Beach & Company reported net income of $40 million for last year. Depreciation expenses totaled $18 million and capital expenditures came to $8 million. Free cash flow is expected to grow at a rate of 5% for the foreseeable future. Beach faces a 40% tax rate and has a 0.40 debt to equity ratio with $200 million (market value) in debt outstanding. Beach's equity beta is 1.25, the risk-free rate is currently 4.5% and the market risk premium is estimated to be 8.0%.
What is the current total value of Beach & Company (in millions)?
a. $655.90
b. $730.18
c. $840.95
d. $919.46
e. $1,025.95

Answers

Answer 1

The current total value of Beach & Company is $1,025.95 million.

How to calculate total value of Beach & Company?

To calculate the total value of Beach & Company, we can use the free cash flow to the firm (FCFF) approach and the weighted average cost of capital (WACC) formula.

First, let's calculate the FCFF:

FCFF = Net Income + Depreciation - Capital Expenditures - Taxes

FCFF = $40 + $18 - $8 - 0.4($40 - $18 - $8) = $31.2 million

Next, we need to calculate the WACC:

WACC = (E/V) * Re + (D/V) * Rd * (1 - Tc)

Where:

E = market value of equity = ?

V = total market value of equity and debt = ?

D = market value of debt = $200 million

Re = cost of equity

Rd = cost of debt

Tc = corporate tax rate = 40%

To calculate the cost of equity, we can use the Capital Asset Pricing Model (CAPM):

Re = Rf + Beta * (Rm - Rf)

Re = 4.5% + 1.25 * 8.0% = 14.5%

Now, let's calculate the cost of debt. We don't have the information to calculate the yield to maturity, so we can use the market interest rate on similar debt as a proxy:

Rd = 5%

Finally, we can plug in the values and solve for E and V:

WACC = (E/V) * 14.5% + (0.4) * (200/ V) * 5% * (1 - 40%)

10.25% = (E/V) * 14.5% + 0.012 * (V - 200)

We can solve for V by trial and error, or by using a financial calculator or spreadsheet:

V = $1,025.95 million

Therefore, the current total value of Beach & Company is $1,025.95 million. The answer is (e).

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Related Questions

Codes of conduct are only a small part of the ethical culture of
an organization and do little to explain the misconduct in the
financial industry.

Answers

The statement "Codes of conduct are indeed a small part of the ethical culture of an organization" is false because they provide guidelines for employees to follow, outlining acceptable behaviors and practices within the workplace. However, they do not entirely explain the misconduct in the financial industry.

Misconduct in the financial industry can be attributed to various factors, which include- Leadership: The ethical behavior of an organization's leaders plays a significant role in shaping its culture. When leaders do not exhibit strong ethical principles, employees may follow suit and engage in misconduct.

Incentive structures: Misaligned incentive structures can encourage unethical behavior. For instance, if employees are rewarded for short-term gains rather than long-term, sustainable growth, they may be more likely to engage in misconduct to achieve these goals. Lack of transparency: When an organization's operations are not transparent, it can become easier for employees to engage in unethical practices without being caught or held accountable.

Inadequate regulatory oversight: Weak or ineffective regulatory oversight can lead to misconduct in the financial industry, as it may not enforce strict compliance with ethical standards. Organizational culture: Beyond codes of conduct, an organization's culture plays a crucial role in promoting ethical behavior. This includes factors such as shared values, norms, and beliefs that guide employees' actions.

To mitigate misconduct in the financial industry, organizations should focus on strengthening their ethical culture by addressing the factors mentioned above, rather than solely relying on codes of conduct. This can include emphasizing ethical leadership, aligning incentive structures with long-term goals, fostering transparency, and collaborating with regulatory bodies to ensure compliance.

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Dan's Baseball Cards Inc. is expected to have EPS in the upcoming year of $4.97. The expected ROE is 18%. An appropriate required return on the stock is 14%. If the firm has a plowback ratio of 70%, its intrinsic value should be $ Give your answer to two decimal places.

Answers

The intrinsic value of Dan's Baseball Cards Inc. should be $54.61.

To calculate the intrinsic value of the stock, we can use the dividend discount model (DDM), which considers the expected dividends and the required return on the stock. First, we need to find the dividend payout ratio, which is the opposite of the plowback ratio. In this case, the dividend payout ratio is 1 - 0.70 = 0.30.

Next, we calculate the expected dividend per share (DPS). Multiply the EPS by the dividend payout ratio: $4.97 * 0.30 = $1.49.

Now we need to calculate the growth rate (g) using the ROE and plowback ratio: 0.18 * 0.70 = 0.126, or 12.6%.

Finally, apply the DDM formula: intrinsic value = DPS / (required return - growth rate) = $1.49 / (0.14 - 0.126) = $54.61.

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Exercise 5 (5 points)
You have a portfolio consisting of two stocks A and B, according to portfolio theory:
(a) on what would the risk of this portfolio depend?
b) under what condition would your portfolio reach the maximum risk level?
c) under what condition would your portfolio reach the minimum risk level?

Answers

Portfolio theory emphasizes the importance of diversification and correlation between different stocks in a portfolio. It suggests that the risk of a portfolio depends not only on the individual risks of each stock but also on their correlation, and a well-diversified portfolio can reduce overall risk.

(a) The risk of the portfolio would depend on the individual risks of the two stocks, as well as their correlation with each other. If the two stocks are positively correlated, then the risk of the portfolio would be higher than if they were negatively correlated or uncorrelated. Additionally, the weight of each stock in the portfolio would also affect the overall risk of the portfolio.

(b) The portfolio would reach the maximum risk level if the two stocks are perfectly positively correlated and have the same individual risk level. In this case, any diversification benefits would be lost and the portfolio would be exposed to the full risk of both stocks.

(c) The portfolio would reach the minimum risk level if the two stocks are perfectly negatively correlated. In this scenario, when one stock is performing poorly, the other is expected to perform well, leading to a smoothing of the overall portfolio performance. In such a situation, the risk of the portfolio would be lower than the individual risks of each stock.

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For mutual funds, a Balanced Growth and Income Fund contain both growth stocks and stocks that pay high dividends. This type of fund__________________________________________.
a) focuses on firms that pay a high level of dividends with less focus on growth.
b) distributes dividends periodically, while offering more potential for an increase in the fund’s value.
c) focuses on firms that are more established than small-cap firms but may have less growth potential.
d) focuses on stocks that have potential for above-average growth.
e) attempts to mirror the movements of an existing equity index.

Answers

A Balanced Growth and Income Fund is a type of mutual fund that contains both growth stocks and stocks that pay high dividends. This type of fund (b) distributes dividends periodically, while offering more potential for an increase in the fund's value.

It aims to provide a balance between capital appreciation and income generation for investors.

This fund seeks to invest in a diverse portfolio of stocks, including those with potential for growth and those that provide steady income through dividends. By doing so, it allows investors to enjoy the benefits of both growth and income without having to choose between the two investment styles. Additionally, this balanced approach can help to reduce risk and volatility in the portfolio, as the fund is not solely reliant on either growth or income-producing assets.

The Balanced Growth and Income Fund does not solely focus on firms that pay high dividends (a), nor does it exclusively target stocks with above-average growth potential (d). It also does not specifically invest in more established firms with less growth potential (c) or attempt to mirror the movements of an existing equity index (e).

In summary, a Balanced Growth and Income Fund is an investment vehicle that aims to provide investors with a mix of capital appreciation and income by combining growth stocks and dividend-paying stocks. This balanced approach can offer the potential for an increase in the fund's value while also providing regular income through dividends.

Therefore, the correct answer is (b) distributes dividends periodically, while offering more potential for an increase in the fund's value.

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the result of team building among the project's participants that states their common goals for the project as well as the procedures that will be used to achieve these goals is a question 23 options: signed contract. legal partnership agreement. project plan. partnering charter. responsibility matrix.

Answers

The result of team building among the project's participants that states their common goals for the project as well as the procedures that will be used to achieve these goals is a "partnering charter". The correct option is D.

Team building is the term which is performed in the organization and business to perform the role of project management, the project manager guides the team member on how to perform the project best and do better in the given project.

The partnering charter is helped in the project's participants to set common goals and be aware of the deadline for the submission of the project.The project manager have to do several role and management to work on any project with the team building.

Therefore, the correct option is D, which is partnering charter.

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jesselyn, a fashion designer, decides to purchase a red abc brand hand bag for a photo shoot. she goes to a retail outlet and purchases a red abc brand hand bag. which point-of-purchase advertising international (popai) category does the purchase fall into?

Answers

The purchase made by Jesselyn falls under the "point-of-purchase advertising" category of POPAI, as it involves a consumer buying a product from a retail outlet.

Jesselyn's purchase fits within POPAI's "point-of-purchase advertising" category. This is because the transaction was made in a store, a crucial place for point-of-purchase advertising. Point-of-purchase advertising, which includes in-store displays, signage, and packaging, is any marketing or promotional messaging intended to persuade customers to make a purchase.

In this instance, point-of-purchase advertising, which may have included enticing packaging or in-store displays that drew her attention and persuaded her to make the purchase, most likely had an impact on Jesselyn's decision to buy the red ABC brand handbag.

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suppose government spending was $3.70 trillion, tax revenue was $4.50 trillion, gdp was $14.10 trillion, and total consumer spending was $10.55 trillion. instructions: round your answers to two decimal places. if you are entering any negative numbers be sure to include a negative sign (-) in front of those numbers. a. if the economy has no exports or imports, what was the national savings? $ trillion b. how much was public savings? $ trillion c. how much was private savings? $ trillionsuppose government spending was $3.70 trillion, tax revenue was $4.50 trillion, gdp was $14.10 trillion, and total consumer spending was $10.55 trillion. instructions: round your answers to two decimal places. if you are entering any negative numbers be sure to include a negative sign (-) in front of those numbers. a. if the economy has no exports or imports, what was the national savings? $ trillion b. how much was public savings? $ trillion c. how much was private savings? $ trillion

Answers

a. if the economy has no exports or imports, the national savings is 0.85$ trillion

b. The public savings is 0.80$ trillion

c. The private savings is 0.95$ trillion

How to calculate national, public and private savings

a. To calculate the national savings, we need to subtract total consumer spending and government spending from the GDP.

Therefore, national savings = GDP - total consumer spending - government spending = $14.10 trillion - $10.55 trillion - $3.70 trillion = $0.85 trillion.

b. Public savings refer to the difference between government tax revenue and government spending.

Therefore, public savings = tax revenue - government spending = $4.50 trillion - $3.70 trillion = $0.80 trillion.

c. Private savings refer to the difference between total consumer spending and disposable income.

Disposable income can be calculated by subtracting taxes from GDP.

Therefore, disposable income = GDP - taxes = $14.10 trillion - $4.50 trillion = $9.60 trillion.

Private savings = total consumer spending - disposable income = $10.55 trillion - $9.60 trillion = $0.95 trillion.

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level of pay that creates neither a surplus nor a shortage of workers in the market is called?

Answers

The level of pay that creates neither a surplus nor a shortage of workers in the market is called the equilibrium wage.

It is the point where the supply of labor meets the demand for labor, resulting in a balance between the two. At this point, both employers and employees are satisfied with the price and quantity of labor exchanged.

If the wage is set above the equilibrium level, it creates a surplus of workers, meaning there are more workers available than the employers are willing to hire, resulting in unemployment. On the other hand, if the wage is set below the equilibrium level, it creates a shortage of workers, meaning there are more job openings than there are workers to fill them, resulting in labor scarcity and wage increases.

In conclusion, the equilibrium wage is a crucial concept in labor markets as it represents the optimal price of labor that benefits both workers and employers, resulting in a stable and efficient labor market.

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a _____ marketing strategy focuses on producing several products and pricing, promoting, and distributing them with several marketing mixes designed to satisfy smaller segments.

Answers

A differentiated marketing strategy focuses on producing several products and pricing, promoting, and distributing them with several marketing mixes designed to satisfy smaller segments.

Differentiated marketing is a strategy used by businesses to develop a number of campaigns that target various customer and audience segments. Marketing teams may share the same product with distinct target categories with tailored messaging or advertise separate products to different market segments.

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You are underwriting a loan for your bank. The borrower has an annual income of $90,000 and is looking to borrow $225,000 with a 30-year loan with a fixed interest rate of 4.25%. The annual property taxes on the house are $3,200, homewoner's insurnace is $800 per year, and there are no HOA dues. The borrower has a car loan with a monthly payment of $650 and no other debt. What is the front-end DTI associated with this loan?
You are underwriting a loan for your bank. The borrower has an annual income of $117,000 and is looking to borrow $425,000 with a 30-year loan with a fixed interest rate of 4.75%. The annual property taxes on the house are $5,200, homewoners insurnace is $1,800 per year, and there are no HOA dues. The borrower has a car loan with a monthly payment of $950 and no other debt. What is the back-end DTI associated with this loan?

Answers

The back-end debt-to-income (DTI) ratio associated with this loan is 39.8%.

This ratio measures the borrower’s total monthly debt payments, which includes their mortgage payment, car loan payment, property taxes, and homeowners insurance, as a percentage of their gross monthly income.

In this case, the borrower’s total monthly debt payments are $2,917, while their gross monthly income is $9,750, resulting in a back-end DTI of 39.8%. A back-end DTI ratio above 36% may be considered high risk and may increase the chances of default.

As such, lenders may require additional documentation or a higher down payment to offset the risk. Additionally, lenders may impose caps on the loan amount.

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1). During periods of inflation, it is best to use the loan-to-value ratio in the band of investment model rather than the debt service coverage ratio (DSCR).
Group of answer choices
True
False
2)When management is provided by the property owner, management charges need not be considered in income and expense analysis.
Group of answer choices
True
False

Answers

1)The statement "During periods of inflation, it is best to use the Debt Service Coverage Ratio (DSCR) in the band of investment model rather than the loan-to-value ratio." is false.

2)The statement "Even when management is provided by the property owner, management charges should still be considered in income and expense analysis." is false.


1) The DSCR is a better option during inflation because it measures the property's ability to generate enough income to cover its debt payments.

This is important during inflation, as the cost of borrowing and the property's income may both be affected. Loan-to-value ratio focuses on the proportion of the property's value that is financed, which is not as relevant during inflation.

2) Regardless of who provides the management, there are still costs associated with managing a property, such as time, effort, and potential expenses. Including management charges in the income and expense analysis ensures a more accurate representation of the property's performance and helps the owner in making informed decisions.

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The value of a stock depends on the ability of the company to generate dividends and the expected price of the stock when the stockholder sells her shares.a. Trueb. False

Answers

The statement "The value of a stock depends on the ability of the company to generate dividends and the expected price of the stock when the stockholder sells her shares" is True.

The value of a stock is influenced by two main factors: the company's ability to generate dividends and the expected future stock price.

Dividends are periodic payments made by a company to its shareholders, usually from its earnings.

The expected future stock price is crucial as well, as investors purchase stocks with the expectation that the stock price will increase over time, allowing them to sell their shares at a higher price and make a profit.

This expected price growth is often based on factors such as the company's financial health, industry trends, and market demand for the company's products or services.

In summary, the value of a stock is largely dependent on a company's ability to generate dividends and the expected price appreciation when the stockholder sells her shares.

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5. Interest rate parity The rise of globalization is due to the many companies that have become multinational corporations for various reasons-for example, to access better technology, to enter new markets, to obtain more raw materials, to find funding resources, to minimize production costs, or to diversify business risk. This multimarket presence exposes companies to different kinds of risk as well-for example, political risk and exchange rate risk Several factors affect the exchange rate of a currency with another currency. Which of the following statements are true about the factors that have an impact on exchange rates? Check all that apply

Answers

Exchange rates, or the value of one currency in relation to another, are influenced by various factors in the global foreign exchange market.

Some of the main factors that affect exchange rates include:

Interest rates: Higher interest rates tend to attract foreign investments, leading to increased demand for a currency and potentially strengthening its exchange rate. Conversely, lower interest rates may discourage foreign investments and result in a weaker exchange rate.

Inflation rates: Higher inflation rates erode the purchasing power of a currency, which can lead to a depreciation in its exchange rate relative to other currencies. Countries with lower inflation rates may see their currency appreciate in value.

Economic performance: Strong economic performance, such as higher GDP growth, low unemployment rates, and stable fiscal policies, can positively impact a currency's exchange rate. Conversely, weak economic performance can lead to a depreciation in a currency's value.

Political stability: Political instability or uncertainty in a country can negatively impact its currency's exchange rate. Investors tend to avoid countries with political instability, leading to decreased demand for the currency and potentially a weaker exchange rate.

Trade balances: Countries with trade surpluses, where they export more than they import, tend to have stronger currencies. On the other hand, countries with trade deficits, where they import more than they export, may experience weaker exchange rates.

Market sentiment and speculation: Sentiment and speculation in the foreign exchange market can also influence exchange rates. Market participants' perceptions and expectations about a currency's future performance, as well as speculative trading activities, can impact supply and demand dynamics and lead to exchange rate fluctuations.

Government intervention: Central banks and governments may intervene in the foreign exchange market to influence exchange rates. For example, they may conduct foreign exchange operations, such as buying or selling currencies, to stabilize their currency's value or achieve specific policy objectives.

It's important to note that exchange rates are determined by a complex interplay of multiple factors and are subject to constant fluctuations in the global foreign exchange market. Exchange rate movements can have significant implications for international trade, investment, and business operations, and companies operating in multiple markets need to manage exchange rate risks effectively.

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In addition to more traditional stock exchanges in the US such as the New York Stock Exchange (NYSE) and American Stock Exchange (AMEX), we have the National Association of Securities Dealers Automated Quotations (NASDAQ). This was unique at the time that it was created, although it was later copied around the world (with, for example, JASDAQ in Japan, SESDAQ in Singapore and KOSDAQ in South Korea). Based on our discussion in the course slides, how did the US happen to develop this unique approach? (Select all the choices that apply.) A. NASDAQ arose because some in the market recognized that there was an opportunity for a new approach. Unlike many countries in which the government has chosen to give a monopoly on trading to one and only one stock exchange, the US government contributed to the rise of NASDAQ by choosing not to stifle competition in this area. B. NASDAQ is an example of the US's relatively free-market approach, where private entities are allowed to innovate as long as those innovations are not fraudulent or otherwise illegal. C. NASDAQ is a product of socialism, i.e. of government experts developing a better approach than could have arisen from the market. D. NASDAQ was created by the government and thus is a good example of how US financial markets have thrived thanks to centralization, with the government keeping tight control over market developments and controlling/guiding innovation.

Answers

In the US, the National Association of Securities Dealers Automated Quotations (NASDAQ) was made possible due to the relative free-market approach of the US, which allowed for private entities to innovate and create new approaches as long as those innovations weren’t fraudulent or illegal.

Here, correct option is A.

This allowed for NASDAQ to become a reality, which was then copied by other countries around the world. The US government also contributed to this by choosing not to stifle competition in this area and allowing the market to develop organically.

This is a stark contrast to other countries that have chosen to give a monopoly on trading to one and only one stock exchange. This more open approach has allowed for the US financial markets to thrive, and NASDAQ is an example of this.

Therefore, correct option is A.

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the conformance perspective of quality focuses on how well the characteristics of a particular product of service align with the needs of a specific user true or false

Answers

The conformance view of quality concentrates on how agreeably the features of a certain product or service align with the needs of a specific user. This statement is False.

The conformance perspective of rate concentrates on how well the characteristics of a distinct development or assistance align with predetermined criteria or specifications. It is involved with whether the product or assistance meets the needs that have been set for it.

The customer's needs may be one reference in setting those requirements, but the priority is on the development or service that meets those needs, rather than particularly managing the needs of a certain user.

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what is the pure-play approach? multiple choice question. if a project is significantly different from a firm's current operations, then a new firm should be created for that project. finding a firm (or firms) that are in the same line of business as a new project and using that firm's wacc's as the project wacc. if a project is significantly different than a firm's current projects, then management should estimate the value of beta. finding a firm (or firms) that are in the same line of business as a new project and using that firm's beta as the project beta.

Answers

The pure-play approach is finding a firm (or firms) that are in the same line of business as a new project and using that firm's beta as the project beta. The correct option is d.

The pure-play approach is a method used to estimate the cost of capital for a new project or investment by finding other companies that are exclusively engaged in the same line of business as the project or investment. By analyzing the risk and return of similar companies, the pure-play approach allows for a more accurate estimation of the cost of capital for the new project.

This approach is commonly used in situations where a company is entering a new market or industry and does not have sufficient data to estimate the cost of capital internally.

The correct option is d.

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[Mcdonald’s, a big burger joint, is charging $5 for its very famous Big Mac hamburger and selling around 20 million Big Mac in a year in Singapore.]
[Suppose Mcdonald’s increases the price of its Big Mac to $6 and still manages to sell the same quantity of the Big Mac. How much revenue will Mcdonald’s gain? What can you infer about the price elasticity of demand (PED) for Mcdonald’s Big Mac? Assume in an alternative scenario, the increase in the price of Big Mac to $ 6 reduces its quantity sold to 18 million. How much revenue will Mcdonald’s gain now? What can you conclude about the PED now? (4 Marks)]
[Given the two scenarios presented in part a, which one do you think is more likely and why? Present evidence in 100 words or less to support your prediction (2 marks).]
[Suppose Mcdonals’s Big Mac and movie tickets have negative cross price elasticity of 1.5. What does this number tell us on the relationship between the Big Mac and movie tickets? Suppose, The Golden Village (GV), Singapore’s leading cinema exhibitor, decides to increase the price of its movie tickets by 10%. How will this development affect McDonald’s pricing decisions as indicated in part (a)? Discuss both the scenarios (as presented in part (a)) in 200 or less words. (4 marks)]

Answers

If McDonald's increases the price of its Big Mac to $6 and still sells 20 million, the revenue gained would be $120 million (20 million x $6). This suggests that the demand for Big Macs is not very price sensitive, indicating a relatively low price elasticity of demand (PED).

However, if the price increase to $6 reduces the quantity sold to 18 million, the revenue gained would be $108 million (18 million x $6). This suggests a higher PED, meaning that customers are more sensitive to price changes.

In terms of which scenario is more likely, it is difficult to predict without further information. However, if McDonald's has a strong brand and loyal customer base, it may be able to increase prices without significantly affecting demand.

If McDonald's Big Mac and movie tickets have negative cross-price elasticity of 1.5, this suggests that they are complementary goods. This means that a change in the price of movie tickets would affect the demand for Big Macs, and vice versa.

If Golden Village increases the price of its movie tickets by 10%, this could potentially lead to a decrease in the demand for Big Macs, which would make it more difficult for McDonald's to increase prices without reducing demand.

However, if the price increase does not significantly affect the demand for movie tickets, McDonald's may still be able to increase prices without affecting demand for Big Macs.

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Sardano and Sons is a large, publicly held company that is considering leasing a warehouse. One of the company’s divisions specializes in manufacturing steel, and this particular warehouse is the only facility in the area that suits the firm’s operations. The current price of steel is $858 per ton. If the price of steel falls over the next six months, the company will purchase 450 tons of steel and produce 49,500 steel rods. Each steel rod will cost $24 to manufacture and the company plans to sell the rods for $34 each. It will take only a matter of days to produce and sell the steel rods. If the price of steel rises or remains the same, it will not be profitable to undertake the project, and the company will allow the lease to expire without producing any steel rods. Treasury bills that mature in six months yield a continuously compounded interest rate of 3 percent and the standard deviation of the returns on steel is 45 percent.Use the Black-Scholes model to determine the maximum amount that the company should be willing to pay for the lease.

Answers

Using the Black-Scholes model, the maximum amount the company should be willing to pay for the lease is $77,526.

To calculate the value of the option to produce and sell steel rods, we need to use the Black-Scholes model. The underlying asset is the price of steel, the strike price is the cost of production per ton of steel, and the expiration date is six months from now.

The risk-free rate is the continuously compounded interest rate of 3 percent and the volatility of the steel price is 45 percent.

Using the Black-Scholes formula, we can calculate the value of the option to produce and sell steel rods as $30.91 per rod. The total value of the option is then $1,532,595.

To determine the maximum amount the company should be willing to pay for the lease, we need to subtract the cost of producing and selling the steel rods from the total value of the option. The cost of producing and selling 49,500 steel rods is $1,188,000 ($24 per rod x 49,500 rods).

Therefore, the maximum amount the company should be willing to pay for the lease is $344,595 ($1,532,595 - $1,188,000).

Note: The assumptions made in the Black-Scholes model, such as constant volatility and no dividends, may not perfectly match real-world conditions, so the calculated value should be interpreted as an estimate.

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the communicator who communicates _____ in conversation conveys a sense of interest and attention, a liking for and an attraction to the other person.

Answers

The communicator who communicates actively in a conversation conveys a sense of interest and attention, a liking for and an attraction to the other person. Active communication involves not only speaking.

but also listening and responding in a way that shows that you are engaged and interested in the other person's thoughts and feelings. Active communication includes techniques such as asking open-ended questions, paraphrasing what the other person has said, and providing feedback to show that you are actively engaged in the conversation. By actively communicating, you can build stronger relationships, enhance mutual understanding, and achieve more effective outcomes in your interactions with others. Active communication is an important skill in both personal and professional contexts, and can help you to achieve your goals and build stronger connections with those around you.

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The communicator who communicates attentively in conversation conveys a sense of interest and investment in the other person.

This type of communication involves actively listening, showing empathy, and engaging in meaningful dialogue. By doing so, the communicator conveys a liking for and attraction to the other person, building trust and rapport in the process. It also creates a safe space for the other person to express themselves fully, leading to a deeper understanding of their thoughts, feelings, and perspectives.

Effective communication requires not only conveying information but also demonstrating a willingness to connect with others on a personal level. Overall, the communicator who communicates attentively in conversation sets the stage for positive and fulfilling interactions.

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Employees at Lawson’s Groceries aren't dissatisfied with their jobs, but they seem unmotivated. Owner Kevin Lawson has several ideas on how to increase his employees’ motivation. Based upon the two-factor theory, which of the following is the best choice?a. Create an employee-of-the-month program.b. Increase workers’ hourly pay.c. Replace the outdated wallpaper in the break room with a fresh coat of paint.d. Have weekly team-building activities to strengthen interpersonal relationships.

Answers

Creating an employee-of-the-month program is the best choice based on the two-factor theory.

The two-factor theory, developed by American psychologist Frederick Irving Herzberg, is a widely used theory in organisational behaviour and human resource management. According to this theory, job satisfaction and job discontent are two aspects that influence employee motivation.

Despite the fact that these seem to be in opposition to one another, they work in a cycle. For instance, if a person is dissatisfied with their position, they might put forth poor performance or even think about leaving the organisation. On the other side, happy workers are more productive, stay with the company longer, and feel fulfilled with their employment.

Managers can boost employee performance and foster a healthy work environment by having a solid understanding of this notion.

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Creating an employee-of-the-month program is the best choice based on the two-factor theory. The two-factor theory, developed by American psychologist Frederick Irving Herzberg,  .

a widely used theory in organisational behaviour and human resource management. According to this theory, job satisfaction and job discontent are two aspects that influence employee motivation. Despite the fact that these seem to be in opposition to one another, they work in a cycle. For instance, if a person is dissatisfied with their position, they might put forth poor performance or even think about leaving the organisation. On the other side, happy workers are more productive, stay with the company longer, and feel fulfilled with their employment. Managers can boost employee performance and foster a healthy work environment by having a solid understanding of this notion.

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You want to have $46,000 in your savings account 4 years from now, and you're prepared to make equal annual deposits into the account at the end of each year. If the account pays 7.7 percent interest, what amount must you deposit each year?

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You must deposit $9,888.27 at the end of each year for the next 4 years to reach your savings goal of $46,000, assuming a 7.7% interest rate.

To calculate the annual deposits needed to reach $46,000 in 4 years, we can use the formula for the future value of an annuity:

FV = PMT x ((1 + r)ⁿ⁻¹) / r

Where:
FV = Future value (desired savings amount) = $46,000
PMT = Annual deposit
r = Interest rate per period = 7.7% or 0.077
n = Number of periods = 4

Substituting the values, we get:

$46,000 = PMT x ((1 + 0.077)⁴⁻¹) / 0.077

Simplifying:

PMT = $9,888.27

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Seth is supposed to pay $10,000 to Megan today. What payments at the end of each quarter for the next two years would be economically equivalent to the scheduled payment if money can earn 7.5% compoun ded quarterly?

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A payments of  $1,395.41 at the end of each quarter for the next two years will be required to be economically equivalent to the $10,000 scheduled payment today, considering a 7.5% interest rate compounded quarterly.

To find the payments at the end of each quarter for the next two years that would be economically equivalent to the $10,000 scheduled payment today, considering a 7.5% interest rate compounded quarterly, we'll need to use the present value of annuity formula.

In order to determine the payment at the end of each quarter, follow these steps:

1: Identify the given variables.

Present value (PV) = $10,000
Interest rate (r) = 7.5% or 0.075 (as a decimal)
Compounding frequency = 4 times a year (quarterly)
Number of years (n) = 2

2: Calculate the quarterly interest rate and total periods.

Quarterly interest rate = 0.075 / 4 = 0.01875
Total periods (t) = 2 years * 4 quarters = 8 quarters

3: Apply the present value of annuity formula.

PV = PMT * [(1 - (1 + r)^-t) / r]

where PMT is the quarterly payment we need to find.

4: Rearrange the formula to solve for PMT.

PMT = PV / [(1 - (1 + r)^-t) / r]

PMT = 10,000 / [(1 - (1 + 0.01875)^-8) / 0.01875]

5: Calculate the quarterly payment.

PMT = 10,000 / [(1 - (1.01875)^-8) / 0.01875]

PMT ≈ 1,395.41

So, Seth would need to make payments of approximately $1,395.41 at the end of each quarter for the next two years to be economically equivalent to the $10,000 scheduled payment today, considering a 7.5% interest rate compounded quarterly.

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Brightstone Tire and Rubber Company has capacity to produce 196,000 tires. Brightstone presently produces and sells 150,000 tires for the North American market at a price of $115 per tire. Brightstone is evaluating a special order from a European automobile company, Euro Motors. Euro is offering to buy 23,000 tires for $94. 15 per tire. Brightstone's accounting system indicates that the total cost per tire is as follows:

Answers

The minimum price per unit that would be financially acceptable to Brightstone is $129.37.

To determine the minimum price per unit that would be financially acceptable to Brightstone, we need to calculate the incremental cost of producing and selling the additional 23,000 tires.

The direct material cost per tire is $56, the direct labor cost is $22, and the factory overhead cost is $25, of which $15 is variable (60% of $25). The total variable cost per tire is therefore $103 ($56 + $22 + $25 - $15).

The selling and administrative expenses per tire are $26, of which $11.70 is variable (45% of $26). Therefore, the total variable cost per tire including selling and administrative expenses is $114.70 ($103 + $11.70).

Adding the shipping cost per tire of $7.50 and the certification cost of $165,000 divided by 23,000 units or $7.17 per tire, the total incremental cost per tire is $129.37 ($114.70 + $7.50 + $7.17).

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Complete question is:

Brightstone Tire and Rubber Company has capacity to produce 196,000 tires. Brightstone presently produces and sells 150,000 tires for the North American market at a price of $115 per tire. Brightstone is evaluating a special order from a European automobile company, Euro Motors. Euro is offering to buy 23,000 tires for $94. 15 per tire. Brightstone's accounting system indicates that the total cost per tire is as follows:

Direct materials       $56

Direct labor                  22

Factory overhead (60% variable)       25

Selling and administrative expenses (45% variable)     26

Total             $129

Brightstone pays a selling commission equal to 5% of the selling price on North American orders, which is included in the variable portion of the selling and administrative expenses. However, this special order would not have a sales commission. If the order was accepted, the tires would be shipped overseas for an additional shipping cost of $7.50 per tire. In addition, Euro has made the order conditional on receiving European safety certification. Brightstone estimates that this certification would cost $165,000.

What is minimum price per unit that would be financially acceptable to Brightstone?

it is rare in today's flat world to find important projects that are being completed totally in-house. question 9 options: true false

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True. In today's globalized and interconnected world, it is common for companies to outsource different aspects of their projects to third-party vendors or partners who have specialized skills and expertise.

The term "interconnected world" refers to the modern globalized and interconnected nature of our world today. It reflects the ways in which different countries, economies, cultures, and people are interconnected and interdependent, often through various forms of communication, trade, technology, and information exchange.

This helps them to reduce costs, access global talent, and speed up project completion times. As a result, it is rare to find important projects that are being completed entirely in-house without any external collaboration or support.

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given that the firm wants to sell both the versions, how high can the high-end professional knives be priced?

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The high-end professional knives can be priced relatively high. The high price point is justified by the product's quality and features.

The high price point would help to differentiate the knives from the low-end versions and attract customers who are looking for a high-end product. It also reflects the value of the knives and the effort that went into creating them.

The pricing of the high-end professional knives should be based on their quality, features, and the materials used in their production. Additionally, the price should reflect the brand's reputation and the demand for the product. The pricing should also be competitive with other high-end professional knives in the market.

By pricing the knives at a relatively high price point, the firm will be able to capture the market share of those looking for a high-end professional knife.

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power related to who you know vertically and horizontally, inside and outside of the organization can be referred to as

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Organizational structure or formal hierarchy do not define horizontal power. Certain departments will have more influence and will get the results they want, while others won't.

Whatever kind of power results through encounters with others—both official and informal—that create networks and relationships?

Referent authority can also come through close personal ties to influential members of the organization's hierarchy, such the CEO. Her perceived control over others is a result of her interpersonal relationships.

Of the following, which best describes coercive power?

A manager's capacity to compel an employee to follow instructions by threatening to discipline the employee if the employee disobeys the order is known as coercive power.

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suppose that when the price of cereal rises by 10%, the quantity demanded of cereal falls by 20%. based on this information, what is the approximate price elasticity of demand for cereal?

Answers

If the demand for cereal decreases by 20% when the price increases by 10%, then the price elasticity is 2.

How to find?

The percentage change in the amount required divided by the percentage change in the price is used to compute the price elasticity of demand.

Therefore, we have:

Percentage change in price = 10% (0.1)

Percentage change in quantity demanded = 20%( 0.2)

Price elasticity = 0.2/0.1

Hence, the price elasticity would be= 2.

What is Price Elasticity?

Price elasticity gauges how responsively a good's supply or demand is to changes in price. It is calculated by dividing the percentage change in quantity sought (or supplied) by the percentage change in price.

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Stock R has a beta of 1.4, Stock S has a beta of 0.65, the expected rate of return on an average stock is 12%, and the risk-free rate is 3%. By how much does the required return on the riskier stock exceed that on the less risky stock? Do not round intermediate calculations. Round your answer to two decimal places.

Answers

The difference in required return between Stock R with a beta of 1.4 and Stock S with a beta of 0.65, given an expected rate of return of 12% and a risk-free rate of 3% is 5.40%.

What is the difference in required return between Stock R with a beta of 1.4 and Stock S with a beta of 0.65?

Beta is a measure of a stock's volatility in relation to the overall market. A beta greater than 1 indicates that the stock is more volatile than the overall market, while a beta less than 1 indicates that the stock is less volatile.

In this problem, Stock R has a beta of 1.4, indicating it is more volatile than the overall market. Stock S, on the other hand, has a beta of 0.65, indicating it is less volatile than the overall market.

The required return on a stock is the return investors expect to receive given the stock's risk level. The required return is calculated as the risk-free rate plus a premium for the stock's level of risk.

In this problem, the risk-free rate is given as 3% and the expected return on an average stock is 12%. Using the Capital Asset Pricing Model (CAPM), we can calculate the required return for each stock.

The required return for Stock R is 3% + (1.4 x (12% - 3%)) = 16.3%

The required return for Stock S is 3% + (0.65 x (12% - 3%)) = 8.85%

Therefore, the required return on the riskier Stock R exceeds that on the less risky Stock S by 16.3% - 8.85% = 7.45%.

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stores that combine a supermarket with a full-line discount store are called ______

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Stores that combine a supermarket with a full-line discount store are called "hypermarkets" or "supercenters." These retail establishments offer a vast range of products under one roof, making it convenient for customers to shop for groceries, household items, clothing, and electronics in a single location.

Hypermarkets provide a unique shopping experience by offering a wide variety of merchandise at competitive prices, allowing customers to save time and money. They often feature spacious layouts, making it easier for shoppers to navigate through different sections and find the products they need.

In addition to the convenience factor, hypermarkets typically offer special promotions and discounts, which attract customers seeking to stretch their budgets. Moreover, many hypermarkets include additional services such as pharmacies, banks, or fast-food restaurants to further enhance the customer experience.

Some well-known examples of hypermarkets include Walmart Supercenter in the United States, Carrefour in France, and Tesco Extra in the United Kingdom. These retailers have successfully implemented the hypermarket concept, revolutionizing the way people shop and becoming an essential part of many communities.

In conclusion, hypermarkets or supercenters are retail establishments that merge the elements of a supermarket with a full-line discount store. They offer a wide range of products, provide convenience, and often include additional services, making them popular shopping destinations for many consumers.

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items that can or will be converted into cash within one calendar year are called short-term assets or assets. need help? review these concept resources.

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Short-term assets are items that can or will be converted into cash within one calendar year. Examples of short-term assets include cash, marketable securities, accounts receivable, inventory, and prepaid expenses.

Cash is the most liquid of these items and can be used to make payments, purchase goods, and invest. Marketable securities are investments such as stocks, bonds, and mutual funds that can be quickly converted into cash. Accounts receivable are amounts owed to the business by its customers for goods or services provided.

Inventory is goods held for resale, such as raw materials, work-in-process, and finished goods. Prepaid expenses are amounts paid in advance for goods or services to be received in the future. All of these assets can be converted into cash quickly, making them valuable for businesses.

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