found an article on the ongoing trade dispute between the United States and China. The article discusses the escalating trade war that began in 2018, with both countries imposing tariffs on each other's goods, resulting in billions of dollars in losses for businesses and consumers. The primary issues driving the conflict include accusations of unfair trade practices, intellectual property theft, and currency manipulation.

The realist perspective on this trade conflict focuses on the power struggle between the two nations. Realists argue that countries prioritize their own national interests, even at the expense of other nations. In this case, the U.S. aims to maintain its position as a global economic power by imposing tariffs on Chinese imports, thereby forcing China to address the trade imbalance and intellectual property concerns. China, in turn, retaliates with tariffs on U.S. goods to protect its own economic interests.

On the other hand, the liberal perspective emphasizes cooperation and interdependence in global trade. Liberals argue that trade conflicts like this one can be resolved through international institutions, diplomacy, and negotiation. They believe that protectionist measures, such as tariffs, hinder economic growth and global cooperation. In this case, liberals would advocate for the U.S. and China to engage in dialogue and work together to address the underlying issues in a mutually beneficial manner.

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In the presence of a positive externality, a Pigouvian subsidy results in less consumption or production of the good that generates that externality. True. False.

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False. In the presence of a positive externality, a Pigouvian subsidy would result in more consumption or production of the good that generates that externality, as it provides a financial incentive for individuals or firms to produce or consume more of the good.

In economics, an externality is a cost or benefit that is not reflected in the market price of a good or service, but is instead borne by a third party who did not choose to incur that cost or benefit. Externalities can be positive or negative. A positive externality is a benefit that is enjoyed by a third party who did not pay for it. For example, if a homeowner plants flowers in their front yard, the beautiful view and pleasant smell might be enjoyed by their neighbors. A negative externality is a cost that is imposed on a third party who did not choose to incur it. For example, if a factory pollutes a nearby river, the people who live downstream may experience health problems or damage to their property. The subsidy would help internalize the positive externality and encourage more socially optimal levels of consumption or production.

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You are managing the construction of a state-of-the-art hospital. As with any project, this one has had its share of problems. The customer would like to add a new wing to the hospital and designate it solely for the use of diagnostic medicine. Which should occur if the change request is rejected?

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If the change request for the new wing dedicated to diagnostic medicine is rejected, it is important to communicate the reasons for the rejection to the customer and ensure that they understand the decision.



If the customer still requires the new wing dedicated to diagnostic medicine, alternative solutions should be explored. One possible solution is to repurpose an existing space in the hospital for this purpose. This may require reconfiguring existing space, such as converting unused storage space or administrative offices into diagnostic facilities. This approach may be more cost-effective than building a new wing and can be completed with minimal impact on the overall project timeline.


Another option is to partner with a nearby hospital or medical center that has existing diagnostic facilities. This could involve sharing the space or establishing a joint venture with the partner hospital. This approach may require additional negotiation and coordination but could result in a more comprehensive and cost-effective solution.


In any case, it is important to consider all options carefully and to communicate with the customer throughout the process to ensure that their needs are being met as much as possible within the constraints of the project plan and budget.

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True or False: The ADA does not require an employer to hire a person with a disability if they are not qualified.

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The given statement, "The ADA does not require an employer to hire a person with a disability if they are not qualified." is false because under the ADA, job applicants who lack the necessary qualifications cannot assert discrimination.

A person with a disability must be qualified under the ADA, which implies that they must fulfill all work requirements and be able to carry out the position's essential duties with or without appropriate accommodations. According to the ADA, a person has a disability if their bodily or mental health significantly restricts at least one main daily activity. Even if they do not now have a handicap, this includes those who have a history of having one.

Additionally, it covers those who are believed to be disabled yet are not. Thirty years after the ADA went into effect, the lives of persons with disabilities in our country have improved somewhat. Academics have criticized the ADA in a number of sectors, including employment, because not all of the requests of those who favor disability rights have been met.

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Fama-French three-factor asset-pricing modelWhat is the intuition behind this model?

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The Fama-French three-factor asset-pricing model is based on the intuition that there are systematic factors beyond the overall market that can explain the variation in returns of diversified portfolios.

The model assumes that investors are rational and risk-averse, and therefore require compensation for bearing risk. The market risk premium factor captures the additional return investors expect to earn for taking on the risk of investing in the overall market. The size premium and value premium factors reflect the additional risk and expected return associated with investing in small-cap and value stocks, respectively. The three-factor model provides a more comprehensive framework for understanding asset returns and evaluating investment opportunities compared to the traditional Capital Asset Pricing Model.

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A company has used 2 different methods to forecast sales for the past 5 months. What is the MAD of Method A?Period Actual Method A Method B1 10 10 92 8 11 103 12 12 84 11 13 125 12 14 11

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Bottom-up predictions and top-down forecasts are the two main categories of sales forecasting methodology. In bottom-up forecasting, the number of units a company is expected to sell is first projected, and the average cost per unit is then multiplied by that number.

One of the simplest and most straightforward methods for projecting sales is this one. This technique involves analyzing the company's past sales figures to determine the sales growth trend, which aids in forecasting the company's future sales growth.

Your historical sales data are used in trend projection to forecast your future sales. It is the simplest and clearest approach to demand forecasting. It's crucial to modify predictions for the future to take prior abnormalities into consideration.

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piper technology's fixed costs are $1,500,000, the unit selling price is $250, and the unit variable costs are $130, what is the amount of sales required to realize an operating income of $200,000?

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Piper Technology needs to generate $3,000,000 in sales to achieve an operating income of $200,000 with fixed costs of $1,500,000, a unit selling price of $250, and unit variable costs of $130.

To find the amount of sales required to realize an operating income of $200,000, we can use the following formula

Operating Income = (Unit Selling Price × Quantity) - (Unit Variable Cost × Quantity) - Fixed Costs

We can rearrange this formula to solve for the quantity of units needed to achieve the desired operating income

Quantity = (Operating Income + Fixed Costs) / (Unit Selling Price - Unit Variable Cost)

Plugging in the given values, we get

Quantity = ($200,000 + $1,500,000) / ($250 - $130) = 12,000 units

To find the amount of sales required, we can multiply the quantity by the unit selling price

Sales = Quantity × Unit Selling Price = 12,000 × $250 = $3,000,000

Therefore, the amount of sales required to realize an operating income of $200,000 is $3,000,000.

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suppose in a free market the price of corn would be $40 per bushel. what happens in this market if the government sets a price floor for wheat at $30 per bushel?

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In a free market, the price of corn is determined by the forces of supply and demand. If the government sets a price floor for wheat at $30 per bushel, it means that wheat cannot be sold below this price. The price floor affects the wheat market, not the corn market directly. However, there can be indirect consequences.

Since both corn and wheat are agricultural commodities, they often serve as substitutes for one another in various uses, such as livestock feed and biofuel production. With a price floor on wheat, if the market price of wheat would have been lower than $30 in the absence of the price floor, there will be a surplus of wheat as producers are willing to supply more at the higher price, but consumers demand less.

This surplus in the wheat market may lead some consumers to switch to corn as a more cost-effective alternative, increasing the demand for corn. As a result, the price of corn might experience upward pressure. On the other hand, some farmers may shift their production from corn to wheat to take advantage of the higher guaranteed price, affecting the supply of corn in the market.

In summary, while the price floor on wheat does not directly change the price of corn, it can influence consumer preferences and production decisions, potentially affecting the corn market through changes in demand and supply. The exact outcome depends on the responsiveness of both consumers and producers to the changes in relative prices of corn and wheat.

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T/F. Retained earnings and accumulated other comprehensive income (AOCI) can be found in the contributed capital section of stockholders' equity.

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T/F. A company is worse off by paying cash dividends because it must record a loss for this transaction in its income statement.

The statement is false, retained earnings and accumulated other comprehensive income (AOCI) cannot be found in the contributed capital section of stockholders' equity.

Contributed capital represents the funds that a company has raised from investors in exchange for ownership shares. It includes common stock, preferred stock, and additional paid-in capital. Retained earnings, on the other hand, represent the portion of a company's profits that have been retained and reinvested in the business, rather than distributed to shareholders as dividends. Retained earnings are reported in the retained earnings section of stockholders' equity. AOCI, meanwhile, represents unrealized gains and losses on certain types of investments and other items that are not included in net income. AOCI is also reported in the stockholders' equity section of the balance sheet, but it is not included in contributed capital.

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mojo mining has a bond outstanding that sells for $2,183 and matures in 19 years. the bond pays semiannual coupons and has a coupon rate of 7.22 percent. the par value is $2,000. if the company's tax rate is 35 percent, what is the aftertax cost of debt?

Answers

The aftertax cost of debt for Mojo Mining is 4.41%.

The first step in discovering the aftertax cost of debt is to calculate the semiannual coupon payment. The coupon charge is 7.22%, so the yearly coupon charge is:

Annual coupon fee = Coupon price x Par value = 0.0722 x $2,000 = $144.40, For the reason that bond will pay semiannual coupons, the semiannual coupon fee is:

Semiannual coupon charge = Annual coupon fee / 2 = $144.40 / 2 = $72.20

The bond matures in 19 years, or 38 semiannual intervals. we are able to use the present value formula to calculate the present value of the bond:

[tex]PV = C x [1 - (1 + r)^{(-n)}]/r + FV/(1 + r)^n[/tex]

In which PV is the present fee, C is the semiannual coupon fee, r is the semiannual bargain charge, n is the quantity of semiannual periods, and FV is the par price.

In this case, C = $72.20, r is the semiannual discount rate, n = 38, and FV = $2,000. we are able to clear up for the semiannual bargain rate by means of setting PV identical to the current marketplace charge of the bond, that is $2,183:

$2,183 = $72.20 x [1 - (1 + r)[tex]^{(-38)}]/r + $2,000/(1 + r)^{38}[/tex]

The usage of a monetary calculator or spreadsheet, we can resolve for r and get a semiannual cut price charge of 3.39%.

The aftertax fee of debt is the pre-tax price of debt multiplied by (1 - tax fee). In this case, the pre-tax price of debt is the semiannual discount rate improved by means of 2, because the bond can pay semiannual coupons:

Pre-tax cost of debt = Semiannual discount charge x 2 = 3.39% x 2 = 6.78%

The aftertax price of debt is:

Aftertax value of debt = Pre-tax fee of debt x (1 - tax fee) = 6.78% x (1 - 0.35) = 4.41%

Therefore, the aftertax cost of debt for Mojo Mining is 4.41%.

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erez company is considering an investment of $28,245 that provides net cash flows of $9,300 annually for four years.(a) what is the internal rate of return of this investment? (pv of $1, fv of $1, pva of $1, and fva of $1) (use appropriate factor(s) from the tables provided. round your present value factor to 4 decimals.)(b) the hurdle rate is 7%. should the company invest in this project on the basis of internal rate of return?

Answers

The internal rate of return of the investment is approximately 15.04%.

a) To calculate the internal rate of return (IRR) of the investment, we need to find the discount rate that equates the present value of the cash inflows to the initial investment. Using the present value of an annuity of $1 table with 4 periods and 7% interest rate, we can calculate the present value factor as 3.3872.

PV factor = [tex](1 - 1/(1+0.07)^4) / 0.07 = 3.3872[/tex]

Then, we can use the following formula to calculate the IRR:

Initial investment = Present value of cash inflows / (1 + IRR)^n

$28,245 = [tex]$9,300 x (1 - 1 / (1 + IRR)^4) / IRR[/tex]

b) Yes, the company should invest in this project based on the internal rate of return. The IRR of 15.04% is higher than the hurdle rate of 7%, which means that the investment generates a higher rate of return than the company's cost of capital. The project adds value to the company and should be accepted.

The IRR is a useful metric to evaluate the profitability of an investment and is often compared to the hurdle rate or the required rate of return to determine whether a project is worthwhile. However, the IRR has limitations, such as assuming reinvestment at the same rate and not considering the project size or timing of cash flow

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differentiating itself from traditional financial fields, behavioral finance uniquely relies on what field of study to help develop its theories of behavior? multiple choice question.

Answers

Behavioral finance is a relatively new field of study that emerged in the late 1970s, which seeks to explain and understand the psychological and emotional factors that influence financial decision-making.

One of the distinguishing features of behavioral finance is that it draws on the findings and insights from the field of psychology to develop its theories of behavior.
Therefore, the correct answer to the multiple-choice question would be psychology. Behavioral finance has recognized the importance of cognitive biases and psychological factors such as fear, greed, and overconfidence, which can lead to irrational decision-making. By examining how people process information and make decisions, behavioral finance provides a more nuanced and realistic understanding of financial markets and investor behavior.
In addition to psychology, behavioral finance also draws on other disciplines such as sociology, economics, and anthropology to explain market anomalies, bubbles, and other financial phenomena. By integrating insights from various fields, behavioral finance provides a more comprehensive and multidisciplinary approach to finance, which can help to improve investment decision-making and risk management.

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If the production function is Q = 30 + 44L + 50K, what’s themost you can produce with 8 workers (L) and 8 unit of capital (K)?Enter as a value.

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Using the given production function, Q = 30 + 44L + 50K, we can calculate the maximum output possible with 8 workers (L) and 8 units of capital (K) by following the given steps:

1. Identify the given values: L = 8 workers and K = 8 units of capital.

2. Substitute the given values into the production function: Q = 30 + 44(8) + 50(8).

3. Perform the arithmetic operations: Q = 30 + 352 + 400.

4. Add the values together: Q = 30 + 352 + 400 = 782.

Therefore, the most that can be produced with 8 workers and 8 units of capital is 782 units. This calculation assumes that there are no other constraints or factors that may limit the production capacity, such as the availability of raw materials, technology, or market demand.

However, based on the given production function, we can conclude that increasing either the number of workers or the amount of capital will lead to higher output levels.

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shareholders equity is split between which of the following after profit is made

A. Debt and retrained earnings
B. shareholders capital and retrained earnings
C. shareholders capital and debt
B. Accounts payable and dept

Answers

Answer:

B

Explanation:

The correct answer is B. Shareholders' equity is split between shareholders' capital and retained earnings after profit is made.

Shareholders' equity represents the residual interest in the assets of a company after deducting its liabilities. When a company earns a profit, it can distribute the earnings to shareholders in the form of dividends or retain them in the company to fund future growth.

The portion of shareholders' equity that represents the amount of money invested by shareholders in the company is called shareholders' capital. Retained earnings, on the other hand, represent the accumulated profits that the company has retained over time.

Therefore, after profit is made, shareholders' equity is split between shareholders' capital and retained earnings.

Answer:

The shareholders' equity is split between shareholders' capital and retained earnings after profit is made. Therefore, the correct option is B. shareholders' capital and retained earnings.

The market for drones is perfectly competitive. Assume for simplicity that fractions of everything, including firms, is possible. We have identical firms, each with a Total Cost curve of TC=284+q^2 and Marginal Cost curve MC=2q. Market demand is Q=879-2P. If the Marginal Cost for every firm decreases by $10 at every quantity, what is the short-run market price? (You can assume that MC>=AVC at every quantity for this question).

Answers

The short-run market price is $349.6.

First, we need to find the industry supply curve. The marginal cost for each firm is MC=2q, so we can solve for quantity in terms of marginal cost: q=MC/2. Substituting this into the total cost equation, we get TC=284+M[tex]C^2[/tex]/4.

To find the industry supply curve, we add up the quantity supplied by each firm at a given price: Qs=nq=n(MC/2), where n is the number of firms. Solving for MC in terms of Qs and n, we get MC=2Qs/n.

Now, we can find the market equilibrium by setting quantity demanded equal to quantity supplied:

879-2P = 2Qs/n

879-2P = 2(2Qd/n)

879-2P = 4(284+Q[tex]d^2/4[/tex])/n

219.75 - 0.5P = 71 + Q[tex]d^2/4[/tex]n

Simplifying and rearranging, we get:

Qd^2/4n = 148.75 - 0.5P

Now we can solve for the short-run market price. Since MC decreases by $10 at every quantity, the new marginal cost curve is MC=2q-10. Solving for quantity in terms of marginal cost, we get q=(MC+10)/2. Substituting this into the industry supply curve, we get:

MC=2Qs/n = 2n(MC+10)/2n = MC+10

So the new industry supply curve is MC=2Q-10. At the short-run equilibrium, marginal cost equals price, so:

2Q-10 = P

Q = (P+10)/2

Substituting this into the demand equation, we get:

879-2P = (P+10)/2

1758-4P = P+10

1748 = 5P

P = 349.6

Therefore, the short-run market price is $349.6.

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