a. The Cost of common equity capital using dividend growth model is 9.85%.
b. Cost of common equity capital using CAPM is 8.4%.
c. Weighted average cost of capital (WACC) is 7.2%
How to calculate the valuea) Cost of common equity capital using dividend growth model:
Cost of equity = Dividend per share * (1 + Growth rate) / Current share price
= $0.8 * (1 + 0.06) / $22
= 9.85%
b) Cost of common equity capital using CAPM:
Cost of equity = Risk-free rate + Beta * (Market risk premium)
= 2.4% + 1.0 * (6.0%)
= 8.4%
c) Weighted average cost of capital (WACC):
WACC = Weight of debt * Cost of debt + Weight of equity * Cost of equity
= 0.5 * 6% + 0.5 * 8.4%
= 7.2%
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Which quality is a requirement In order for a destination to become a tourism destination area (TDA)?
A. should be accessible by road
B. should be in a developed country
C. should have a unique feature
D. should have a moderate climate
true or false? approximately, 25% of the us population performs no leisure-time physical activity. marketing geared toward this group is a very easy task.
Approximately, 25% of the US population performs no leisure-time physical activity. marketing geared toward this group is a very easy task. --- False
Leisure time physical activity :
Leisure time physical activity refers to the set of behaviors related to physical activity that people engage in during their leisure time. Hence, there is a difference between it and physical activity performed in the context of paid employment or in the context of everyday life. Examples of recreational activities are walking, swimming, meditation, reading, games, and dancing. Leisure refers to the free time that people can take away from their daily responsibilities (e.g. work and household chores) to rest, relax and enjoy life.
Why is physical activity in leisure time important?Leisure time physical activity (LPTA) is another factor associated with common mental and physical illnesses, and has been shown to have a protective effect against coronary heart disease.
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A country has a trade deficit of $20 billion with its trading partners (
year. Which change would cause the country to have a trade surplus the
following year, assuming everything else remains the same?
A. The country increases its exports by $30 billion.
B. The country increases its imports by $30 billion.
C. The country decreases its exports by $10 billion.
D. The country decreases its imports by $10 billion.
D) The nation reduces its exports by $30 billion, the change would result in a trade deficit the following year for the country that had a trade surplus of $20 billion in one year.
When imports rise faster than exports, a trade deficit occurs. If the country increases its exports by $30 billion, decreases its imports by $10 billion, or increases its imports by $10 billion, it cannot have a trade deficit.
As a result, the country will only experience a trade deficit if its exports decrease by $30 billion while the rest of its exports remain unchanged.
With an example, what is a trade deficit?A country has a trade deficit when its imports exceed its exports over a given time period. A negative balance of trade (BOT) is another name for this situation. There are several ways to determine the balance, including: goods (also called " merchandise”), goods and services, and services and goods.
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Full Question = A country has a trade surplus of $20 billion with its trading partners over a
year. Which change would cause the country to have a trade deficit the
following year, assuming everything else remains the same?
A. The country increases its exports by $30 billion.
B. The country decreases its imports by $10 billion.
O C. The country increases its imports by $10 billion.
O D. The country decreases its exports by $30 billion.
The closing of a routine reply or positive message should (1 point)
O clearly state who will do what next.
explain the reasons for any negative information you have included.
O offer an explanation for why this decision was made.
O all of the above
You are going into business with 4 equal partners (not counting yourself). If in 6 years, the business is making a profit of $1,000,000, what is your share?
A. $180,000
B. $190,000
C. $200,000
D. $210,000
Answer:
The answer is C
Explanation:
I got the answer right lol
Equal amount in 5 division of $1,000,000 is $200,000 so our profit is $200000 therefore option (C) will be correct.
What is the arithmetic operator?Arithmetic operators are four basic mathematical operations in which summation, subtraction, division, and multiplication involve.,
Division = divide any two numbers or variable called division.
For example 4/8
Profit of business = $1,000,000
Total partner = 4 + 1(ourselve) = 5
Share per partner = Profit of business / total partner
Share per partner = 1000000 / 5 = $200,000
Hence "Equal amount in 5 division of $1,000,000 is $200,000 so our profit is $200000".
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From the following information, calculate the payroll tax expense for Gray Company for the payroll of April 9: (Click the icon to view the payroll.) The FICA tax rate for OASDI is 6.2% on the first $127,200 earned, and Medicare is 1.45% on all earnings. Federal unemployment tax is 0.6% on the first $7,000 earned by each employee. The SUTA tax rate for Gray Company is 5.4% on the first $7,000 of employee earnings for state unemployment purposes. (Round to the nearest cent as needed.) X Data table Employee Cumulative Earnings Before Weekly Payroll Gross Pay for the Week A. Jackson C. Hart $ 800 3,000 6,600 725 V. North 7,700 320 FICA - Medicare FICA - OASDI FIT FUTA SIT SUTA Total uiz calculate the payroll tax expense for Gray Company for the payroll of Apri
The payroll tax expense for Gray Company for the payroll of April 9 cannot be accurately calculated without information about Federal Income Tax (FIT) and State Income Tax (SIT).
To calculate the payroll tax expense, several factors need to be considered. The FICA tax consists of two parts: OASDI (Old-Age, Survivors, and Disability Insurance) and Medicare. The OASDI tax rate is 6.2% on the first $127,200 earned, while the Medicare tax rate is 1.45% on all earnings. The FUTA (Federal Unemployment Tax) rate is 0.6% on the first $7,000 earned by each employee. The SUTA (State Unemployment Tax) rate for Gray Company is 5.4% on the first $7,000 of employee earnings for state unemployment purposes. However, crucial information such as the Federal Income Tax (FIT) and State Income Tax (SIT) rates and calculations is missing. These taxes depend on various factors like employee income, filing status, and state regulations. Without these details, it is not possible to accurately determine the complete payroll tax expense for Gray Company. To obtain a precise calculation, it is necessary to have the specific FIT and SIT information for the given payroll period.
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Leroy's personal information is shown below:
13 years
3 years
Age
61
Tune at address
Age of auto
Car payınent $203
Housing costs Owns Clear
Checking and Both
savings accounts
Finance corapany No
reference
Major credit cards 5
Rano of debt to 294
coine
Declared
Never
banlouptey
According to the following table, what is his credit score?
Answer:
618
Explanation:
just answered it
The London School of Economics-Connson Locks-Actions Speak Louder than Words.pdf
Actions
Close your eyes and think of a great leader. What does this person look like? What does this person sound like? What is their dress? How do they carry themselves? In spite of what you may have observed from movies, television, and other media, Locke's research suggests that "there is no one single 'best' way to look and act like a leader". Read on to discover more of Locke's findings for one's non-verbal presentation and leadership.
According to Locke's research, there is no single ideal way to look and act like a leader in terms of non-verbal presentation.
As per Connson Locke's exploration, there is no conclusive appearance, sound, dress, or way of holding oneself that characterizes an extraordinary pioneer.
The thought that there is a solitary ideal method for looking and go about as a pioneer is a misguided judgment sustained by motion pictures, TV, and media.
Locke's discoveries underline that viable initiative and non-verbal show can shift incredibly founded on individual contrasts, social settings, and situational factors.
As opposed to adjusting to a foreordained generalization, incredible pioneers can show a different scope of non-verbal ways of behaving that line up with their interesting characters and initiative styles.
The exploration recommends that non-verbal correspondence assumes a pivotal part in administration viability. Pioneers who are mindful and ready to adjust their non-verbal ways of behaving to explicit circumstances and crowds will generally be more persuasive and moving.
These ways of behaving can incorporate certain non-verbal communication, mindful tuning in, legitimate articulations, and real motions.
At last, the vital important point from Locke's examination is that powerful pioneers center around building and keeping up with real associations with their devotees through their non-verbal show.
By getting it and utilizing their own special non-verbal signals, pioneers can make a positive effect and motivate others to accomplish shared objectives.
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if you work part-time when you would like to work full time, or have a full-time job that doesn’t utilize all your skills and talents, then you are counted as: group of answer choices frictionally unemployed underemployed structurally unemployed a discouraged worker
If you work part-time when you would like to work full time, or have a full-time job that doesn’t utilize all your skills and talents, then you are counted as: B. underemployed.
What is an unemployment rate?Unemployment rate can be defined as a measure or percentage of the total labor force in a country (economy), who are unemployed but are actively seeking to be gainfully employed by the employers of labor.
This ultimately implies that, an unemployment rate can be used to measure the number of unemployed workers with respect to the percentage of the labor force.
The types of unemployment.According to bureau of Labor statistics, unemployment can be divided into various types and these include the following;
Actual unemployment (AU).Cyclical unemployment (CU).Frictional unemployment (FU).Structural unemployment (SU).In this scenario, we can reasonably infer and logically deduce that a person who works work part-time when he or she would like to work full time would be counted as being underemployed.
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i dont get it
can you help ye s didniit os good to dxuiowesxvuedhhgv0x difc id dv h 0oidv
Evaluate the benefits and limitations of the change to the operations process being planned by the managing director.
Answer:
'Change in Operations process, by Managing Director' - Benefits & Risks
Explanation:
'Change in Operations process, by Managing Director' - Benefits
Operations' modernisation, brings new opportunities Operations' critical appraisal & improvisation New operations create Initiative for new innovative ideas'Change in Operations process, by Managing Director' - Limitations
Motivating, training employees for new changed operations might be a challengeEmployees might resist the changes New operations might have other feasibility risk factors.4. How do dependent tasks differ from primary tasks?
Answer:
The answer is below
Explanation:
Dependent task is a term used to describe a type of task that is associated with the main or independent task under a particular scope of work. It is usually a sub-task of the whole task that needs to be executed.
On the other hand, a Primary task is a term used to describe a type of task that takes the center stage or the major task with priority. It takes the largest or most resources in its execution.
Discuss whether or not growth of an industry will increase the profit earned by the firms in the industry.
Answer: Definitely, the larger the market, the larger the demand, the higher the profit. In some cases where the market is large, the producers may not meet up on some occasions, this make other producers to actually increase their profit margin based on they have to increase production.
Explanation:
Industries have their various activities, competition, customers (both prospective and existing). A growth in industry would mean that there is a larger demand for what is been sold in that industry, and when the demand is high, their would be lack, which would create that gap and allow marketers or producers get more profit, based on the high demand now. Definitely, the larger the market, the larger the demand, the higher the profit. In some cases where the market is large, the producers may not meet up on some occasions, this make other producers to actually increase their profit margin based on they have to increase production.
You should write down everything a speaker says when you take notes.
Please select the best answer from the choices provided
T
F
There is a growing movement in the United States led by the progressive wing of the Democratic Party to have the federal minimum wage raised to $15/hr. Some people agree with the $15/hr minimum wage for the United States, while others oppose raising the minimum wage. The arguments against raising the minimum wage range from the government should not dictate salaries to it will cause low wage workers to lose their jobs since businesses cannot afford a $15/hr minimum wage.
Do you agree with a $15/hr federal minimum wage? The current federal minimum wage in the United States is $7.25/hr. Fully explain your position on this issue in 2 - 3 paragraphs.
Source: Surviving an Unlivable Wage l Full Documentary (Financial Literacy)
In my opinion, minimum wage should be increased because an increase in minimum wage would reduce poverty, increase consumer spending, and promote economic growth.
Why Should Minimum Wage be Increased?Minimum wage has not kept pace with inflation, and that the current federal minimum wage of $7.25/hr is not a living wage in most parts of the United States. A $15/hr minimum wage would provide a more realistic living wage for many low-wage workers, but there is disagreement on whether this should be achieved through federal legislation or through individual state action.
Ultimately, whether or not to raise the minimum wage is a complex issue that involves balancing the needs of workers, businesses, and the overall economy. It is important for policymakers to carefully consider the potential impacts of any minimum wage increase and to find ways to support low-wage workers without unduly burdening businesses.
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Fisher Inc. wants to bring radical change to the current skills that exist in the organization, so they are going to employ ________ strategies.
Fisher Inc. wants to bring about a radical change to the current skills that exist in the organization, so they will employ internal growth strategies.
Change managementIt is an approach that should be used when an organization decides to implement significant changes that will impact administrative routines and the work of employees.
The purpose of change management is to prepare and support employees to adapt to changes that will occur in the work environment, generating greater transparency, compliance and reducing resistance.
Therefore, it is essential that when defining internal growth strategies that generate changes, the organization analyzes, monitors and evaluates the changes so that the new processes occur successfully and generate benefits for the company.
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was there new technology or innovation involved in epidemiology
Answer:
Epidemiology has evolved with the development of new molecular technologies that refine the way we investigate the relationships between exposure and disease.
a possible drawback to using an atm for your daily cash needs is?
A possible drawback to using an atm for your daily cash needs is Fees.
One of the main drawbacks of using an ATM for daily cash needs is the fees associated with using the machine. Most ATMs are owned by banks or third-party operators, and they charge a fee for every transaction made using their machine.
These fees can add up quickly, especially for individuals who use the ATM frequently, and can take a significant chunk out of their hard-earned money. In addition, many ATMs have a daily withdrawal limit, which can be inconvenient for individuals who need to withdraw larger amounts of cash.
Furthermore, ATMs are not always located in convenient or safe areas, which can be a security concern for some individuals. For these reasons, it's important to consider the fees and location of an ATM before using it for daily cash needs.
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What amount invested at the end of each year at 10 percent
annually will grow to $10,000 at the end of five years?
a. $1,489.07.
b. $1,637.97.
c. $1,723.57.
d. $1,809.75.
e. $2,000.00.
The amount that needs to be invested at the end of each year at 10 percent annually to grow to $10,000 at the end of five years is $1,723.57.
To calculate the amount to be invested, we can use the formula for the future value of an ordinary annuity:
Future Value = Payment * [(1 + Interest Rate)^Number of Periods - 1] / Interest Rate
In this case, the future value is $10,000, the interest rate is 10 percent (or 0.10), and the number of periods is five.
$10,000 = Payment * [(1 + 0.10)^5 - 1] / 0.10
Simplifying the equation, we have:
$10,000 = Payment * [1.61051 - 1] / 0.10
$10,000 = Payment * 0.61051 / 0.10
$10,000 = Payment * 6.1051
Solving for Payment, we find:
Payment = $10,000 / 6.1051 ≈ $1,637.97
Therefore, the amount that needs to be invested at the end of each year is approximately $1,723.57.
To achieve a future value of $10,000 at the end of five years with a 10 percent annual interest rate, approximately $1,723.57 needs to be invested at the end of each year.
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Flesch Corporation produces and sells two products. In the most recent month, Product C90B had sales of $31,590 and variable expenses of $9,477. Product Y45E had sales of $19,550 and variable expenses of $8,798. The fixed expenses of the entire company were $18,000. If the sales mix were to shift toward Product C90B with total dollar sales remaining constant, the overall break-even point for the entire company:
Multiple Choice
would decrease.
would increase.
could increase or decrease.
would not change
The overall break-even point for the entire company would decrease if the sales mix were to shift toward Product C90B with total dollar sales remaining constant.
This is because Product C90B has a higher contribution margin (sales - variable expenses) compared to Product Y45E. By increasing the proportion of sales from Product C90B, which has higher profitability, the company can cover its fixed expenses more efficiently, resulting in a lower overall break-even point.
When the sales mix shifts towards Product C90B, which has a higher contribution margin, it means that for every dollar of sales from Product C90B, there is a larger contribution to cover the fixed expenses compared to Product Y45E. This is because the contribution margin represents the amount of revenue that contributes towards covering fixed expenses after subtracting variable expenses.
By increasing the proportion of sales from Product C90B while keeping total dollar sales constant, the company can generate a higher overall contribution margin. This increased contribution margin helps offset the fixed expenses more effectively, leading to a lower overall break-even point. Therefore, the break-even point for the entire company would decrease in this scenario.
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cellphones are one form of communication technology, give any other form
Answer:
television,newspaper,radio,laptops,computer etc..
Answer:
TRANSPORT AND LANDLINES.What are the functions of money?
A. A measure of debt
B. A storehouse of value
C. A form of bartering
D. A unit of account
E. A medium of exchange
Answer:
E,C, and D, and B
Explanation:
The functions of money are- a measure of debt, a storehouse of value, a unit of account, and a medium of exchange. Thus all the options except C are the functions of money.
What is money?Money is any item or verifiable record that is widely accepted in a particular country or socio-economic context as payment for goods and services and repayment of debts, such as taxes.
Money serves as a medium of exchange, a unit of account, a store of value, and, in some cases, a standard of deferred payment. Money was historically an emerging market phenomenon with intrinsic commodity value.
Its value is derived as a result of social convention, having been declared legal tender by a government or regulatory entity; that is, it must be accepted as a form of payment within the borders of the country, for "all debts, public and private."
Therefore, options A, B,D, and E are the functions of money.
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describe how net profit of a business is calculated?
Answer:
u must work out the total cost and variable cost and add them up, then you must count all your sales and figure out ur revenue. then u do ur total revenue minus ur total costs
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The formula to calculate profit is: Total Revenue - Total Expenses = Profit. Profit is determined by subtracting direct and indirect costs from all sales earned. Direct costs can include purchases like materials and staff wages. Indirect costs are also called overhead costs, like rent and utilities.
For businesses, profit is often calculated by profit margin formula:follow me nice business
List four people you know who would be good references to include on a job application. What is their relationship to you? Explain why you have selected them.
Answer:
Explanation:
Someone you have worked with previously (a coworker). They would be able to speak for how well you work with other people, how you contribute to the environment etc.
Boss from previous job. They can testify to the quality, quantity, regularity and consistency of work + how responsible and dependant you are.
Someone you do volunteer work with or anything extra-curricular related to job. Shows passion and character outside of a professional environment.
A teacher (if its your first job), who can show how well you learn new skills and how willing you are to be critiqued and improve.
Answer:
My friend Sanatana, we worked together really well. My other friend Feliciti, we worked on register together. My friend Daniel, he and I worked salads together. My mom, who would be a good character reference.
What is the difference between following the law and acting ethically?
A. Following the law is not enforced but acting ethically is.
B. Following the law involves a set of rules; acting ethically involves your conscience.
C. Following the law involves doing what is right; acting ethically involves doing what is wrong.
D. Following the law is an option but acting ethically is not.
Answer:
Following the law involves doing what is right; acting ethically involves doing what is wrong
Explanation:
Assume that you manage a risky portfolio with an expected rate of return of 14% and a standard deviation of 30%. The T-bill rate is 6%. Your client chooses to invest 85% of a portfolio in your fund and 15% in a T-bill money market fund. What is the expected return and standard deviation of your client's portfolio? (Round your answers to 2 decimal places.) Suppose your risky portfolio includes the following investments in the given proportions: What are the investment proportions of your client's overall portfolio, including the position in T-bills? (Round your answers to 2 decimal places.) What is the reward-to-volatility ration (S) of your risky portfolio and your client's overall portfolio? (Round your answers to 4 decimal places.)
In the given statement, the reward-to-volatility ratio of the client's portfolio is 0.2363.
Part 1:Expected Return and Standard Deviation of Client's Portfolio Expected Return: Expected return of risky portfolio = 14%T-bill rate = 6%Weighted average return = (0.85 × 14%) + (0.15 × 6%)= 11.9%Therefore, the expected return of the client's portfolio is 11.9%.Standard Deviation: Standard deviation of risky portfolio = 30%Weighted average standard deviation = √[(0.85² × 30²) + (0.15² × 0²) + 2(0.85)(0.15)(30)(0)] = 24.97%Therefore, the standard deviation of the client's portfolio is 24.97%.Part 2: Investment Proportions of Overall Portfolio Investment Proportions: Investment Proportions Overall Portfolio XYZ Inc. $140,000/$500,000 = 28.00%28.00% × 85% = 23.8%A Inc. $80,000/$500,000 = 16.00%16.00% × 85% = 13.6%Z Inc. $160,000/$500,000 = 32.00%32.00% × 85% = 27.2%Position in T-bills = 15.00%Total = 100.00%.
Therefore, the investment proportions of your client's overall portfolio are as follows:23.8% in XYZ Inc.13.6% in A Inc.27.2% in Z Inc.15.0% in T-bills Part 3: Reward-to-Volatility Ratio Reward-to-Volatility Ratio: Reward-to-Volatility Ratio of Risky Portfolio: Reward-to-Volatility Ratio of Risky Portfolio = (Expected Return of Risky Portfolio − T-bill rate) / Standard Deviation of Risky Portfolio= (14% − 6%) / 30%= 0.2667Therefore, the reward-to-volatility ratio of the risky portfolio is 0.2667.Reward-to-Volatility Ratio of Client's Portfolio: Reward-to-Volatility Ratio of Client's Portfolio = (Expected Return of Client's Portfolio − T-bill rate) / Standard Deviation of Client's Portfolio= (11.9% − 6%) / 24.97%= 0.2363Therefore, the reward-to-volatility ratio of the client's portfolio is 0.2363.
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Staintation has $70 million in assets and $50 million in owners’ equity. How much does the firm have in liabilities?
The firm has $20 million in liabilities. through the accounting concepts i.e., assets = owners equity + liabilities.
The accounting equation is the formula that states that the sum of a company's liabilities and equity equals its total assets (Assets = Liabilities + Equity). The unique relationship between a company's liabilities, assets and equity is the backbone of double-entry bookkeeping.Accounting equations are the basis of double-entry bookkeeping. The balance sheet formula shows that on a company's balance sheet, the company's total assets equal the sum of its liabilities and the company's equity. assets represent valuable resources managed by the company. Liabilities represent its obligations.Liabilities and equity both describe how a company's assets are financed.Debt financing is presented as debt and equity financing is presented as equity. increase.Thus, when assets equal to liabilities and owners' equity then we can easily bring out the liabilities i.e., $20 million.
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Rising interest rates have made borrowing more costly to consumers. As a result
of the most recent increase in interest rates, borrowing and consumption have
fallen throughout the economy, triggering a contractionary period. Growing
uneasy, citizens have been asking Congress to make an official statement as to
how long this contractionary period is expected to last. Which of the following is
an appropriate response?
Answer:
it depends on the measures taken to ensure that economy is stable.
Answer:
1. it is difficult to say since contractionary periods have varying lengths in different business cycles.
2. shock
3. high unemployment
4. two
5. expansion stage of the business cycle
Explanation:
just took it
Buys large quantities of products directly from the manufacturer and then sells small quantities to retailers.?
Answer:
Wholesaling is the act of buying goods in bulk from a manufacturer at a discounted price and selling to a retailer for a higher price, for them to repackage and in turn resell in smaller quantities at an even higher price to consumers.
Explanation:
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true or false: when computing unit costs, the direct materials and direct labor costs are the same, regardless of whether abc or a volume-based costing system is used.
The statement "when computing unit costs, the direct materials and direct labor costs are the same" is False.
When computing unit costs, the direct materials and direct labor costs may differ depending on whether an ABC or volume-based costing system is used. In ABC, overhead costs are allocated based on activity levels, which can result in different direct materials and direct labor costs compared to a volume-based costing system that allocates overhead costs based on a single predetermined rate.
In an ABC system, the direct materials and direct labor costs may be allocated based on the activities that drive those costs, which may result in a different allocation than in a volume-based costing system that simply allocates costs based on volume or some other metric. Therefore, the direct materials and direct labor costs may not be the same in both costing systems, and may result in different unit costs.
In an ABC system, the direct materials and direct labor costs may be allocated based on the activities that drive those costs, which may result in a different allocation than in a volume-based costing system that simply allocates costs based on volume or some other metric. Therefore, the direct materials and direct labor costs may not be the same in both costing systems, and may result in different unit costs.
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