The worth of one share of stock given a required rate of return is $45.39.
What is the worth of the stock?In the two-stage dividend growth model, the first stage is characterised by high growth rate. In the second stage, the high growth rate falls to a steady or normal growth rate
Dividend in Y1 = $4.60
Dividend in Y2 = $4.60 x 1.08 = 4.968
dividend in Y3 = 4.968 x 1.08 = 5.37
Dividend after Y3 = (5.37 x 1.03) / (0.14 - 0.03) = 50.24
Find the present value of these cash flows
4.60 / 1.14 + 4.968 / 1.14² + 5.37 / 1.14³ + 50.24 / 1.14³ = $45.39
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Which of the following is NOT one of the 5 major flows in any supply chain?
Product flow
Financial flow
Cash flow
Risk flow
Answer:cash flow
Explanation: the 5 are product flow, financial flow, information flow, value flow & risk flow.
The country in which an International company has its primary headquarters and the larger consumer base is called its
trading country
economic country
host country
home country
Trey has $5.00, he needs gas and he needs to eat lunch. He can only do one for $5.00 not both or part of both. Trey buys gas to go home. What is his opportunity cost? What is the alternative not chosen by trey?
Answer:
Tray's opportunity cost is not being able to purchase lunch, the alternative tray decided not to take would I assume to be just getting gas and to eat at his house.
The opportunity cost of buying gas is Trey would not be able to eat lunch. The alternative not chosen by Trey is eating lunch.
What is opportunity cost ?The value or advantage forfeited by engaging in a specific activity in comparison to engaging in an alternative activity is known as the opportunity cost of that activity. More effective implies that you forfeit the chance to engage in a different activity if you choose one.
Opportunity costs are the possible advantages that a person, investor, or company forgoes while deciding between two options. Opportunity costs are by definition invisible, making it simple to ignore them.
When the value of the next best alternative is computed and the alternative chosen, the term "opportunity cost" is used to explain it best.
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how is weather useful to our body
Answer:
1. precipation
2. national security
Explanation:
1. Having a stable climate and weather patterns benefits national security. If a government can predict the amount of water and the average risk for drought or other natural disasters, it can better prepare its population for possible adversities. If the climate and weather were to suddenly change, disaster response teams may not be able to adapt quickly enough. It could also lead to international conflicts as the need for humanitarian aid rises in response to a higher demand on resources.
2. The stability of the climate is an important factor to human health. Because overall climates are stable for long stretches of time, humans adapt to a given climate. For example, the evolution of light skin from dark was to help humans become more resistant to cold weather and synthesize more vitamin D per each exposure to ultraviolet light as they moved away from the equator to areas where there was less direct sunlight and more cloud-covered days. Rapid climate change could be detrimental to human health because the body cannot adapt quickly enough to changes in the weather and environment.
2.
Having a stable climate and weather patterns benefits national security. If a government can predict the amount of water and the average risk for drought or other natural disasters, it can better prepare its population for possible adversities. If the climate and weather were to suddenly change, disaster response teams may not be able to adapt quickly enough. It could also lead to international conflicts as the need for humanitarian aid rises in response to a higher demand on resources.
Select the correct answer.
Who needs to acquire a liquor license?
A.
a bartender
B.
the owner of an establishment
C.
an executive chef
D.
a food processing specialist
Your classmate is telling you how they plan to become financially secure.
Which of the following factors can help him do so?
saving money
both saving and investing money
investing money
neither saving nor investing money
it is not just the answer "Saving money" i already took the test and that answer was wrong
Answer:
both saving and I vesting
What is institutional advertising focused on promoting?
A. A company
B. The Internet
C. A service
D. A good
Please select the best answer from the choices provided
Answer:
Product advertising focuses on promoting specific individual products while institutional advertising focuses on your overall brand
Answer:
A. A company
Explanation:
Right on EDGE 2021
If the account is interest bearing, how would you account for the interest when you reconcile your account?
1. subtract the interest from your running balance
2. add the interest to your running balance
3. forget about it since it is probably a small amount
4. keep a separate entry for interest
Answer:
the answer is 1 I do in fact think
The account for the interest when you reconcile your account is subtract the interest from your running balance Option(1) is correct. Stores have filled unequivocally as of late, despite the fact that there has been no development in interest-bearing protections.
What is Interest Bearing?An interest-bearing record is a kind of financial balance that pays the client an interest rate in return for them storing their cash at the bank.
The return and interest rate offered will change by bank and rely upon the record agreements. They can likewise change over the long run. There are various reasons you ought to open an interest-bearing record.
Not exclusively will you bring in cash from your reserve funds, yet you can keep it where you will not be enticed to spend it. It's dependably really smart to set aside cash and keeping one or even a few records that procure you interest is a shockingly better thought.
Families contribute around two-fifths of their monetary resources in interest-bearing resources. These resources are prevalently held straightforwardly in stores and furthermore through superannuation and other venture reserves.
Therefore Option(1) is correct.
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bankers differ from investors in that question 23 options: bankers are looking for a return on equity. bankers are looking for company growth. bankers are looking for assurances of interest payments and repayment of the principal of the loan. all of these.
Last option is correct. Bankers differ from investors in that they require interest payments and guarantees of repayment of the loan amount.
Lenders use these factors to determine whether to approve a financial product, so the He 5 C's of credit are important. Lenders use these five Cs (Character, Capacity, Principal, Collateral, and Terms) to set lending rates and lending terms.
The 5 Cs of Credit is a system used by lenders to assess the creditworthiness of potential borrowers. The system weighs the borrower's five characteristics against the terms of the loan and attempts to estimate the probability of default and the consequent risk of financial loss for the lender. The 5 C's of credit are character, ability, principal, collateral, and terms.
The 5 C's of credit are used to communicate the creditworthiness of potential borrowers, starting with the applicant's personality, which describes their credit history.
Capacity is the debt to income ratio (DTI) of the applicant. Capital is the amount that the applicant has. Collateral is an asset that can guarantee a loan or act as security. The terms are the purpose of the loan, the amount of the loan, and the general interest rate.
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PLEASE HELP ASAP (EASY)
Fiona short has wondered how to turn her 185,000 followers into an even bigger business. She thinks she has two options: 1. Open a Fifi's Closet shop in central London or 2. Pay a friend to set up a second e-commerce Fifi's Closet website in French. Justify which of these two options Fiona should choose (9 marks)
Answer:
2
Explanation:
you're capable of reaching more people with a website
Ratna is preparing q presentation titled "similarities between miceo-leval and marco-lecal orientation in sociology". Which explanation should she include
Answer:
Ratna is preparing q presentation titled "similarities between micro-level and marco-local ... - did not match any documents.
Suggestions:
Make sure that all words are spelled correctly.
Try different keywords.
Try more general keywords.
Which of the following is usually an effect of an embargo?
A. Prices fall because consumers have more options
B. Prices rise because consumers have fewer options
C. Countries benefit because open trade is encouraged
D. Smaller countries give in to the demands of larger countries
Answer: b
Explanation:
Answer: Correct option is B
Price rise because consumers have more options
Explanation: Lack of competition drives up INCREASE in the prices for consumers. In a price of increase for such product such as drugs. As fewer large players have controlled more of the market, mark-ups have tripled increase the price, and consumer has a few options. Families are paying higher prices for necessities things like prescription drugs, hearing aids, and internet service. Prohibited for such product so that's why the price will rise in this condition consumer have fewer option.
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You are financial managers of a company that produces printers. Currently, you are using NPV method to evaluate a 10-year project that will produce a new model. The WACC is 10% and the tax rate is 21%. 1. The project needs a set of machines that are worth $5 million. The company uses a 10-year straight-line depreciation method so that 100% of fixed assets will be depreciated by year 10. The fixed asset is estimated to be sold for $0.5 million at the end of year 10. 2. In the past two years, the company spent $800,000 in R&D to develop the new model. 3. The project will be partially financed with debt, and the interest to be paid every year would be $100,000. 4. If the new project is taken, it is expected that the current inventory level will increase by $1,500,000, account receivable will increase by $1 million, account payable increases by $800,000, and the minimum cash balance will increase by $0.5 million. 5. The net sales from this project will be $8 million per year, of which 20 percent will be from the lost sales of existing products. The variable costs of the production will be 30% of the net sales. 6. The project will require hiring a new manager, who will cost $100,000 per year. In addition, the firm needs to rent a new office for $50,000 a year. 7. Currently, the overhead of the firm is $500,000. And the accounting department will allocate 20% of this amount to the new project.
How much is the operating cash flow for the first year?
a. 3,265,000
b. 3,225,500
c. 3,146,500
d. 2,765,000
e. 2,646,500
The operating cash flow for the first year is $3,265,500. Therefore, option A is the correct answer.
The operating cash flow (OCF) for the first year of the project can be calculated using the formula:
OCF = (Revenue - Costs - Depreciation) × (1 - Tax rate) + Depreciation.
Here's how to calculate the OCF for the first year of the project using the given information:
Revenue = Net sales × (1 - Lost sales %) = $8,000,000 × (1 - 20%) = $6,400,000
Costs = Variable costs × Net sales + Fixed costs = 30% × $8,000,000 + $100,000 + $50,000 + 20% × $500,000 = $2,640,000
Depreciation = Fixed asset cost - Salvage value / Life = ($5,000,000 - $500,000) / 10 = $450,000
Substituting these values into the OCF formula:
OCF = ($6,400,000 - $2,640,000 - $450,000) × (1 - 0.21) + $450,000
OCF = $3,265,500
Therefore, the operating cash flow for the first year is $3,265,500. Therefore, option A is the correct answer.
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Julie has just retired. Her company’s retirement program has two options as to how retirement benefits can be received. Under the first option, Julie would receive a lump sum of $141,000 immediately as her full retirement benefit. Under the second option, she would receive $20,000 each year for 8 years plus a lump-sum payment of $60,000 at the end of the 8-year period.Required:1. Calculate the present value for the following assuming that the money can be invested at 9%. If she can invest money at 9%, which option would you recommend that she accept?
After considering the given data we conclude that option 1 has a greater present value than option 2, I advise Julie to choose it.
In order to evaluate the present value of money, we have to know the future value, the interest rate per period, and the number of periods.
We apply this formula:
\(PV = FV/ (1+r)^n,\)
Here we perform division regarding the future value by a factor of 1 plus the interest rate raised to the power of the number of periods.
For choice 1, Julie will get her whole retirement payout in a lump payment of $141,000 right now. Option 2 will conclude her with $20,000 a year for eight years along with a lump sum payout of $60,000 at the end of the eight years.
To evaluate which option is better for Julie assuming that she can invest money at 9%, we can calculate the present value for each option.
PV equals $141,000 for option 1 / (1+0.09)0 = $141,000
PV is $20,000 / (1+0.09) for option 2 + $20,000 / (1+0.09)² + $20,000 / (1+0.09)³ + $20,000 / (1+0.09)⁴ + $20,000 / (1+0.09)⁵ + $20,000 / (1+0.09)⁶ + $20,000 / (1+0.09)⁷ + ($60,000) / (1+0.09)⁸ = $128,591
As a result, because option 1 has a greater present value than option 2, I advise Julie to choose it.
In the field of finance and economics, interest is considered the amount paid over and above the principle amount (the amount borrowed) to a lender or depositor by a borrower or deposit-taking financial institution at a predetermined rate. It differentiates from a fee that the borrower have to pay to the lender or another organization.
It also distinguished from a dividend, which is cash distributed to shareholders (owners) by a business from its profit or reserve, but not at a predetermined rate or proportionally; rather, it is a portion of the reward received by risk-taking businesspeople when revenue is earned that exceeds all costs.
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HELP! If the price of an Economics e-text was equal to $45.00 and the quantity sold was equal to 125, then the total revenue would equal $3,625. True or False?
Answer:
T
Explanation:
Janessa wants to pay off her credit card balances within 12 months. She is trying to decide if she should use her $1,000 in savings to pay off part of the balances or if she should transfer the balances to a new card with a low introductory rate. The new credit card has an introductory rate of 6. 5% but charges a balance transfer fee of $50 for each balance transfer. Janessa decides to pay of Credit Card B and $420 of Credit Card A, then transfer the remaining balance of Credit Card A to the new card. Which of the following options shows the amount of Janessa's new monthly payment? Credit Card A: $957 Credit Card B: $580 a. $54. 97 b. $50. 66 c. $18. 12 d. $46. 34.
Explanation:
The answer is B$50.66 that's what I got
Sand Key Development Company has a capital structure consisting of $20 million of 10% debt and $30 million of common equity. The firm has 500,000 shares of common stock outstanding. Sand Key is planning a major expansion and will need to raise $15 million. The firm must decide whether to finance the expansion with debt or equity. If equity financing is selected, common stock will be sold at $75 per share. If debt financing is chosen, 7% coupon bonds will be sold. The firm's marginal tax rate is 34%. Determine the level of operating income at which Sand Key would be indifferent between debt financing and equity financing
The level of operating income at which Sand Key would be indifferent between debt financing and equity financing is: $5,675,000.
Indifferent between debt financing and equity financingFirst step
Number of new shares to be issued = 15,000,000/75
Number of new shares to be issued = 200,000 shares
Total number of shares if equity is issued =500,000+200,000
Total number of shares if equity is issued =700,000 shares
Second step
Total interest expense under Debt option=[(20,000,000×10%)+(15,000,000×7%)]
Total interest expense under Debt option=2,000,000+1,050,000
Total interest expense under Debt option=3,050,000
EPS under Equity option =(EBIT-2,000,000)×(1-0.34)/700,000
EPS under Equity option =(EBIT-2,000,000)×0.66/700,000
EPS under Debt option =(EBIT-3,050,000)×0.66/500,000
Third step
Indifference level operating income (EBIT)
(EBIT-2,000,000)×0.66/700,000 = (EBIT-3,050,000)×0.66/500,000
Solve for EBIT:
5×(EBIT-2,000,000) = 7×(EBIT-3,050,000)
2×EBIT = 7×3,050,000-5×2,000,000
2×EBIT=21,350,000-10,000,000
2×EBIT=11,350,000
EBIT =11,350,000/2
EBIT=$5,675,000
Therefore the level of operating income at which Sand Key would be indifferent between debt financing and equity financing is: $5,675,000.
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According to dod 8570. 01-m, the ia technical category consists of how many levels?.
According to dod 8570. 01-m, the IA technical category consists of 3 level.
How many levels are in the Ia technical category?There are known to be three category levels that can be seen in all of the IAT category. They include:
Level 1: This is known to be the Computing environment information assurance.
Level 2: This is known to be Network environment information assurance.
Level 3: This is known to be the Enclave, advanced network and computer information assurance.
Note also that there are 3 Skill Levels of DoD 8570.01-m and they are said to be of the fact that IAT, IAM and IASAE categories have also 3 skill levels: which are I, II and III.
Therefore, According to dod 8570. 01-m, the IA technical category consists of 3 level.
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What is one counter-argument to the premise that the wealth gap is a serious problem which needs to be addressed? the lower classes have the opportunity to invest. poor people can easily move into the middle class. investments by the upper class create lower-class jobs. buying power sharply increases for the working class.
The investments by the upper class that creates lower-class jobs is the counter-argument on wealth gap that needs to be addressed.
What is a wealth gap?This refers to the gap that classifies the group of people based on their earned income and wealth.
The statement that "Investments by the upper class create lower-class jobs" need to be addressed because it is a true statement about the condition of every economy.
Therefore, the Option C is correct.
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Answer:
C
Explanation:
rig co. sold its factory at a gain and immediately leased it back for 10 years. the factory's remaining economic life is 20 years. the lease was reported appropriately as an operating lease. how should rig report the gain in the financial statements?
Rig Co. should report the gain as income in the period in which the sale was completed. The gain should be reported on the income statement as "Gain on Sale of Factory".
The lease should also be reported on the income statement as an expense over the term of the lease.
The gain on sale of the factory should be reported as a non-operating item on the income statement, separate from the operating lease expense. This allows investors to distinguish between the income from the sale of the factory and the expenses related to the lease of the factory.
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"Long time frames give researchers the luxury of selecting the method that will produce the highest quality data." (True or False)
The given statement "Long time frames give researchers the luxury of selecting the method that will produce the highest quality data." is false because long time frames do not necessarily give researchers the luxury of selecting the method that will produce the highest quality data.
The selection of research methods depends on the research question, the nature of the data, and the resources available, among other factors. Researchers must carefully consider all of these factors when selecting the most appropriate research method, regardless of the time frame of the study. While longer time frames may allow for more comprehensive data collection, they do not guarantee the use of the most appropriate research method for producing high-quality data.
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in 2022, juan makes the following donations to qualified charitable organizations: basis fair market value inventory held for resale in juan's business (a sole proprietorship) $8,000 $ 5,600 stock in sparrow, inc., held as an investment (acquired two years ago) 10,000 18,000 comic book collection held as an investment (acquired six years ago) 4,000 6,000 the sparrow stock and the inventory were given to juan's church, and the comic book collection was given to the united way. both donees promptly sold the property for the stated fair market value. disregarding percentage limitations, juan's charitable contribution deduction for 2022 is:
The total charitable contribution deduction for Juan in 2022 is $8,000 + $18,000 + $6,000 = $28,600.
How do you determine the total charitable contribution deduction for Juan?Juan's charitable contribution deduction for 2022 is $28,600.
The contribution of the inventory held for resale in Juan's business, with a fair market value of $8,000 and a basis of $5,600, results in a charitable contribution deduction of $8,000.
The contribution of the Sparrow, Inc. stock, with a fair market value of $18,000 and a cost of $10,000, results in a charitable contribution deduction of $18,000.
The contribution of the comic book collection, with a fair market value of $6,000 and a cost of $4,000, results in a charitable contribution deduction of $6,000.
Therefore, the total charitable contribution deduction for Juan in 2022 is $8,000 + $18,000 + $6,000 = $28,600.
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A large corporation that has its headquarters in Boston, manufacturing plants in Indonesia, and regional offices and retail stores on four continents, including Latin America is called a:
Which post-secondary program requires minimal prerequisites?
Answer with Explanation:
It depends upon the college or university you choose. If you are choosing a foreign college or university then following are the possible minimal pre-requisites:
Age FactorAttained Marks percentage Language Speaking requirement which includes taking an English speaking, learning and writing test. Examples of approved english skills tests programs are TOEFL, IELTS, etc.Minimum Fee depositCharacter CertificateValid PassportPersonal Information Providing Field oriented report which explains why you want to opt this program.Other requirements depending upon the course, university and law that governs the territory in which the institute operates.Which are guidelines for using Themes?
Check all that apply.
A. Using different cell styles can help you differentiate different types of data.
B. Fonts should be easily readable and of appropriate size.
C. You cannot customize the default themes.
D. Be consistent with themes across worksheets and workbooks.
E. Applying a new theme will only change cells in a workbook that have no other formatting applied.
Answer:
I think it's D. or A. or B. but I mostly think it's D. Be consistent with themes across worksheets and workbooks
Statements that explains the guidelines when using a Theme are: A. Using different cell styles can help you differentiate different types of data.
B. Fonts should be easily readable and of appropriate size.
C. You cannot customize the default themes.
WordPress theme can be regarded as a group of files, these file can contains graphics, style sheets as well as code, which will give overall appearance of a blog or website.In using this, we can follow some guidelines such as; making use of more than a cell can help in differentiatiation of different types of data, default themes cannot be customized, and the selection of fonts should be made carefully.Therefore, option, ABC are correct.
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Do non-profit businesses make a profit ?
Answer:Yes
Explanation:
You and your brother agree (your mother disagrees) to merge the corporation into a larger insignia brand of third-world
sweatshop-made imitation friendship bracelets called Phooey Buitton (PB) by creating stocks and selling them to PB. You do this
in the midst of the corporate veil lawsuit so that PB absorbs the lawsuit as among BBFB's assets and liabilities. This is legal.
O True
O False
Answer:
True
Explanation:
False was Incorrect on Edg so then theres only one answer left.
Answer:
true
Explanation:
Which is an example of an accounting function for a business?
1.) Designing print advertisements
2.) Preparing a balance sheet
3.) Hiring employees
4.) Testing computer software
A two-word phrase in each box. The value of the X (____) Q is equal to the x (_____) K, when equilibrium is reached
The value of the X (quantity demanded) Q is equal to the x (quantity supplied) K when equilibrium is reached
The phrase that fits in each box is "quantity demanded" and "quantity supplied". In economics, the quantity demanded refers to the amount of a particular good or service that consumers are willing and able to purchase at a given price. On the other hand, the quantity supplied refers to the amount of the same good or service that suppliers are willing and able to produce and offer for sale at a given price.
The law of supply and demand states that in a competitive market, the price of a good or service will adjust to bring the quantity supplied and quantity demanded into balance. The point at which this balance is achieved is known as the market equilibrium.
At this point, the quantity demanded (as indicated by Q) is equal to the quantity supplied (as indicated by K), which is why the value of the X (quantity demanded) Q is equal to the x (quantity supplied) K when equilibrium is reached. This equilibrium is a crucial concept in understanding how markets work and how prices are determined.
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T/F four years ago, bettis incorporated paid a $5 million lump-sum price to purchase a business. bettis allocated $600,000 of the price to goodwill. which of the following statements is true?
True. Four years ago, Bettis Incorporated paid a $5 million lump-sum price to purchase a business. Bettis allocated $600,000 of the price to goodwill. Goodwill is an intangible asset that represents the excess of the purchase price over the fair market value of the identifiable net assets acquired.
Goodwill arises when a company acquires another business and pays a price that is greater than the fair market value of the net assets acquired. It reflects the value of the acquired business's reputation, customer base, brand recognition, and other factors that contribute to its future earnings potential. When Bettis Incorporated allocated $600,000 of the purchase price to goodwill, it was acknowledging that a portion of the price paid represented the value of the acquired business's intangible assets. This allocation is important because it affects the company's financial statements. The amount allocated to goodwill is not deductible for tax purposes, and it is subject to periodic impairment testing. If the value of the acquired business's goodwill declines, Bettis Incorporated may need to write down its value, which would result in a charge to earnings.In summary, Bettis Incorporated paid $5 million to purchase a business and allocated $600,000 of the price to goodwill.
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