Computech Corporation is expanding rapidly and currently needs to retain all of its earnings; hence, it does not pay dividends. However, investors expect Computech to begin paying dividends, beginning with a dividend of $1.75 coming 3 years from today. The dividend should grow rapidly - at a rate of 43% per year - during Years 4 and 5; but after Year 5, growth should be a constant 10% per year. If the required return on Computech is 17%, what is the value of the stock today? Round your answer to the nearest cent. Do not round your intermediate calculations.

Answers

Answer 1

The value of Computech Corporation's stock today is $16.72, rounded to the nearest cent.

The value of Computech Corporation's stock today can be calculated by estimating the present value of the future dividends. Using the required return of 17%, the present value of Year 3's dividend of $1.75 will be $1.48.

In Year 4, the dividend will grow to $2.53, which is present value of $2.11. In Year 5, the dividend will grow to $3.64, which is present value of $2.91. After Year 5, the dividend will grow at a constant 10%, which means the present value of this dividend stream will be $10.22. Adding the present values of all the dividends gives the current value of the stock as $16.72.

In conclusion, the value of Computech Corporation's stock today is $16.72, rounded to the nearest cent. This value was calculated by estimating the present value of the future dividends using the required return of 17%.

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Related Questions

Suppose a State of California bond will pay $1,000 eight years from now. If the going interest rate on these 8-year bonds is 6.2%, how much is the bond worth today? $741.63 $673.64 $537.68 $618.02 $70

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The bond is worth $614.98 today.The present value of a bond can be calculated by discounting the future cash flows using the prevailing interest rate.

Which represents the opportunity cost of investing in the bond. In this case, the bond will pay $1,000 eight years from now, and the going interest rate on 8-year bonds is 6.2%.

To calculate the present value of the bond, we can use the formula:

PV = FV / (1 + r)^n

where PV is the present value, FV is the future value, r is the interest rate, and n is the number of years.

Using this formula, we can calculate the present value of the bond as follows:

PV = $1,000 / (1 + 0.062)^8

PV = $1,000 / 1.627

PV = $614.98

Therefore, the bond is worth $614.98 today.

The present value of a bond is an important concept in finance and investing, as it allows investors to determine whether a bond is overvalued or undervalued relative to its future cash flows.

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select all that apply when frito-lay decided to introduce a salsa product line, it used the existing tostitos brand (under which it sells taco chips). what advantages did this strategy provide frito-lay? (choose every correct answer.)

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When Frito-Lay decided to introduce a salsa product line under the existing Tostitos brand, it provided the company with several advantages. These include:  Brand recognition, Cost savings, Cross-promotion opportunities, Faster market penetration,  Consistent brand image.

1. Brand recognition: By using the existing Tostitos brand, Frito-Lay was able to leverage the brand's popularity and trust among consumers, making it easier to introduce the new salsa product line.

2. Cost savings: Using the existing brand infrastructure, including packaging design, logo, and marketing channels, Frito-Lay saved on costs that would otherwise be incurred if they were to create a completely new brand.

3. Cross-promotion opportunities: With the Tostitos brand already selling taco chips, Frito-Lay could promote the new salsa products alongside the chips, encouraging consumers to purchase both items together.

4. Faster market penetration: Since Tostitos was already a well-known brand, it was likely that retailers and distributors were more willing to stock the new salsa product line, allowing for a quicker entry into the market.

5. Consistent brand image: By adding the salsa product line under the Tostitos brand, Frito-Lay maintained a consistent brand image focused on Mexican-inspired snack foods, which could reinforce the brand's identity among consumers.

By choosing this strategy, Frito-Lay was able to capitalize on the existing Tostitos brand equity and streamline the introduction of the new salsa product line.

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suppose that 20,000 tickets were sold at $120 for a concert at madison square garden in new york. the event was sold out and some fans could not get tickets. this suggests that

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The high demand for the event and the fact that it sold out quickly indicates that the concert was a highly anticipated and popular event. The limited availability of tickets may have also contributed to the high price point, as people were willing to pay more to secure their spot.

The fact that some fans were unable to obtain tickets highlights the importance of planning ahead and purchasing tickets early for popular events. Additionally, the success of this event may lead to similar events being held in the future, potentially with even higher ticket prices due to the high demand. Overall, the sale of 20,000 tickets at $120 for a concert at Madison Square Garden in New York demonstrates the strong interest and support for this type of event, as well as the potential for significant revenue generation for organizers and performers alike.

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if a caterer has an overhead of $350,000 per year and knows that they will perform 275 catering jobs this year, how much do they need to charge per event in order to cover these costs?

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To ensure that the catering business can cover its overhead costs of $350,000 per year and manage 275 catering jobs, they would have to charge a minimum of $1,273.64 per event.

This calculation can be derived by dividing the total overhead expenses by the number of events that the caterer plans to cater for, which gives us $1,273.64 per event as the minimum charge required.

This can be achieved by  dividing the total overhead by the number of events:

$350,000 ÷ 275 = $1,273.64 per event.

In summary, the caterer has to charge at least $1,273.64 per event to break even and cover their overhead costs.

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Bill Clinton reportedly was paid $9.7million to write his book My Life. The book took three years to write. In the time he spent​ writing, Clinton could have been paid to make speeches. Given his​ popularity, assume that he could earn $7.8 million a year​ (paid at the end of the​year) speaking instead of writing. Assume his cost of capital is 10.4% per year. Assume also that once the book is​ finished, it is expected to generate royalties of $5.12 million in the first year​ (paid at the end of the​ year) and these royalties are expected to decrease at 30% per year in perpetuity. The NPV of the book with the royalty payments is −$144,000.
How many IRRs are there in this​ problem? Does the IRR rule work in this​ case?
Use the graph below to determine how many IRRs there are in this problem.

Answers

To determine how many Internal Rates of Return (IRRs) are in this problem involving Bill Clinton's book "My Life," we will follow these steps:

1. Identify the cash flows:
  - Initial investment: -$9.7 million (cost of writing the book)
  - Opportunity cost: -$7.8 million per year for three years (forgone earnings from speeches)
  - Royalties: $5.12 million in the first year, decreasing at 30% per year in perpetuity

2. Calculate the Net Present Value (NPV) for different discount rates.

Unfortunately, we cannot provide a graph in this text-based platform, but the process would involve plotting NPV against various discount rates. If there is only one point at which the NPV equals zero, there is one IRR; if there are multiple points, there are multiple IRRs.

Given the information provided, the NPV of the book with royalty payments is -$144,000, indicating that the investment does not cover the cost of capital. The IRR rule states that an investment should be accepted if the IRR is greater than the cost of capital, and rejected if it is less.

In this case, without a graph and specific IRR values, we cannot definitively say how many IRRs there are or if the IRR rule works. However, since the NPV is negative, it is likely that the IRR is less than the cost of capital, suggesting that the investment may not be favorable according to the IRR rule.

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economics is the study of: a. how to allocate resources to satisfy wants and needs. b. capitalism. c. how to make money. d. how to make workers more productive and firms more profitable. e. markets.

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Economics is the study of how to allocate resources to satisfy wants and needs.

It involves examining how goods and services are produced, distributed, and consumed. This includes analyzing the behavior of individuals, firms, and governments in markets, as well as exploring the role of incentives, competition, and regulations in shaping economic outcomes.

While capitalism is a type of economic system that emphasizes private ownership and market-based decision-making, it is just one of many approaches that fall under the broader umbrella of economics.

Similarly, while making money and improving productivity and profitability are important considerations in many economic activities, they are not the sole focus of the discipline.

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The liquidity of secondary markets is NOT demonstrated by:
the daily turnover
the sale of securities by issuers at an acceptable price
the size of the bid-ask spread
the degree of price resilience.
An

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The liquidity of secondary markets is NOT demonstrated by the sale of securities by issuers at an acceptable price. The correct option is the sale of securities by issuers at an acceptable price.

Secondary markets provide a platform for trading securities that have already been issued, facilitating liquidity by allowing investors to buy and sell securities easily.

The daily turnover, which refers to the number of securities traded within a day, demonstrates liquidity because it indicates the ease with which investors can buy or sell assets.

The size of the bid-ask spread also reflects liquidity, as a narrower spread means that buyers and sellers are in closer agreement on the value of the security, which often leads to a higher trading volume.

Lastly, the degree of price resilience refers to the ability of the market to quickly return to its original price level after a significant trade. This is also an indicator of liquidity, as it implies that there is sufficient trading activity to absorb large orders without causing a significant disruption in prices.

In summary, the sale of securities by issuers at an acceptable price does not demonstrate the liquidity of secondary markets, as it relates to the primary market, where securities are initially issued. The other factors mentioned, such as daily turnover, bid-ask spread, and price resilience, are better indicators of liquidity in secondary markets.

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Trower Corp. has a debt-equity ratio of.85. The company is considering a new plant that will cost $114 million to build. When the company issues new equity, it incurs a flotation cost of 8.4 percent. The flotation cost on new debt is 3.9 percent. What is the initial cost of the plant if the company raises all equity externally? (Enter your answer in dollars, not millions of dollars, e.g., 1,234,567. Do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.) Initial cash flow $ 121,707,014 What is the initial cost of the plant if the company typically uses 65 percent retained earnings? (Enter your answer in dollars, not millions of dollars, e.g., 1,234,567. Do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.) Initial cash flow $ 117,989,314 What is the initi cost of the plant if the company typically uses 100 percent retained earnings? (Enter your answer in dollars, not millions of dollars, e.g., 1,234,567. Do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.) Initial cash flow $ 116,080,029

Answers

The initial cost of the plant if the company raises all equity externally is $121,707,014.

The initial cost of the plant if the company typically uses 65 percent retained earnings is $117,989,314.

The initial cost of the plant if the company typically uses 100 percent retained earnings is $116,080,029.

To calculate the initial cost of the plant if the company raises all equity externally, we can use the formula:

Initial cost = [tex]\frac{\text{Cost of new plant}}{1 - \text{Flotation cost on new equity}}[/tex]

Cost of new plant = $114 million

Flotation cost on new equity = 8.4% = 0.084

Therefore, Initial cost = [tex]$\frac{114\text{ million}}{1-0.084}$[/tex]

Initial cost = $121,707,014

To calculate the initial cost of the plant if the company typically uses 65 percent retained earnings, we need to calculate the proportion of equity and debt used to finance the plant. Assuming the remaining 35% of the cost is financed with debt, we can use the debt-equity ratio to calculate the proportion of debt and equity:

Debt proportion =[tex]\frac{\text{Debt}}{\text{Debt} + \text{Equity}}[/tex] = 0.85

Equity proportion = 1 - Debt proportion = 0.15

We also need to adjust for the flotation costs of issuing new equity and debt:

Equity cost = [tex]\frac{\text{Cost of new equity}}{1 - \text{Flotation cost on new equity}}[/tex]

Equity cost = $114 million x [tex]\frac{0.15}{1-0.084}[/tex]

Equity cost = $22,919,620

Debt cost =  [tex]\frac{\text{Cost of new debt}}{(1 - \text{Flotation cost on new debt})}[/tex]

Debt cost = $114 million x [tex]\frac{0.35}{1 - 0.039}[/tex]

Debt cost = $46,201,694

Therefore, the initial cost of the plant is:

Initial cost = Cost of new plant + Equity cost + Debt cost

Initial cost = $114 million + $22,919,620 + $46,201,694

Initial cost = $117,989,314

To calculate the initial cost of the plant if the company typically uses 100 percent retained earnings, we can simply use the cost of the new plant and adjust for the flotation cost of issuing new equity:

Initial cost = [tex]\frac{\text{Cost of new plant}}{1-\text{Flotation cost on new equity}}[/tex]

Initial cost = [tex]$\dfrac{114 \text{ million}}{1-0.084}$[/tex]

Initial cost = $116,080,029.

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an increase in the u.s. interest rate question 5 options: raises the opportunity cost of holding dollars. induces households to increase consumption. shifts money demand to the right. leads to a depreciation of the u.s. dollar.

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An increase in the US interest rate raises the opportunity cost of holding dollars, shifts money demand to the right, and leads to a depreciation of the US dollar.

The opportunity cost of keeping dollars rises as the US interest rate rises because investors may earn greater returns elsewhere. As a result, the demand for money shifts to the right as people and businesses need more money to cover their increasing borrowing expenses. As investors look for greater returns in other currencies, this change may cause the value of the US dollar to decline.

However, as families may decide to save more and borrow less, decreasing the chance of induced consumption, an increase in interest rates may also result in a fall in consumer expenditure.

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The Oceanion Peso (OCP) is pegged to the dollar at the rate of 8 peso per dollar. The US 1-month interest rate is currently 1%, whilst the equivalent Oceanian rate is 4%. If the expected change in the exchange rate, should the peso break its peg, is 5%, Calculate the closest to the implied probability of the peg breaking over the next month?

Answers

The implied probability of the Oceanion Peso (OCP) breaking its peg to the dollar over the next month is approximately 33.33%.

To calculate the implied probability, first, find the interest rate differential by subtracting the US interest rate from the Oceanian interest rate (4% - 1% = 3%).

Next, divide the expected change in the exchange rate (5%) by the interest rate differential (3%). The result is 5% / 3% = 1.67, which represents the odds in favor of the peg breaking.

Finally, to find the implied probability, divide the odds in favor by the sum of the odds in favor and 1 (1.67 / (1.67 + 1) = 1.67 / 2.67). This gives you the implied probability of approximately 33.33%.

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what would you say to your friend who told you the following, "With rising interest rates, I need to take all of my investments out of the stock market and invest it somewhere else - or just move it to a savings account where it will be much safer. I just can't risk the chance that I will lose my retirement account due to the Fed raising interest rates!"

Answers

Ultimately, the decision on how to invest your retirement savings is a personal one that should take into account your individual risk tolerance, investment goals, and time horizon.

It's understandable to feel concerned about the potential impact of rising interest rates on your investments. However, it's important to remember that moving all of your investments out of the stock market and into a savings account may not be the best strategy for long-term retirement planning.

Historically, the stock market has provided higher returns than savings accounts or other fixed-income investments, although this is not guaranteed. While interest rate increases may cause short-term volatility in the stock market, over the long term, the market has tended to recover and provide positive returns.

It's also important to consider that investments in stocks, bonds, and other assets can be diversified to help manage risk. By diversifying your portfolio across different asset classes, sectors, and regions, you can potentially reduce the impact of any one market event on your overall portfolio.

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You are shopping for a laptop or tablet to use for taking notes, research, and studying. In this case, you belong to a(n)
a. concentrated market
b. business market
c. B2B market
d. industrial market
e. consumer market

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You are shopping for a laptop or tablet to use for taking notes, research, and studying. In this case, you belong to an consumer market. The correct option is e. consumer market.

The consumer market consists of individuals and households who purchase goods and services for personal consumption. When you're shopping for a laptop or tablet for taking notes, research, and studying, you're making a personal purchase to fulfill your own needs as a student or individual.

In this scenario, you're not part of a concentrated market, which typically refers to a small, specific target market. You're also not part of a business market, B2B market, or industrial market, as these terms apply to businesses that buy goods and services for their own use or to resell, rather than individual consumers like yourself.

As a participant in the consumer market, you'll likely be considering factors such as price, product features, brand reputation, and customer reviews when selecting a laptop or tablet. Manufacturers and retailers in this market focus on meeting the diverse needs of individual consumers, offering various products with different specifications to cater to a wide range of preferences and requirements. The correct option is e. consumer market.

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Caspian Sea Drinks is considering buying the J-Mix 2000. It will allow them to make and sell more product. The machine cost $1.84 million and create incremental cash flows of $759,276.00 each year for the next five years. The cost of capital is 8.20%. What is the net present value of the J-Mix 2000? Submit Answer format: Currency: Round to: 2 decimal places.

Answers

The net present value of the J-Mix 2000 for Caspian Sea Drinks is $327,459.94.

The net present value (NPV) of the J-Mix 2000 for Caspian Sea Drinks can be calculated as follows: NPV = -(Initial Investment) + PV of Incremental Cash Flows

NPV = -$1,840,000 + ($759,276 / 1.0820) + ($759,276 / [tex](1.0820^{2})[/tex]) + ($759,276 / [tex](1.0820^{3})[/tex]) + ($759,276 / [tex](1.0820^{4})[/tex]) + ($759,276 / [tex](1.0820^{5})[/tex])

NPV = -$1,840,000 + $626,224.24 + $576,802.44 + $530,743.48 + $487,605.97 + $447,083.80

NPV = $327,459.94

Therefore, the net present value of the J-Mix 2000 for Caspian Sea Drinks is $327,459.94.

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Suppose you have just won a lottery. You will receive a total of 16 annual payment, and each payment is $2,030. You will receive the first payment today. If you can earn 4.9% annual rate of return each year, how much is this lottery worth to you today? (round to the nearest dollar.)

Answers

According to the question, the present value of this lottery would be $30,814.

What is present value?

Present value is a concept used in finance to determine the current worth of a future sum of money or stream of cash flows. It is the concept of discounting a future amount of money to determine its current worth. It is calculated by using the effective interest rate and the amount of time until the money is received. Present value is used to compare the value of different cash flows, often when making decisions about investments.

This is calculated by taking the total of the 16 payments ($32,480), and discounting that amount by the 4.9% rate of return. Present value is the value of future cash flows when discounted by the appropriate rate of return. This means that the value of the lottery today is equivalent to $30,814.

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the "standard consumer package" of the 1950s included a car, house, and television. (True or False)

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False. While it is true that the car, house, and television were all popular consumer goods in the 1950s, they were not typically sold as a package or bundle. The idea of a "standard consumer package" including these items is a myth or exaggeration.

During the 1950s, owning a car became more common and accessible to middle-class families, as the post-war economic boom led to increased prosperity and a growing automobile industry.

Similarly, the rise of suburbanization and the Baby Boom led to a housing boom, as families sought out new homes in the suburbs.

Television also became increasingly popular during this time, as more households acquired sets and programming expanded.

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False. While it is true that the car, house, and television were all popular consumer goods in the 1950s, they were not typically sold as a package or bundle. The idea of a "standard consumer package" .

including these items is a myth or exaggeration. During the 1950s, owning a car became more common and accessible to middle-class families, as the post-war economic boom led to increased prosperity and a growing automobile industry. Similarly, the rise of suburbanization and the Baby Boom led to a housing boom, as families sought out new homes in the suburbs. Television also became increasingly popular during this time, as more households acquired sets and programming expanded.

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You are hiring a new account manager in an industry in which account managers are in high demand and short supply, but your company must keep monetary compensation costs under control. You recently intereviewed a great candidate and would like to make an offer. Which of these offers best addresses the needs of your company while still remaining competitive?
a. A competitive salary of $75,000 plus a 10% commission on revenue.
b. 100% commission on all sales (which would equate to $150,000 using last year's sales results).
c. A competitive salary of $75,000 plus 4 weeks paid vacation and flex work arrangement.
d. A competitive salary of $75,000 plus a bonus of $30,000 if certain goals are met.
e. A competitive salary of $150,000 plus 8 weeks paid vacation and flex work arrangement.

Answers

c. A competitive salary of $75,000 plus 4 weeks paid vacation and flex work arrangement.

This option addresses the company's need to control monetary compensation costs while still offering a competitive package to the candidate, considering the high demand for account managers in the industry.

Competitive salary: Offering a competitive salary of $75,000 acknowledges the candidate's qualifications and experience, and aligns with industry standards for account managers.

It demonstrates that the company values the candidate's skills and is willing to provide fair compensation for their role and responsibilities. A competitive salary also helps attract and retain top talent, which is essential for the company's success in a competitive job market.

Paid vacation: Including 4 weeks of paid vacation as part of the compensation package recognizes the importance of work-life balance and employee well-being.

It provides the candidate with a meaningful benefit that allows them to take time off to recharge, relax, and attend to personal commitments without sacrificing their compensation.

Paid vacation is a valuable perk that can enhance job satisfaction and employee retention, which can result in long-term cost savings for the company by reducing turnover.

Flex work arrangement: Offering a flexible work arrangement, such as remote work options or flexible working hours, can be attractive to candidates, especially in today's evolving work environment.

It can provide the candidate with greater flexibility in managing their work-life commitments and can be a cost-effective way for the company to meet the candidate's needs while managing compensation costs.

Flex work arrangements can also contribute to improved work-life balance, increased job satisfaction, and enhanced productivity.

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courts will issue an injunction against union tactics only if management can show a just cause to restrict the union tactic. group of answer choices false true

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This claim is untrue. If union practices are found to be unlawful or in violation of labor laws, courts may impose an injunction against them even in the absence of justification.

What strategies does the union employ?

The union has a number of options for action, including boycotting, picketing, and strikes. Workers leave their workplaces during a strike and won't come back until the problem has been fixed.

How are disputes between management and unions resolved?

A deadlock can also be broken through mediation and arbitration. Some strategies exert greater pressure on the opposite side to consent than others. Picketing, boycotts, and strikes are some of the tools available to labor. On the other hand, management can opt to start a lockout.

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You have been managing a $5 million portfolio that has a beta of 0.95 and a required rate of return of 9.175%. The current risk-free rate is 3%. Assume that you receive another $500,000. If you invest the money in a stock with a beta of 0.75, what will be the required return on your $5.5 million portfolio? Do not round intermediate calculations. Round your answer to two decimal places.

Answers

The required return on the $5.5 million portfolio will be 9.18%.

To calculate the required return on the $5.5 million portfolio, we need to first calculate the new portfolio beta. The current portfolio beta can be calculated as follows:

Beta_portfolio = 0.95

The beta of the new stock is given as 0.75. To calculate the new portfolio beta, we can use the following formula:

Beta new portfolio =

[tex]\frac{ ( \text{Current\_portfolio\_value} \times \text{Current\_portfolio\_beta} ) + ( \text{New\_investment} \times \text{New\_investment\_beta} ) }{ \text{New\_total\_portfolio\_value} }[/tex]

Substituting the values, we get:

= [tex]\frac{(5{,}000{,}000 \times 0.95) + (500{,}000 \times 0.75)}{5{,}500{,}000}[/tex]

= 0.9295

Next, we can calculate the required return on the new portfolio using the CAPM formula:

Required return = [tex]$R_f + \beta_{\text{new portfolio}} \times MRP$[/tex]

= 3% + 0.9295 * 6.175%

= 9.18%

Therefore, the required return on the $5.5 million portfolio will be 9.18%.

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Monetary neutrality means that while real variables may change in response to changes in the money supply, nominal variables do not.
true
false

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The given statement about Monetary neutrality is true. The details on this system is given in the below section.

Monetary neutrality way that at the same time as actual variables might also additionally alternate in reaction to modifications withinside the cash deliver, nominal variables do now no longer. According to the Fisher effect, if inflation rises then the nominal hobby fee rises. Shoeleather charges and menu charges are each charges of predicted inflation. The neutrality of cash, additionally referred to as impartial cash, is an monetary principle declaring that modifications withinside the cash deliver simplest have an effect on nominal variables and now no longer actual variables. Monetary neutrality is the concept that a alternate withinside the cash deliver does now no longer have a actual effect at the economic system withinside the lengthy run, apart from converting the mixture rate stage in share to the alternate withinside the cash deliver.

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True, monetary neutrality is a concept in economics that suggests that changes in the money supply have no long-term effects on nominal variables such as prices, interest rates, or exchange rates.

It assumes that there is no relationship between the money supply and real variables such as output, employment, or consumption.

Monetary neutrality is based on the idea that changes in the money supply only have a temporary effect on the economy because they are quickly absorbed by price adjustments. This implies that in the long run, changes in the money supply do not affect the level of output, employment, or other real variables. Instead, they only lead to changes in nominal variables.

The concept of monetary neutrality is often used to evaluate the effectiveness of monetary policy. If monetary neutrality holds true, then the central bank's ability to influence real variables through changes in the money supply is limited. In this case, monetary policy can only affect nominal variables, and the real economy will be largely unaffected.

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A naive forecast is a time-series method whereby the forecast for the next period equals the demand for the current period.True or False

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A naive forecast is a time-series method whereby the forecast for the next period equals the demand for the current period. This statement is True.

What is time-series method?

Time series forecasting is a technique for the prediction of events through a sequence of time. It predicts future events by analyzing the trends of the past, on the assumption that future trends will hold similar to historical trends.


A naive forecast is a simple forecasting method that assumes the demand for the next period will be the same as the demand for the current period. It is often used as a baseline for comparing more complex forecasting models and can be useful when there is limited historical data available or when the data shows little to no trend or seasonality.

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The statement "A naive forecast is a time-series method whereby the forecast for the next period equals the demand for the current period" is True. This method uses the current period's demand as a forecast for the next period, without taking into account other factors or trends.

A naive forecast is a time-series method whereby the forecast for the next period equals the demand for the current period. This statement is True.

Time series forecasting is a technique for the prediction of events through a sequence of time. It predicts future events by analyzing the trends of the past, on the assumption that future trends will hold similar to historical trends.

A naive forecast is a simple forecasting method that assumes the demand for the next period will be the same as the demand for the current period. It is often used as a baseline for comparing more complex forecasting models and can be useful when there is limited historical data available or when the data shows little to no trend or seasonality.

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when consumers are unhappy with a product, they may boycott the product and/or store and express dissatisfaction to friends. this is called a

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When consumers are unhappy with a product, they boycott the product and/or store and express dissatisfaction to friends. This is called private response. The correct answer is A.

When consumers are unhappy with a product and express their dissatisfaction to friends or family, or choose to boycott the product or store, it is considered a private response.

This is because they are sharing their opinions and taking action within their personal circles without involving any public channels or organizations.

Private responses may impact the company's reputation and sales as word-of-mouth spreads, but they are not as visible or widespread as public responses, which involve protests or public announcements, or third-party responses, which involve regulatory bodies or other outside parties.

A voice response refers to providing feedback directly to the company, such as through customer service or product reviews.

In summary, when consumers are unhappy with a product and express dissatisfaction to friends or choose to boycott, it is called a private response.

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Complete question:

When consumers are unhappy with a product, they boycott the product and/or store and express dissatisfaction to friends. This is called ________ response.

A) private

B) third-party

C) voice

D) public

Consider an American Call option with a Strike of $100 and a term of 6 months at time 0.
After 3 months the spot price is 105 and a dividend will be paid amounting to $1. The risk free rate is 5%.
Should this option be exercised at time 3 months after time 0?
a) Not enough information to answer the question
b) Yes
c) Indifferent between early exercise and holding to maturity
d) No

Answers

The answer is (b) Yes.

Whether a particular American Call option should be exercised or not at a specific time, given certain conditions?

At time 0, the option is out of the money because the spot price is less than the strike price. However, after 3 months, the spot price is 105 which is greater than the strike price of 100, and the option is now in the money. Additionally, since the option is an American option, it can be exercised at any time before expiration.

The time to maturity of the option is 6 months, and at the end of the 3rd month, there are still 3 months left until expiration. Therefore, it is optimal to exercise the option at this point because the intrinsic value of the option (the amount by which the spot price exceeds the strike price) is greater than the time value of the option.

The intrinsic value of the option at this point is 105 - 100 - 1 = 4, and the time value is zero because the remaining time to expiration is relatively short. Therefore, it is optimal to exercise the option and realize the intrinsic value of the option.

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RJS generated $65,000 net income this year. The firm's financial statements also show that it interest expense was $40,000, its marginal tax rate was 35%, and its invested capital was $800,000. If its average cost of funds is 12%, what was RJS's economic value added (EVA) this year?

Answers

To calculate RJS's economic value added (EVA) for the year, we need to use the following formula:

EVA = Net Operating Profit After Tax (NOPAT) - (Weighted Average Cost of Capital (WACC) x Invested Capital)

First, let's calculate NOPAT. We know that RJS's net income for the year was $65,000 and its marginal tax rate was 35%. Therefore:

NOPAT = Net Income x (1 - Marginal Tax Rate)


NOPAT = $65,000 x (1 - 0.35)


NOPAT = $42,250

Next, let's calculate the WACC. We know that RJS's average cost of funds is 12%. To calculate the WACC, we need to take into account the cost of debt and the cost of equity. We know the cost of debt, which is the interest expense of $40,000. To calculate the cost of equity, we can use the Capital Asset Pricing Model (CAPM) formula:

Cost of Equity = Risk-Free Rate + Beta x (Expected Market Return - Risk-Free Rate)

Assuming a risk-free rate of 2%, a beta of 1.5, and an expected market return of 10%, the cost of equity would be:

Cost of Equity = 2% + 1.5 x (10% - 2%)


Cost of Equity = 2% + 1.5 x 8%


Cost of Equity = 14%

Now we can calculate the WACC:

WACC = (Cost of Debt x (1 - Marginal Tax Rate) x Debt/Total Capital) + (Cost of Equity x Equity/Total Capital)


WACC = (12% x (1 - 0.35) x 40%/80%) + (14% x 60%/80%)


WACC = 4.68% + 10.5%


WACC = 15.18%

Finally, we can calculate the EVA:

EVA = NOPAT - (WACC x Invested Capital)
EVA = $42,250 - (15.18% x $800,000)
EVA = $42,250 - $121,440
EVA = -$79,190

The negative EVA indicates that RJS did not generate enough returns to cover its cost of capital. This means that the company's investments are not generating value for its shareholders. To increase EVA, RJS would need to improve its profitability or reduce its cost of capital.

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a paint supplier that places orders for different colors of paint for delivery at the same time should use a

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A paint supplier that places orders for different colors of paint for delivery at the same time should use a consolidated ordering system. This system allows for efficient management of multiple orders and ensures timely delivery to customers.

A paint supplier that places orders for different colors of paint for delivery at the same time should use a color-coded system to ensure that the correct colors are delivered to the correct locations. This system could involve assigning a specific color code or label to each type of paint, and then labeling each order with the appropriate code. This will help to prevent confusion and ensure that the correct orders are fulfilled in a timely and efficient manner. Additionally, the supplier may also want to use a tracking system to monitor the progress of each order and ensure that it is delivered on time.

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Surgical Supplies Corporation just Paid a $1.67 dividend last year. The dividend is expected to grow at growth rate of 20 percent over the next three years. It will then grow at normal and constant rate of 5 persent for the foeseeable future. Assuming a required rate of return of 12%, compute the price of the stock.

Answers

The price of the stock is $100.32.

How can we find the stock price?

Using the dividend discount model:

P = D / (r - g)

where P is the price of the stock, D is the dividend, r is the required rate of return, and g is the growth rate.

For the first three years, the dividends are:

D1 = D0 * (1 + g) = $1.67 * (1 + 0.20) = $2.004

D2 = D1 * (1 + g) = $2.004 * (1 + 0.20) = $2.4048

D3 = D2 * (1 + g) = $2.4048 * (1 + 0.20) = $2.88576

After year 3, the dividend will grow at a constant rate of 5% per year. Thus, the next dividend after year 3 is:

D4 = D3 * (1 + 0.05) = $2.88576 * 1.05 = $3.03005

The required rate of return is 12%, so:

r = 0.12

Now, we can use the formula to calculate the price of the stock:

P = ($2.004 / (1 + 0.12)^1) + ($2.4048 / (1 + 0.12)^2) + ($2.88576 / (1 + 0.12)^3) + ($3.03005 / (0.12 - 0.05) / (1 + 0.12)^3)

P = $2.004 / 1.12 + $2.4048 / 1.2544 + $2.88576 / 1.4049 + $3.03005 / (0.12 - 0.05) / 1.4049

P = $1.7857 + $1.9161 + $2.0559 + $94.5632

P = $100.3209

Therefore, the price of the stock is $100.32.

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The carbon cycled through a food web primarily comes from: A) primary producers. B) consumers. C) decomposers.

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The carbon cycled through a food web primarily comes from primary producers. The correct option is A.

Primary producers, such as plants and algae, obtain carbon by converting carbon dioxide (CO2) from the atmosphere into glucose (C6H12O6) through the process of photosynthesis. This glucose serves as a source of energy and carbon for the primary producers to grow and reproduce.

When consumers (option B), such as herbivores, feed on primary producers, they obtain carbon by ingesting the glucose present in the plants. This carbon is then passed on to the next trophic level, which consists of secondary consumers like carnivores, when they consume the herbivores.

The carbon cycle continues throughout the food web as organisms at various trophic levels consume each other.

Decomposers (option C) play a crucial role in recycling carbon back into the environment. When organisms die, decomposers break down their organic matter and release carbon in the form of CO2 back into the atmosphere.

This CO2 can then be used by primary producers for photosynthesis, continuing the carbon cycle in the food web.

In summary, the carbon cycled through a food web primarily comes from primary producers, who obtain it from the atmosphere and convert it into glucose through photosynthesis.

This carbon is then passed through the food web as organisms consume one another, with decomposers recycling it back into the environment for future use by primary producers.

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Complete question:

The carbon cycled through a food web primarily comes from:

A) primary producers.

B) consumers.

C) decomposers.

Mortgage Payments Solve the following problems. Round your results to the nearest cent as needed. You are taking out a mortgage to buy a home. After the down payment, you need to borrow $250,000. If a bank offers you a loan at 7.7 % for 30 years, how much will your monthly payment be? How much will you pay in interest? Your monthly payment will be $ _____ dollars You will pay a total of $_____ in interest dollars

Answers

Your monthly mortgage payment will be $1,763.12, and you will pay a total of $384,721.15 in interest.

To calculate your monthly mortgage payment, use the following formula: M = P * r * (1 + r)ⁿ / ((1 + r)ⁿ - 1), where M is the monthly payment, P is the loan amount, r is the monthly interest rate, and n is the number of payments.

1. Convert the annual interest rate to a monthly rate: 7.7% / 12 = 0.077 / 12 = 0.00641667
2. Calculate the number of payments: 30 years * 12 months/year = 360 payments
3. Plug these values into the formula: M = $250,000 * 0.00641667 * (1 + 0.00641667)^360 / ((1 + 0.00641667)^360 - 1)
4. Solve for M: M = $1,763.12

To calculate the total interest paid, use the following formula: Total Interest = (M * n) - P.

1. Multiply the monthly payment by the number of payments: $1,763.12 * 360 = $634,721.15
2. Subtract the loan amount from the total paid: $634,721.15 - $250,000 = $384,721.15

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which of the following statements is true of design for manufacturing (dfm) methods? group of answer choices they help firms identify potential failures in a system and classify them according to their severity. they lengthen the development cycle time of products. they facilitate integration between engineering and manufacturing and bring issues of manufacturability into the design process as early as possible. they introduce design rules that increase the complexity of the product designs, thus making them harder to manufacture, which ultimately increases the unit costs.

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The statement that is true about Design for Manufacturing (DFM) methods is they facilitate integration between engineering and manufacturing and bring issues of manufacturability into the design process as early as possible. The correct option is C.

DFM methods are a set of design practices that focus on designing products that are easy and cost-effective to manufacture. DFM methods help to identify potential manufacturing issues early in the design process, allowing engineers and designers to make adjustments to the product design before manufacturing begins.

DFM methods also facilitate integration between engineering and manufacturing by encouraging collaboration between these two functions. By involving manufacturing teams in the design process, engineers can gain valuable insights into the manufacturing process and the requirements for producing a product at scale.

DFM methods do not introduce design rules that increase the complexity of the product designs or make them harder to manufacture. Rather, the goal of DFM is to simplify product designs and make them easier and more cost-effective to manufacture.

Therefore, the correct option is C.

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Creation of an advertising campaign for tony's pizza that will appeal to 6- to 12-year-olds is best described as what part of the final step in the marketing research approach, to take marketing actions? multiple choice question. Make action recommendations forecast the results implement the action recommendations evaluate the decision

Answers

The ultimate step within the promoting inquire about approach is to require showcasing activities based on the discoveries of the inquiry. This step includes executing the activity recommendations that have been created based on the investigate discoveries.

Within the case of Tony's Pizza, the showcasing inquire about may have uncovered that there's a critical advertise section of 6- to 12-year-olds who are fascinated by pizza. Based on this finding, the promoting group may have created an activity proposal to form an publicizing campaign that particularly targets this age bunch.

By and large, the usage of activity proposals may be a basic step within the showcasing investigative approach since it empowers the organization to put its investigative discoveries into activity and accomplish its showcasing goals. 

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the main consideration for a marketing channel strategy is: select one: a. operating efficiencies b. reaching the target market c. service quality d. customer satisfaction e. the number of wholesalers and retailers

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The main consideration for a marketing channel strategy is: b. reaching the target market.

A marketing channel strategy aims to effectively deliver products or services to the target audience.

By focusing on reaching the target market, businesses can ensure that their marketing efforts are directed at the right customers and increase the chances of generating sales.

This includes choosing appropriate marketing channels, considering customer preferences, and designing promotional activities that resonate with the target audience.

While other factors such as operating efficiencies, service quality, customer satisfaction, and the number of wholesalers and retailers are also important, reaching the target market remains the primary objective of a marketing channel strategy.

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