A callable bond pays annual interest of $60, has a par value of $1,000, matures in 20 years but is callable in 10 years at a price of $1,100, and has a value today of $1055.84.The yield to call on this bond is __________.A) 6.00%B) 6.58%C) 7.20%D) 8.00%

Answers

Answer 1
a. 6%

Calculator entries are N = 10, PV = -1,055.84, PMT = 60, FV = 1,100, CPT I/Y 6
Answer 2

According to the condition, the yield to call on this bond is 6.00%. Thus, the correct option is (A).

The phrase "yield to call" refers to the return received by a bondholder if the security is kept until the call date, which is prior to the maturity date.

Yield to call is used for callable bonds, which are securities that allow bond investors to redeem the bonds (or the bond issuer to repurchase them) at the call price before the maturity date.

The yield to call is the amount paid if the issuer of a callable bond chooses to pay it off early.

Here,

Number of periods = 10

payment (PMT) = 60.00

Present value (PV)=  -1,055.84

Future value (FV) = 1,100.00

Calculate the Yield to call as follows:

Yield to call = (nper,pmt,pv,fv)

= (10, 60, -1055.84, 1100)

= 6%

Therefore, the correct option is "A".

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Related Questions

Earnings of workers are typically decreased by

Answers

It’s typically decreases by the amount of other workers.

What is the effect on​ China's aggregate demand when the United States goes into​ recession, when Japanese and European firms establish new plants in​ China, or when the Chinese yuan strengthens against the U.S.​ dollar?

Answers

Answer:

When the United States goes into recession - China's aggregate demand suffers greatly, meaning that it is reduced. This is because China is an important exporter of goods to the United States, so the exports element of Aggregate Demand will fall, bringing down Aggregate Demand as a whole.

When Japanese and European firms establish new plants in​ China - Chinese aggregate demand increases because more private investment from abroad arrives in the country, not only benefiting the Japanese owners, but also Chinese workers in the form of wages, Chinese companies in the form of more domestic consumption, and the Chinese government in the form of more tax revenue.

when the Chinese yuan strengthens against the U.S.​ dollar? - Aggregate demand will probably fall because a stronger yuan will decrease Chinese exprots, and increase American imports to China, and imports are not part of the Aggregate Demand calculation.

Assume that the risk-free rate is 4% and the required return on the market is 11%. What is the required rate of return on a stock with a beta of 1.9

Answers

Answer:

24.9%

Explanation:

Risk free rate is 4%

Required return on the market is 11%

Beta is 1.9

Therefore the required rate of return on a stock can be calculated as follows

= 4% + 1.9×11

= 4% + 20.9

= 24.9%

Hence the required rate of return on a stick is 24.9%

What is the preferred method of resolving a partner's deficit balance, according to the Uniform Partnership Act?

a. Panners never have a deficit balance.
b. The other partners must contribute personal assets to cover the defict baliance.
c. The partnershlip must sell assets In order to cover the deficlt balance.
d. The partner with a deficlt balance must contribute personal assets to cover the deficit balance.
e. The partner with a deficlt balance contributes personal assets only If those personal assets exceed personal lablties.

Answers

Answer:

e. The partner with a deficlt balance contributes personal assets only If those personal assets exceed personal lablties.

Explanation:

The Uniform Partnership Act is a provision that resolves conflicts in a partnership that is not addressed in the partnership agreement.

The Act is used mostly with small and informal partnerships.

It has been adopted in all states except Louisiana.

Partners must settle their debts in order to redeem their interest in the partnership.

UPA provides that partner with deficit contributes personal assets only If those personal assets exceed personal liabilities.

Choose the correct word in brackets to complete the following:(1) Which fluctuate more-long-term or short-term interest rates? Why?(Short or long) -term interest rates are (more or less) volatile because the (Federal Reserve or Internal Revenue Service) operates mainly in the (short or long) -term sector, hence (Federal Reserve or Internal Revenue Service) intervention has its major effect here, and (short or long) -term interest rates reflect the average expected inflation rate over the next (1 to 2 or 20 to 30) years, and this average does not change as radically as year-to-year expectations.(2) What does it mean when it is said that the United States is running a trade deficit? What impact will a trade deficit have on interest rates?The (larger or smaller) the trade deficit, the (lower or higher) the tendency to (lend or borrow) . Foreigners will hold U.S. debt if and only if the rates on U.S. securities are (lower or competitive) with rates in other countries. This causes U.S. interest rates to be (highly or not very) dependent on rates in other parts of the world. This interdependency (limits or aids) the ability of the (Federal Reserve or Internal Revenue Service) to use (fiscal or monetary) policy to control economic activity in the United States. For example, if the (Federal Reserve or Internal Revenue Service) attempts to (lower or raise) U.S. interest rates and this causes rates to (fall below or rise above) rates abroad, foreigners will begin (selling or buying) U.S. bonds. Those (sales or purchases) will depress bond prices, which will push up rates in the U.S.. Thus, the large U.S. trade deficit (hinders or aids) the (Federal Reserve or Internal Revenue Service) ability to combat a recession by lowering interest rates.(3) Suppose you have noticed that the slope of the corporate yield curve has become steeper over the past few months. What factors might explain the change in the slope? (1) Inflation is expected to be (higher or lower) in the future.(2) There is a positive (default or maturity) risk premium.A downward sloping yield curve yield curve when inflation is expected to (decrease or increase) . Such a downward sloping yield curve often foreshadows an economic (upturn or downturn) because of weaker economic conditions generally lead to declining inflation, which in turn results in (lower or higher) long-term rates.Recall that corporate bonds include a risk premium (DRP) and a premium (LP). One recent study estimates that both the default risk premium and liquidity premium vary over time, and the majority of the corporate bond yield spread can be attributed to (default or liquidity) risk.For example, the (default or liquidity) risk on Coca-Cola's short term debt is very small because there is almost no change that Coca-Cola will go bankrupt over the next few years. However, Coke has some bonds that have a maturity of all most (100 or 500) years. There is a higher probability of default risk on Coke's (long or short) -term bonds than on its (long or short) -term bonds.

Answers

Answer:

(1) Which fluctuate more-long-term or short-term interest rates? Why?(Short or long) -term interest rates are (more or less) volatile because the (Federal Reserve or Internal Revenue Service) operates mainly in the (short or long) -term sector, hence (Federal Reserve or Internal Revenue Service) intervention has its major effect here, and (short or long) -term interest rates reflect the average expected inflation rate over the next (1 to 2 or 20 to 30) years, and this average does not change as radically as year-to-year expectations.

(2) What does it mean when it is said that the United States is running a trade deficit? What impact will a trade deficit have on interest rates?

The (larger or smaller) the trade deficit, the (lower or higher) the tendency to (lend or borrow) . Foreigners will hold U.S. debt if and only if the rates on U.S. securities are (lower or competitive) with rates in other countries. This causes U.S. interest rates to be (highly or not very) dependent on rates in other parts of the world. This interdependency (limits or aids) the ability of the (Federal Reserve or Internal Revenue Service) to use (fiscal or monetary) policy to control economic activity in the United States. For example, if the (Federal Reserve or Internal Revenue Service) attempts to (lower or raise) U.S. interest rates and this causes rates to (fall below or rise above) rates abroad, foreigners will begin (selling or buying) U.S. bonds. Those (sales or purchases) will depress bond prices, which will push up rates in the U.S.. Thus, the large U.S. trade deficit (hinders or aids) the (Federal Reserve or Internal Revenue Service) ability to combat a recession by lowering interest rates.

(3) Suppose you have noticed that the slope of the corporate yield curve has become steeper over the past few months. What factors might explain the change in the slope?

(1) Inflation is expected to be (higher or lower) in the future.(2) There is a positive (default or maturity) risk premium. A downward sloping yield curve yield curve when inflation is expected to (decrease or increase) . Such a downward sloping yield curve often foreshadows an economic (upturn or downturn) because of weaker economic conditions generally lead to declining inflation, which in turn results in (lower or higher) long-term rates. Recall that corporate bonds include a risk premium (DRP) and a premium (LP). One recent study estimates that both the default risk premium and liquidity premium vary over time, and the majority of the corporate bond yield spread can be attributed to (default or liquidity) risk. For example, the (default or liquidity) risk on Coca-Cola's short term debt is very small because there is almost no chance that Coca-Cola will go bankrupt over the next few years. However, Coke has some bonds that have a maturity of all most (100 or 500) years. There is a higher probability of default risk on Coke's (long or short) -term bonds than on its (long or short) -term bonds.

Explanation:

The Federal Reserve manages the monetary policy by influencing short-term interest rates and the availability and cost of credit in the economy.  While its monetary policy directly affects interest rates, it also indirectly affects stock prices, wealth, and currency exchange rates.

Suppose the company decides that the present activity-based costing system is too complex and that all costs (except for the costs of purchased decorations) should be allocated on the basis of the number of guests. In that event, what would you expect to happen to the costs of cakes?
A. The cost of cakes for receptions with more than the average number of guests would go down.
B. The costs of all cakes would go down.
C. The costs of all cakes would go up.
D. The cost of cakes for receptions with fewer than the average number of guests would go down.

Answers

Answer:

D, The cost of cakes for receptions with fewer than the average number of guests will go down

Explanation:

Since the costing of receptions will be according to the average number of guest that attend, it can be said there fore that in the making of cakes for the reception, costs will go down or reduce for a reception that has a fewer than average guest. Invariably, if the guests surpass the average number, cake costs will shoot up.

Cheers.

Describe the administrative, bureaucratic, and/or cultural developments that aided the Chinese and Romans in building their respective empires.

Answers

Answer:

The description is summarized throughout the clarification section below, as per the particular circumstance.

Explanation:

Rome seems to have been a moderate monarchy, a country of the landowner, some 4 generations before the actual establishment of the empire. China would not have been a single state body, but a group of tiny ruling monarchs dominated by decorated bronze-age gentry. Unquestionably, underneath a constitutional monarchy, the 2 empires have a domain. Throughout size, the Roman, as well as Chinese civilizations, appeared close. Every, therefore, ruled over around a fifth of the population including its Planet. All but one of the mountain ranges was marginally more than a quarter the same as the U.S. Until bowing down to identical fates, everybody survived up to five generations. Part of each empire, the much more substantial half including its center of the country, collapsed to cave dwellers further than the northeastern part.As when the Romans did, the Chinese built a hierarchy to keep the empire intact. Chinese characters interpreted concepts or words via sounds which are not easily accessible to several other countries or words, yet all politically aware persons should understand written Chinese. As something of a method of elite multiculturalism, Latin worked. Buddhism originated throughout India and had been founded throughout China among Central Asian merchants.The collective presence of Greece as well as Rome's ritual worship from either the East was further geographically divided by the Romans. The inhabitants of the Roman Empire retained more distinct ethnic cultures than the one in China. Those administrations remained split politically between provincial elites as well as the government to have stability.

Which of the following cannot be the characteristic of entrepreneurial climate

Answers

Answer:

-900000000000000000000000000

is there more information that i can use to answer this question

Keynes revolutionized economic theory by changing the explanation for what causes economic growth from aggregate _______ to aggregate _______.

a. demand; supply
b. supply; demand
c. cost; inflation
d. GDP; income

Answers

Answer:

b. supply; demand

Explanation:

Before Keynes, classical economists thought that aggregate supply was more important than aggregate demand in determining the overall economic level of a country. This was mainly because of the belief in say's law: the law stated that every offer creates its own deamand.

Keynes changed economics because he stated that demand and supply do not always reach equilibrium, and that demand is often insufficient, and it is the government job to stimulate demand through expansionary monetary and fiscal policy, like lowering interest rates and cutting taxes.

Why do we practice making associations with simple and mundane problems and resources? Select all that apply.
A.
To bring some light-hearted humor to practicing a rather difficult behavior.
B.
Things like losing your keys and empty ink cartridges are actually more important of a problem than expected.
C.
Due to their simplicity, there is a “right” or “perfect” solution to be identified.
D.
Removes the risk associated with trying to find the “right” or “perfect” solution.
E.
They are problems and resources that most people have experience with or can relate to.

Answers

Answer:

E.  They are problems and resources that most people have experience with or can relate to.

Explanation:

Such problems and resources are most commonly found in day to day lives. People can easily relate to them as they are simple and common in the workplace. They are associated with the resources of particular problems. This making them a subject of practice it becomes easy to use them for teaching and other purposes. Such as enlightenment and giving advice.

The reason why we practice making associations with simple and mundane problems and resources are:

A.  To bring some light-hearted humor to practicing a rather difficult behavior.

D.  Removes the risk associated with trying to find the “right” or “perfect” solution.

E.  They are problems and resources that most people have experience with or can relate to.

Simple and mundane problems and resources refers to the issues of life and materials that are generally considered to be ordinary, not interesting or not unusual and they typically happen every now and then or we come across them everyday.

Some examples of simple and mundane problems and resources are:

The payment of bills.Shopping and buying of groceries.Video buffering.Slow or intermittent internet failure.The urge to pee when you're on bed or sleeping.Ironing and folding of clothes after laundry.

Generally, humans practice making associations with simple and mundane problems and resources due to the following reasons:

To make us feel at ease and enjoy some light-hearted humor.It makes it easier to mitigate any form of risk associated with trying to find a right, proper or perfect solution to a difficult problem.Most people are able to relate to such problems and resources or have had an experience with them.

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Mortech had net income of $246,000 based on variable costing. Beginning and ending inventories were 46,000 units and 45,000 units, respectively. Assume the fixed overhead per unit was $0.50 for both the beginning and ending inventory. What is net income under absorption costing?

Answers

Answer:

$245,500

Explanation:

Given that;

Net income based on variable costing = $246,000

Beginning inventories = 46,000 units

Ending inventories = 45,000 units

Fixed overhead per unit = $0.50

Inventory = (Beginning inventories - Ending inventories) × Fixed overhead per unit

= (46,000 units - 45,000 units) × $0.50

= 1,000 units × $0.50

= $500

Net income under absorption costing

= Net income based on variable costing - Inventory

= $246,000 - $500

= $245,500

1. How much would you pay for a share of stock paying a dividend​(cash payout ​C) of ​$4 to be paid in one​ year, a known selling price in one year ​(​P) of ​$50​, and expected return ​(R) of similar assets of 2​%?2. Compute the price of a share of stock that pays a​$1.50 per year dividend and that you expect to be able to sell in one year for ​$20, assuming you require a 10​% return.

Answers

Answer and Explanation:

The computation is shown below:

a. The willing to pay is

= (Current year price) ÷ (1 + rate) + (current year dividend) ÷ (1 + rate)\

= ($50) ÷ (1 + 0.02) + ($4) ÷ (1 + 0.02)

= $52.94

b. The price of a share is

= (Current year price) ÷ (1 + rate) + (current year dividend) ÷ (1 + rate)\

= ($20) ÷ (1 + 0.10) + ($1.50) ÷ (1 + 0.10)

= $19.55

We simply applied the above formula so that the correct value could come

And, the same is to be considered

g Briefly explain why data visualization is important. Support with an example from the activity

Answers

Answer:

Visualization is important because every body learns slightly differently. Some people learn from doing the task hands-on, some people learn from watching someone else do the task, some people learn from reading about it, hearing about it etc etc. It is also important to show visuals to show your answer, and/or reasoning in greater detail; say that you are giving a presentation about stocks, you could just write about it, but if you show graphs, pictures, and other visuals, then you'll get your point across a lot faster, and look professional in the process

I don't know the activity so I can't give an example from "this activity" it hopefully you find some help fro this

Explanation:

May I have brainliest please? :)

The process of obtaining and placing information in a visual environment is known as data visualization. For human brain, data visualization detects patterns, trends and contours of data sets.

Data visualization can aid in the most efficient delivery of information.Data visualization is and important part of the business intelligence process because it takes raw data, transforms it, and makes it available for conclusions. Data scientists create machine learning algorithms in Advanced Analytics to better compile essential data into visualizers that are easier to comprehend and interpret. Visual data is used in data visualization to transmit information globally, swift and effectively.

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Using the gross method of recording sales, what sales price should be recorded when an item with an $1,100 list price is sold with a 15% trade discount? The sales invoice includes the terms 2/10, n/30?

Answers

Answer:

Use percentage value new value and old value

The Elkmont Corporation needs to raise $52.5 million to finance its expansion into new markets. The company will sell new shares of equity via a general cash offering to raise the needed funds. If the offer price is $21 per share and the company's underwriters charge a spread of 7.5 percent, how many shares need to be sold?

Answers

Answer:

The amount of shares need to sold is

A company reported the following amounts and balances: Beginning capital balance $45,000, Net Sales $420,000, Cost of Goods Sold $273,000, Total Expenses $112,000, Net Income $35,000, Ending Cash Balance $22,000, Withdrawals $7,200, Ending Accounts Receivable $27,000. What is the Ending Capital Balance?
a. $94,600
b. $38,200
c. $72,800
d. $49,600

Answers

Answer:

c. $72,800

Explanation:

ending capital balance = beginning capital balance + net income - withdrawals = $45,000 + $35,000 - $7,200 = $72,800

Ending capital balance refers to total owners' capital balance after the accounting period is closed. Net income increases owners' capital while withdrawals or dividends decrease it.

When you create a shape, additional
options will become
available when you select that shape in your document. *
a. layout
b. saving
c. editing
d. formatting

Answers

Answer:

formatting or editing because that is where you can change how something is placed or appears in the document.

In order to maximize profit, this perfectly competitive firm should produce:________.a. 30 units of output. b. 60 units of output. c. 50 units of output. d. 40 units of output.

Answers

Answer:

Perfect Competition meaning & equilibrium condition. Explanation of various cases when Q can be either options.

Explanation:

Perfect Competition market is a market with many buyers & sellers, selling homogeneous products, at identical prices.

Perfect competition firm is at equilibrium, when : Marginal Revenue (MR), ie same as Price (P) = Marginal Cost (MC)

Suppose TC = 100 + Q^2 , P = 60

Then MC =  2Q . Equalising MC & P, Q = 60 / 2 = 30

Suppose TC = 100 + Q^2 , P = 80

Then MC = 2Q. Equalising MC & P , Q = 80/2 = 40

Suppose TC = 100 + Q^2 , P = 100

Then MC  = 2.  Equalising MC & P, Q = 100/2 = 50

Suppose TC = 100 + Q^2 , P = 120

Then MC = 2Q. Equalising MC & P, Q = 120 / 2 = 60

Determine the cost assigned to ending inventory and to cost of goods sold using (a) specific identification, (b) weighted average, (c) FIFO, and (d) LIFO.

Answers

Question Completion:

Warnerwoods Company uses a perpetual inventory system. It entered into the following purchases and sales transactions for March.

Date Activities Units Acquired at Cost Total Cost / Sales

Mar. 1 Beginning inventory 70 units at $50.40 $3,528  

Mar. 5 Purchase 210 units at $55.40 11,634

Mar. 9 Sales 230 units at $85.40 19,642

Mar.18 Purchases 70 units at $60.40 4,228

Mar. 25 Purchases 120 units at $62.40 7,488

Mar. 29 Sales 100 units at $95.40 9,540

Total units available for sale = 470

Total Sales = 330 units

Compute the cost assigned to ending inventory using (a) FIFO, (b) LIFO, (c) weighted average, and (d) specific identification.  

For specific identification, the March 9 sale consisted of 50 units from beginning inventory and 180 units from the March 5 purchase; the March 29 sale consisted of 30 units from the March 18 purchase and 70 units from the March 25 purchase.

Answer:

Warnerwoods Company

Cost Assignment           Ending Inventory       Cost of Goods Sold

(a) specific identification:          $8,206                  $18,672

(b) weighted average                   8,414                   18,464.50

(c) FIFO                                        8,696                   18,182

(d) LIFO                                        8,080                   18,798

Explanation:

a) Data and Calculations:

Date    Activities              Units Acquired at Cost           Total Cost / Sales

Mar. 1 Beginning inventory   70 units at$50.40               $3,528  

Mar. 5 Purchase                  210 units at $55.40                11,634

Mar. 9 Sales                        230 units at $85.40                             $19,642

Mar.18 Purchases                  70 units at $60.40               4,228

Mar. 25 Purchases              120 units at $62.40                7,488

Mar. 29 Sales                      100 units at $95.40                             $9,540

Total units available for sale = 470                                $26,878  

Total Sales = 330 (230 + 100) units                                               $29,182

Ending Inventory = 140 (470 - 330) units

1. For specific identification, Cost of goods sold:

March 9 sale 50 units from beginning inventory at $50.40 = $2,520

and 180 units from the March 5 purchase at $55.40 = 9,972

March 29 sale 30 units from the March 18 purchase at $60.40 = 1,812  

and 70 units from the March 25 purchase at $62.40 = 4,368

Total for cost of goods sold under specific identification = $18,672

Ending Inventory = Cost of goods available for sale minus Cost of goods sold

= $8,206 ($26,878 - $18,672)

Weighted Average:

Cost of goods Sold

March 9 sales of 230 units at $54.15 ($3,528+11,634)/280 =   $12,454.50

March 29 sales of 100 units at $60.10 $2,707.50+4,228+7,488) 6,010.00

Total cost of goods sold = $18,464.50

Ending Inventory = 140 units at $60.10 = $8,414

Workings:

Balance of inventory of 50 units at $54.15  2,707.50

Purchases                      70 units at $60.40    4,228

Purchases                    120 units at $62.40    7,488

Total                            240 units                 $14,423.50/240 = $60.10

FIFO:

Cost of Goods Sold

March 9 sales of 230 units (70*$50.40 + 160*$55.40) =   $12,392

March 29 sales of 100 units (50*$55.40 + 50*$60.40) =      5,790

Total cost of goods sold = $18,182

Ending Inventory:

Cost of goods available for sale minus Cost of goods sold

= $8,696 ($26,878 - 18,182)

LIFO:

Cost of Goods Sold

March 9 sales of 230 units (20*$50.40 + 210*$55.40) =   $12,558

March 29 sales of 100 units (100*$62.40) =                           6,240

Total cost of goods sold = $18,798

Ending Inventory

Cost of goods available for sale minus Cost of goods sold

= $8,080 ($26,878 - 18,798)

Clooney Department Store estimates inventory by using the retail inventory method. The following information was developed:

At Cost At Retail
Beginning inventory $360,000 $750,000
Goods purchased 900,000 1,350,000
Net sales 1,400,000

The estimated cost of the ending inventory is:__________

Answers

Answer:

$420,000

Explanation:

The estimated cost of inventory is calculated as;

= (Beginning inventory at cost + purchases at cost ) ÷ (Beginning inventory at retail + Purchases at retail)

= ($360,000 + $900,000) ÷ ($750,000 + $1,350,000)

= 0.60; ($2,100,00 - $1,400,000) × 0.60

= $420,000

Therefore, the estimated cost of the ending inventory is $420,000

Managing the relationship between current assets and current liabilities of the firm in order to improve the flow of funds is called

Answers

Answer:

Working capital management

Explanation:

Working capital management refers to managing the working capital

Here working capital means

Working capital = Current assets - current liabilities

It is used for managing for the short term

The current asset involved cash, account receivable, stock etc

The current liabilities is an account payable, etc

Therefore according to the given situation, the working capital management is the answer

Also it improves the funds flow

As you will see from this agreement, there are different
A.P.R.s applied based on how
the credit card is used. Which transaction type has the highest A.P.R.?

a. A.P.R. triggered by a late payment

b. A.P.R. applied on Purchases made during the Introductory Period

c. A.P.R. applied to a Balance Transfer

d. A.P.R. applied to a Cash Advance

Answers

Answer: A. A.P.R. triggered by a late payment.

Explanation:

It affects the rate of A.P.R the most.

The transaction type which has the highest A.P.R is the "A.P.R. triggered by late payment". A further explanation is below.

As nothing more than a consequence for delayed payment or transactions, the maximum percentage change ratio (APR) of involvement is typically applied.The interest rate on direct deposits seems to be greater than that of the interest rate on initial transactions or settlement systems, but again not better or more than that of the interest rate on overdue installments or charges.

Thus the above response i.e., "option a" is appropriate.

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In June 2019, Kim filed for divorce from her husband, Eric. Although they lived apart for the last six months of the year, their divorce ios not yet finalized; they are still legally maried. Kim does not wish to file a joint 2019 return. she has no qualifying relative or qualifying relative. What filing status should kim use?.
a. HH
b. MFS
c. S
d. Unmarried for tax purposes.

Answers

Answer:

b MFS

Explanation:

Since in the question it is mentioned that Kim does not want to file a joint return as on the year 2019 also she has no qualifying relative so here the KIM should used the married filing separately

Hence, the same is to be considered

Therefore the correct option is b

And all the other options are wrong

Samuelson's has a debt–equity ratio of 43 percent, sales of $10,000, net income of $1,700, and total debt of $8,700. What is the return on equity?

Answers

Answer:

8.40%

Explanation:

Calculation for the return on equity

First step is to calculate the equity using this formula

Equity=Total debt/Debt–equity ratio

Let plug in the formula

Equity=$8,700/43%

Equity=$20,233

Last step is to calculate the return on equity

Using this formula

Return on Equity=Net income/Equity

Let plug in the formula

Return on Equity=$1,700/$20,233

Return on Equity=8.40%

Therefore the return on equity will be 8.40%

Assume that a company’s dividends per share are projected to grow at 2% each year, its next year’s dividends per share is $1.80, and its cost of equity capital is 5%. Estimate the company’s per share stock price. Round your answer to the nearest dollar.

Answers

Answer:

P0 = $60

Explanation:

Using the constant growth model of dividend discount model, we can calculate the price of the stock today. The DDM values a stock based on the present value of the expected future dividends from the stock. The formula for price today under this model is,

P0 = D1 / (r - g)

Where,

D1 is dividend expected for the next period /year

g is the growth rate

r is the required rate of return or cost of equity

P0 = 1.8 / (0.05 - 0.02)

P0 = $60

In its first year of operations, Roma Company reports the following. 1. Earned revenues of $45,000 ($37,000 cash received from customers). 2. Incurred expenses of $25,500 ($20,250 cash paid toward them). 3. Prepaid $6,750 cash for costs that will not be expensed until next year. Compute Roma’s first-year net income under the cash basis and the accrual basis of accounting.

Answers

Answer:

so what is the question that you are trying to find for this equation of yours?

An operator trainee is attempting to monitor a filling process that has an overall average of 705 cc. The average range is 17 cc. If you use a sample size of 6, what are the upper and lower control limits for an R-chart?

Answers

Answer and Explanation:

The computation of the upper and lower control limits for R-chart is shown below:

Upper Control limit of [tex]\bar x[/tex] chart is

[tex]\bar x[/tex] + A2 × [tex]\bar R[/tex]

=705 + 0.483 × 17

=713.21

Lower Control Limit Of [tex]\bar x[/tex] Chart is

[tex]\bar x[/tex]- A2 × [tex]\bar R[/tex]

= 705 - 0.483 × 17

= 696.789

The A2 value could be taken from the X bar and R bar chart having a sample size of 6

Now  

Upper control limit of R Chart

= D4 ×  [tex]\bar R[/tex]

= 2.004 × 17

= 34.068

And,

Lower limit of R chart

=  D3 × [tex]\bar R[/tex]

= 0.076  × 17

= 1.292

The D3 value is not available for the sample size 6 so we took the values of sample size 6

Also the D3, D4, and A2 could be taken from X bar tables and the range chart

Crane Company sells two types of computer hard drives. The sales mix is 30% (Q-Drive) and 70% (Q-Drive Plus). Q-Drive has variable costs per unit of $30 and a selling price of $90. Q-Drive Plus has variable costs per unit of $45 and a selling price of $135. Crane’s fixed costs are $486000. How many units of Q-Drive would be sold at the break-even point?

Answers

Answer:

1,800 units

Explanation:

With regards to the above, we need to find first the contribution margin of Q drive.

Contribution margin of Q drive = Selling price - Variable costs per unit

= $90 - $30

= $60

We will also find contribution margin of Q drive plus

Contribution margin of Q drive plus = Selling price - Variable costs per unit

= $135 - $45

= $90

Therefore, the combine contribution margin for both drive

= 30% × $60 + 70% × $90

= $18 + $63

= $81

The next step is to find the total break even point

= Crane company's fixed costs / Combined contribution margin

= $486,000 / $81

= 6,000 units

Furthermore, it means that Q drive would be sold at the break even point = Total break even point × Sales mix

= 6,000 × 30%

= 1,800 units

The (a)____________ refers to a loss one party that is not offset by gains to someone else. For example, if you bought a gift for Jose for $235, but the gift is only worth $100 to Jose, then the (a)____________ is (b)____________.

Answers

Answer:

a. Deadweight loss

b. $135

Explanation:

The deadweight loss is a situation when the demand and the supply is not within the equilibrium. It could be applied at the time when there is a deficiency that results in non-efficient resource allocation

So as per the given situation, the deadweight loss is the answer

And, the amount would be

= Purchase value - worth value

= $235 - $100

= $13

A protocol that offers no built-in error-checking or retransmission capability uses which type of packet delivery?

a. low performance
b. connection-oriented
c. best-effort
d. high priority

Answers

Answer:

Best effort

Explanation:

Protocols are the methods by which data is transferred in a network. These can be in different categories depending on user requirements and cost the user is willing to incur.

The best effort protocol is a network that does not guarantee efficient data a delivery and quality of delivery is not required to meet any quality of service.

For example network dealt and occurrence of packet loss will rely on how congested the network is.

It offers no built-in error-checking or retransmission capability uses.

The opposite of this is reliable delivery that ensures a level of quality service.

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