Machina Corporation is financing an ongoing construction project. The firm needs $8 million of new capital during each of the next three years. The firm has a choice of issuing new debt and equity each year as the funds are needed, or issuing the debt now and the equity later. The firm's capital structure is 40 percent debt and 60 percent equity. Flotation costs for a single debt issue would be 1.6 percent of the gross debt proceeds. Yearly flotation costs for three separate issues of debt would be 3.0 percent of the gross amount. Ignoring time value effects due to timing of the cash flows, what is the absolute difference in dollars saved by raising the needed debt all at once in a single issue rather than in three separate issues? a. SO b. $171,387 c. $140,809 d. $156,098 e. $134,401

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Answer 1

The absolute difference in dollars is $134,401 (option e).

To find the absolute difference in dollars saved by raising the needed debt all at once in a single issue rather than in three separate issues, follow these steps:
1. Calculate the total debt needed: $8 million per year x 3 years = $24 million.
2. Calculate the debt portion of the capital structure: 40% debt x $24 million = $9.6 million.
3. Calculate the flotation costs for a single debt issue: 1.6% x $9.6 million = $153,600.
4. Calculate the yearly flotation costs for three separate issues: 3.0% x ($9.6 million / 3) = $96,000 per year.
5. Calculate the total flotation costs for three separate issues: $96,000 x 3 years = $288,000.
6. Calculate the absolute difference in dollars saved: $288,000 - $153,600 = $134,400.
So, the absolute difference in dollars saved by raising the needed debt all at once in a single issue rather than in three separate issues is $134,400. The closest answer is choice (e) $134,401.

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Related Questions

Capability maturity model integration (cmmi) is a process improvement approach that defines the essential elements of effective processes. Question 2 options: true false

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Capability maturity model integration (cmmi) is a process improvement approach that defines the essential elements of effective processes is True.

An method to process improvement called Capability Maturity Model Integration (CMMI) offers a framework for creating and enhancing organisational processes. It outlines the key components of efficient processes and offers organisations a road map for enhancing their operations to get better results.

CMMI is a widely used benchmark for improvement of processes across numerous industries. It was created with the Software Technology Institute (SEI) of Carnegie Mellon University. It has five maturity stages, each of which corresponds to a distinct step in an organization's journey towards process improvement. Initial, Managed, Defined, In quantitative terms Managed, along with Optimising are the different levels.

Organisations can use CMMI to determine their abilities and shortcomings, set benchmarks for improving their processes, and develop strategies for advancing to greater degrees of process maturity.By following the CMMI framework, organizations can improve their processes, increase efficiency, reduce costs, and improve the quality of their products and services.

CMMI is a powerful tool for organizations that are committed to continuous improvement and want to achieve higher levels of process maturity.

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under the equipment breakdown protection coverage form, what condition will apply if the covered equipment is subject to a dangerous exposure?

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If the covered equipment is subject to a dangerous exposure, the condition of the equipment breakdown protection coverage form is that the damage must be caused by a sudden and accidental physical event.

This means that the event must be sudden and unexpected, and the damage must be caused by a physical force. Examples of such events include explosions, short circuits, electrical arcing, steam explosions, and mechanical breakdowns.

The coverage form also states that the event must not be due to the intentional acts of any insured person, and the event must occur during the policy period. This type of coverage is beneficial for businesses, as it can help to cover the cost of repairs or replacement of the damaged equipment.

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A fully amortizing loan has a monthly payment of $1,803. If the interest rate is fixed at 4.75% and the amortization period is 20 years, what is the original loan amount (round to the nearest dollar)?

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This fully amortizing loan has a $279,459 initial loan balance.

To calculate the original loan amount for a fully amortizing loan with a monthly payment of $1,803, fixed interest rate of 4.75%, and a 20-year amortization period, we can use the formula for the present value of an annuity:

PV = PMT x ((1 - (1 + r/n)^(-nt)) / (r/n))

Where:

PV = Present value or original loan amount

PMT = Monthly payment

r = Annual interest rate

n = Number of compounding periods per year

t = Total number of payments

Plugging in the given values, we get:

PV = $1,803 x ((1 - 0.384615) / 0.00395833)

PV = $1,803 x (0.615385 / 0.00395833)

PV = $279,458.68

Rounding to the nearest dollar, the original loan amount for this fully amortizing loan is $279,459.

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which of the following is a disadvantage of a sole proprietorship? multiple choice entrenched management. double taxation. unlimited liability. excessive regulation.

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The disadvantage of a sole proprietorship is unlimited liability. Option B is correct.

Unlimited liability means that the owner of a sole proprietorship is personally responsible for all debts and legal obligations of the business. This means that if the business incurs a debt that it cannot pay, the owner's personal assets can be seized to satisfy the debt. This puts the owner at risk of losing personal assets such as a house, car, or savings, and can create a significant financial burden for the owner.

Entrenched management, double taxation, and excessive regulation are not disadvantages of a sole proprietorship. Entrenched management refers to a situation where top management has too much power and cannot be easily replaced, but this is not a relevant concern for a sole proprietorship where the owner is also the sole manager.

Double taxation refers to a tax on both corporate profits and dividends to shareholders, but this does not apply to sole proprietorships since they are not separate legal entities from the owner. Excessive regulation can be a concern for businesses in general, but sole proprietorships are typically subject to less regulation than larger corporations. Option B is correct.

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which of the following is an incorrect statement? a. goods or services are perceived favorably by customers if the ratio of perceived benefits to price to the customer is high. b. value chain is the network of facilities and processes that create goods and services, and those that deliver them to the customer. c. supply chain is supporting flow of information and financial transactions through the supply, production, and distribution processes. d. value chain describes the flow of materials, finished goods, services, information, and financial transactions from suppliers. e. value chain does not enhance values to customers.

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The incorrect statement is option e, which states that value chain does not enhance values to customers.

Value chain is a series of activities that organizations perform to create and deliver products or services to customers. It includes the flow of materials, information, and financial transactions from suppliers to the organization, and from the organization to the end customers. The main goal of the value chain is to enhance the value of the products or services to the customers, by providing them with the required quality, features, and benefits at an affordable price.

Value chain activities are categorized into primary activities and support activities. Primary activities are directly involved in the creation and delivery of products or services, while support activities enable the primary activities to be performed efficiently and effectively. By optimizing the value chain activities, organizations can improve their competitiveness, profitability, and customer satisfaction.

Therefore, option e is incorrect because enhancing customer value is one of the main objectives of value chain management.

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davie inc. has a pre-tax cost of debt of 8.6 percent, a cost of equity of 13.4 percent, and a cost of preferred stock of 8.5 percent. the firm has 240,000 shares of common stock outstanding at a market price of $27 a share. there are 25,000 shares of preferred stock outstanding at a market price of $33 a share. the bond issue has a face value of $540,000 and a market price of 102.1 percent of face value. the company's tax rate is 34 percent. what is the firm's weighted average cost of capital?

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The firm's weighted average cost of capital is approximately 10.98%.

How to calculate the value of WACC

Davie Inc.'s weighted average cost of capital (WACC) can be calculated using the following formula:

WACC = (E/V * Re) + (P/V * Rp) + ((D/V * Rd) * (1 - T))

where E, P, and D represent the market value of equity, preferred stock, and debt respectively;

Re, Rp, and Rd represent the cost of equity, preferred stock, and debt respectively; V is the total market value of the firm (E + P + D); and T is the tax rate.

First, we calculate the market values:

Equity (E) = 240,000 shares * $27/share = $6,480,000

Preferred Stock (P) = 25,000 shares * $33/share = $825,000

Debt (D) = $540,000 * 102.1% = $551,340 Next, we find the total market value (V):

V = E + P + D = $6,480,000 + $825,000 + $551,340 = $7,856,340

Now, we can calculate the WACC:

WACC = (($6,480,000/$7,856,340) * 13.4%) + (($825,000/$7,856,340) * 8.5%) + ((($551,340/$7,856,340) * 8.6%) * (1 - 34%))

WACC = (0.8247 * 13.4%) + (0.1050 * 8.5%) + (0.0702 * 8.6% * 0.66)

WACC ≈ 10.98%

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air destinations issues a bond due in 10 years with a stated interest rate of 6% and a face amount of $500,000. interest payments are made semiannually. the market rate for this type of bond is 5%. what is the issue price of the bond (rounded to nearest whole dollar)

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Based on the provided informations, the issue price of the bond is calculated to be $430,204, ( nearest whole dollar ).

To calculate the issue price of the bond, we need to find the present value of the future cash flows from the bond, which include the semiannual interest payments and the face amount at maturity.

Calculate the semiannual interest payment:

Interest rate = 6% / 2 = 3% per half-year

Semiannual interest payment = 3% x $500,000 = $15,000

Calculate the number of semiannual periods:

Number of semiannual periods = 10 years x 2 = 20 semiannual periods

Calculate the present value of the semiannual interest payments using the formula for the present value of an annuity:

PV of semiannual interest payments = $15,000 x (1 - 1/(1 + 5%/2)^20) / (5%/2) = $207,223.26

Calculate the present value of the face amount using the formula for the present value of a single amount:

PV of face amount = $500,000 / (1 + 5%/2)^20 = $222,980.94

Calculate the issue price of the bond by adding the present values of the interest payments and face amount:

Issue price = $207,223.26 + $222,980.94 = $430,204.20

Therefore, the issue price of the bond is $430,204, rounded to the nearest whole dollar.

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You bought 1,000 shares of Altona Ltd 5 years ago. Over the years you have attended the annual general meetings and carefully read through Altona Ltd’s financial statements. While you have been generally satisfied with the amount of annual dividends, recently you have become a little concerned with declining share prices. You became particularly alarmed when media published several photos showing Altona management’s Hawaiian management retreats. Taking into consideration the management behaviour critically discuss the relationship between a corporation’s shareholders and management. Analyse the problems and costs related to this relationship and explain with example how a company may structure management compensation to mitigate such costs.

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Problems and costs related to this relationship include conflicts of interest and impact on the company's reputation. Companies may design management compensation in a way that aligns it with shareholders' interests in order to reduce these costs. They might, for instance, link executive compensation to performance measures.

The relationship between a corporation's shareholders and management is an important one that can significantly impact the performance and success of the company. In this case, the declining share prices and management's behaviour at Hawaiian retreats are cause for concern.
Shareholders entrust management with their investment and expect them to act in the best interest of the company and its shareholders. However, when management engages in lavish spending and fails to prioritize shareholder value, it can lead to a breakdown in trust and a decline in share prices.
One problem related to this relationship is the potential for conflicts of interest. For example, management may prioritize their own compensation and benefits over the needs of shareholders. This can lead to a misalignment of interests and a lack of focus on long-term company performance.
Another cost related to this relationship is the impact on the company's reputation. When management engages in behaviour that is perceived as excessive or inappropriate, it can damage the company's brand and make it less attractive to investors and customers.
To mitigate these costs, companies may structure management compensation in a way that aligns their interests with those of shareholders. For example, they may tie executive compensation to performance metrics such as earnings per share or return on investment. This incentivizes management to focus on long-term growth and profitability rather than short-term gains.
In addition, companies can establish strong governance practices, including independent board oversight and regular reporting and disclosure, to ensure that management is accountable to shareholders and acting in their best interest.

Overall, the relationship between a corporation's shareholders and management is critical to the success of the company. By prioritizing transparency, accountability, and alignment of interests, companies can foster a positive and productive relationship that benefits both shareholders and management.

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which of the following is associated with the process in which the government contracts private businesses or organizations to provide public services? question 33 options: shadow bureaucrats. contracting-in. ses. the plum book. civil servants.

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The term associated with the process in which the government contracts private businesses or organizations to provide public services is B. Contracting-in.

This practice is commonly referred to as outsourcing and it involves the transfer of responsibilities for providing certain public services from the government to private entities. The rationale behind contracting-in is that private companies may be able to provide these services more efficiently and cost-effectively than the government.

Contracting-in has become increasingly common in recent years as governments seek to cut costs and improve service delivery. It is used across a wide range of public services, including healthcare, transportation, and IT services. However, outsourcing is not without its challenges. One of the main criticisms of contracting in is that it can result in a loss of control over public services, as private companies are primarily driven by profit motives.

Overall, contracting-in is an important tool that governments can use to improve the efficiency and effectiveness of public services. However, it is important that governments carefully consider the potential benefits and drawbacks of outsourcing before deciding to implement it. Therefore, the correct option is B.

The question was incomplete, Find the full content below:

which of the following is associated with the process in which the government contracts private businesses or organizations to provide public services?

A. shadow bureaucrats.

B. contracting-in.

C. SES.

D. the plum book.

E. civil servants.

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a vendor that has only a post-office box address could be a red flag of a phantom vendor. (True or False)

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The given statement: a vendor that has only a post-office box address could be a red flag of a phantom vendor is TRUE.

A vendor that has only a post-office box address could be a red flag of a phantom vendor. Phantom vendors are fictitious vendors that are created by fraudsters to divert funds from legitimate transactions to their own accounts.

They typically use a fake or inactive vendor name, and often use a post-office box address as a way to hide their true identity.

In some cases, a post-office box address may be legitimate, such as for small businesses or home-based businesses. However, in cases where a vendor has no physical address or only a post-office box address, it may be an indication of fraudulent activity.

Other red flags of phantom vendors include invoices that are not supported by purchase orders, invoices that have vague or incomplete descriptions of goods or services, and invoices that have unusual payment terms or requests for payment to a different account than usual.

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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 $1.81 million and create incremental cash flows of $538,260.00 each year for the next five years. The cost of capital is 11.92%. What is the internal rate of return for the J-Mix 2000? Submit Answer format: Porcentage Round to: 2 decimal places (Example: 9.24%, % sign required. Will accept decimal format rounded to 4 decimal places (ex: 0.0924)

Answers

According to the question, the internal rate of return for the J-Mix 2000 is 10.32%.

What is rate of return?

Rate of return is a measure of the profitability of an investment. It is usually expressed in terms of a percentage of the original investment. Rate of return is calculated by taking the gain from an investment and dividing it by the original cost of the investment. It can also be calculated by taking the income from the investment and dividing it by the original cost of the investment.

This is calculated using the formula for internal rate of return: IRR = (C1 / CF0)1/n – 1

Where C1 is the incremental cash flow of $538,260.00, CF0 is the initial investment of $1.81 million, and n is the number of years, which is 5.

IRR = (538,260.00 / 1,810,000)1/5 – 1

IRR = 0.1032

IRR = 10.32%

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the death benefit of a variable life policy must be calculated at least

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The death benefit of a variable life policy must be calculated at least annually. A variable life policy is a type of permanent life insurance that offers both a death benefit and a cash value component, with the latter being invested in various investment options.

Investment options such as stocks, bonds, or mutual funds. The death benefit provides financial protection to the policyholder's beneficiaries upon their death. Since the cash value component of a variable life policy is subject to market fluctuations.

The policy's overall value can increase or decrease depending on the performance of the chosen investments. To ensure that the death benefit remains sufficient and up-to-date, insurance companies are required to recalculate it at least once a year. During the annual calculation, the insurance company will evaluate the current cash value of the policy and the investments' performance.

Based on these factors, they will adjust the death benefit accordingly. This ensures that the policyholder's beneficiaries will receive a minimum guaranteed death benefit, as stated in the policy's terms and conditions, regardless of market performance.

In summary, the death benefit of a variable life policy must be calculated at least annually to account for changes in the policy's cash value and the performance of the underlying investments. This guarantees that beneficiaries receive the minimum death benefit specified in the policy, providing financial security and protection for the policyholder's loved ones.

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research shows the worse market conditions are, the more likely executives of a firm are to choose union strategies. a. building b. avoidance c. bargaining d. cooperation

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Research shows that the worse market conditions are, the more likely executives of a firm are to choose union bargaining strategies. The answer is c.

Research suggests that during tough economic times, such as recessions or when facing competitive pressures, executives of a firm are more likely to choose bargaining with unions as a strategy to reduce labor costs.

This is because bargaining can result in concessions from the union, such as lower wages, reduced benefits, or increased productivity, which can improve the firm's financial performance.

On the other hand, in good economic conditions, firms are more likely to choose building relationships with unions or cooperation, such as joint training programs or profit-sharing plans, as they may view unions as partners in achieving the firm's objectives. In contrast, avoidance strategies may lead to legal conflicts, while cooperation strategies may be less effective in reducing labor costs.

Therefore, bargaining with unions is a common strategy for firms during tough economic times.

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how materials are received how desbirs are disposed of and how everyday works and visitors circulate throuhg the job site

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The given statement, "How materials are received, how debris are disposed of, and how everyday work and visitors circulate through the job site," is true (T) because it pertains to the logistics and organization of a job site in terms of receiving materials, disposing of debris, and managing the flow of workers and visitors.

In any job site, there are multiple logistics that must be taken into account to ensure that the project runs smoothly. One of these is the management of incoming materials, which may involve coordinating with suppliers, checking inventory, and organizing storage. Another important consideration is the disposal of waste and debris, which must be handled in a safe and environmentally responsible manner.

Finally, there is the matter of managing the flow of workers and visitors throughout the job site, which can involve creating clear pathways and ensuring that all individuals are following appropriate safety protocols. Effective management of these logistics is crucial for ensuring that the project is completed on time, within budget, and with the highest possible level of quality.

This question should be provided as:

TRUE/FALSE: How materials are received, how debris are disposed of, and how everyday work and visitors circulate through the job site.

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what are the average return and standard deviation of your portfolio ab? average return is %, standard deviation is %. round your answer to a

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The average return and standard deviation of your portfolio AB are as follows: the average return is % (please insert the specific percentage), and the standard deviation is % (please insert the specific percentage).

Please make sure to round your answer to the appropriate decimal place. The standard deviation, on the other hand, measures the amount of variation or volatility in an investment's returns. It tells us how spread out the returns are from the average return. A higher standard deviation means that the investment's returns have a greater range of possible outcomes, while a lower standard deviation means that the returns are more predictable and have a narrower range of possible outcomes. Investors use both average return and standard deviation to assess the risk and potential reward of an investment.

Generally, higher returns are associated with higher risk, and lower returns are associated with lower risk. However, it's important to note that past performance is not a guarantee of future results, and all investments come with some level of risk.

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in an open-item accounts receivable system, customer statements display invoices (new or settled in the current period), along with payment details. group of answer choices true false

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Accounts receivable with open entries in client statements shows checks( new or paid in the current period) with payment details. It's true.

Each sale or other contact between a company and a client has its own entry in the current account system. Open particulars are particulars that haven't yet been settled.

The Accounts Receivable operation element stores and manages counting data for all customers. Open positions of active accounts are also appertained to as open client positions.

Accounts Receivable system helps you keep track of checks transferred, payments entered, and guests who may be before on their checks. The system also has styles to target guests or guests who haven't paid their bills on time.

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the external entity from whom an organization purchases inventory and raw materials is called a . (check all that apply.)

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The external entity from whom an organization purchases inventory and raw materials is called a supplier or vendor.

A supplier or vendor is a company or individual that provides goods or services to another company or organization. In the context of inventory and raw materials, a supplier is a company that supplies the necessary materials for an organization to produce its products or deliver its services.

These materials may include raw materials, components, parts, or finished goods. The relationship between a supplier and an organization is typically governed by a contract or purchase agreement, which specifies the terms and conditions of the transaction, including price, quantity, quality, and delivery schedule.

Effective supplier management is critical to the success of an organization, as it ensures a reliable and cost-effective supply of materials and helps to maintain quality and consistency in the production process.

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01 is the trend of total liabilities of significance in analyzing the financial condition of a business? If so, what other trends should be used in connection therewith? [10 Marks) er:

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Yes, the trend of total liabilities is significant in analyzing the financial condition of a business as it indicates the amount of debt that the business has taken on.

However, it should be analyzed in conjunction with other trends such as revenue, profitability, and cash flow. These trends provide a more comprehensive picture of the financial health of the business and can help identify any potential risks or opportunities for growth.

It is important to analyze trends over a period of time to identify any patterns or changes in the business's financial performance.

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you deposited $2,000 in a bank account that pays 5 percent simple interest. how much will you have in this account after three years?

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If the bank account pays 5% interest, you will have $2,300 in the account after three years.

You can use the following calculation to determine the interest earned over three years:

Interest is calculated as follows: Principal x Interest Rate x Time

where Time is the number of years, Rate is the interest rate, and Principal is the initial deposit.

The interest accumulated in this instance is:

Interest: $300 ($2,000 x 0.05 x 3)

The balance in the account is calculated by adding the initial deposit plus interest:

Total = $2,000 + $300 = $2,300

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now suppose that agatha wishes to withdraw $20,000 per year from the business and will reinvest any remaining after-tax earnings. if the business is operated as a sole proprietorship, how much after-tax cash flow will remain for reinvestment in the business? how much after-tax cash flow will agatha have from the withdrawal?

Answers

Agatha's after-tax cash flow from the withdrawal is:

After-tax cash flow from withdrawal = withdrawal amount - taxes owed on withdrawal

After-tax cash flow from withdrawal = $20,000 - $5,000

After-tax cash flow from withdrawal = $15,000

To determine how much after-tax cash flow will remain for reinvestment in the business if Agatha withdraws $20,000 per year and the business is operated as a sole proprietorship, we need to calculate the taxable income of the business and the taxes owed on that income.

Let's assume that the business has $100,000 in before-tax earnings and that Agatha's marginal tax rate is 25%. The taxable income of the business is calculated as follows:

Taxable income = before-tax earnings - business expenses - Agatha's salary

Taxable income = $100,000 - $50,000 - $20,000

Taxable income = $30,000

The taxes owed on the taxable income are calculated as follows:

Taxes owed = taxable income x tax rate

Taxes owed = $30,000 x 0.25

Taxes owed = $7,500

Therefore, the after-tax cash flow available for reinvestment in the business is:

After-tax cash flow = before-tax earnings - business expenses - taxes owed - Agatha's salary

After-tax cash flow = $100,000 - $50,000 - $7,500 - $20,000

After-tax cash flow = $22,500

Agatha's after-tax cash flow from the withdrawal is simply the amount she withdraws minus the taxes owed on that amount. If she withdraws $20,000 per year, the taxes owed on that amount are:

Taxes owed on withdrawal = withdrawal amount x tax rate

Taxes owed on withdrawal = $20,000 x 0.25

Taxes owed on withdrawal = $5,000

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Problem 9-34 Risk, Return, and Their Relationship (LG9-3, LG9-4) Consider the following annual returns of Molson Coors and International Paper: Year 1 Year 2 Year 3 Year 4 Molson Coors 17.88 - 8.7 38.0 International Paper 4.8% -17.8 -0.5 26.9 -11.4 - 7.5 Year 5 16.5 Compute each stock's average return, standard deviation, and coefficient of variation. (Round your answers to 2 decimal places.) Molson Coors 11.22 % Average return Standard deviation International Paper 0.40% % % Coefficient of variation Which stock appears better? O International Paper O Molson Coors

Answers

Molson Coors has an average annual return of 11.22% and a standard deviation of 19.43%.

The coefficient of variation for Molson Coors is 1.73. International Paper has an average annual return of 0.40% and a standard deviation of 15.69%. The coefficient of variation for International Paper is 39.17.

Based on these calculations, Molson Coors appears to be the better investment option as it has a higher average return and a lower coefficient of variation, indicating a lower risk compared to International Paper.

However, it is important to note that other factors such as market trends and company performance should also be considered when making investment decisions.

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There are a number of reasons why a firm might want to repurchase its own stock. Read the statement and then answer the corresponding question about the company's motivation for the stock repurchase: Smith and Martin Co. 's board of directors has decided to repurchase some of its stock on the open market because the company has received a large, one-time cash flow, and it believes that the company's stock is undervalued. What is the company's motivation for the stock repurchase

Answers

Smith and Martin Co.'s motivation for the stock repurchase is to utilize the large, one-time cash flow and take advantage of the undervalued stock.

How can repurchasing their own stocks can benefit them?

By repurchasing its own shares, the company can potentially increase shareholder value and signal confidence in the company's future performance.

By buying back its own stock, the company aims to decrease the number of outstanding shares in the market, which can potentially increase the earnings per share (EPS) and the value of the remaining shares. This can also signal to the market that the company has confidence in its own stock and believes it is a good investment.

Additionally, the company's decision to repurchase its stock may also be influenced by a large, one-time cash flow that the company has received. Instead of using the cash for other purposes such as acquisitions, capital expenditures, or dividend payments, the company has chosen to use the excess cash to buy back its own stock. This can be seen as a way to deploy the cash in a manner that is expected to generate value for the shareholders, by taking advantage of the perceived undervaluation of the stock.

Overall, the company's motivation for the stock repurchase is driven by the belief that the stock is undervalued and the desire to use excess cash in a strategic manner to potentially increase shareholder value. However, it's important to note that stock repurchases can have various implications and considerations, and companies need to carefully assess their financial position, market conditions, and strategic objectives before implementing a stock repurchase program.

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If today €1 exchanges for ¥135, and yesterday €1 exchanged for ¥130, then from yesterday to today:
A. yen depreciated by 5%.
B. yen depreciated by 3.85%.
C. yen appreciated by 5%.
D. euro depreciated by 3.7%.

Answers

From yesterday to today, yen depreciated by 3.85%. The correct option is b.

Difference = Today's rate - Yesterday's rate
Difference = ¥135 - ¥130
Difference = ¥5
the percentage change.
Percentage change = (Difference / Yesterday's rate) × 100
Percentage change = (¥5 / ¥130) × 100
Percentage change ≈ 3.85%
From yesterday to today, the yen depreciated by 3.85%. So, the correct answer is:B. yen depreciated by 3.85%.

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For Kittle Co., a stronger Canadian dollar has a stronger influence on Canadian dollar ___ than it does on Canadian dollar ___ Step 2 In the previous stage, you saw that Kittle's operating structure, with low sales in Canada and high cost of materials from Canadian suppliers, was a source of significant economic exposure each quarter. Because of this, Kittle has decided to restructure it's operating structure. The largest part of the restructure involves an increase in U.S. operating expense in order to pay for efforts to increase Canadian sales, while also ordering more supplies from U.S. suppliers instead of Canadian suppliers. This restructuring also includes using more U.S. sources for financing instead of Canadian sources.

Answers

A stronger Canadian dollar has a stronger influence on Canadian dollar expenses than it does on Canadian dollar sales for Kittle Co.

Since Kittle Co. has low sales in Canada and high costs of materials from Canadian suppliers, a stronger Canadian dollar would increase the cost of materials and other Canadian dollar expenses, thereby impacting the company's profitability.

However, since the company is restructuring its operations to increase Canadian sales and reduce dependence on Canadian suppliers, the impact of a stronger Canadian dollar on sales may be less significant.

Additionally, by sourcing financing from U.S. sources instead of Canadian sources, the company may be less exposed to fluctuations in the value of the Canadian dollar.

Overall, the restructuring of Kittle Co.'s operating structure may reduce its economic exposure to the Canadian dollar and improve its financial performance in the long term.

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Lenders look at a HELOC balance of less than $50,000 as if ________________.It were a credit cardIt were an assetIt were a paid mortgageIt were cash

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Lenders look at a HELOC balance of less than $50,000 as if it were a credit card.

Risk assessment: Lenders evaluate loans based on the level of risk involved. HELOC balances of less than $50,000 are generally considered lower-risk compared to larger balances because they represent a smaller amount of debt.

Lenders view smaller balances as more manageable and less likely to result in default, compared to larger balances that may pose higher risk.

Credit utilization: Similar to credit cards, lenders consider the utilization rate of a HELOC balance. Utilization rate is the percentage of available credit that is being utilized. A HELOC balance of less than $50,000 may be seen as similar to a credit card balance in terms of credit utilization.

A lower HELOC balance may indicate that the borrower is not utilizing a significant portion of their available credit, which can be viewed positively by lenders as it demonstrates responsible borrowing behavior.

Repayment capacity: Lenders also assess a borrower's ability to repay the loan. With a HELOC balance of less than $50,000, the monthly payment required may be relatively smaller compared to larger balances.

This may make it easier for borrowers to meet their repayment obligations and lenders may view it as a positive factor in their assessment.

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you're an account manager for a company that makes highly customized laser-cutting machine tools. one of your long-time customers, claymore custom cabinetry, has indicated that they might be in the market for a new laser cutter for cutting granite countertops as demand for these custom products has been steadily increasing. what do you do to encourage them to take the next step?

Answers

As an account manager for a company that makes highly customized laser-cutting machine tools, it's important to stay on top of your customer's needs and preferences.

If one of my long-time customers, Claymore Custom Cabinetry, has indicated that they might be in the market for a new laser cutter for cutting granite countertops, I would take a proactive approach to encourage them to take the next step.

First, I would schedule a meeting with them to discuss their specific needs and the features of our laser-cutting machine tools that could meet those needs.

I would also provide them with information about the latest technologies and advancements in the industry that could help them increase efficiency and reduce costs.

Additionally, I would offer them a customized demonstration of our laser cutter, highlighting its features and benefits.

By taking these steps, I can help Claymore Custom Cabinetry make an informed decision and move forward with their purchase.

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True or False?: Tax benefits generated by the sale of an asset must be excluded from DCF analysis since they do not result in actual cash coming into the company. Multiple Choice True False

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False. Tax benefits generated by the sale of an asset should not be excluded from DCF analysis.

Although they do not result in actual cash coming into the company, they still have an impact on the company's cash flows and therefore should be considered in the analysis.

Tax benefits can reduce the company's tax liability, which in turn increases the company's after-tax cash flows. This can have a positive impact on the net present value (NPV) of the project being evaluated.

Therefore, tax benefits should be included in the calculation of cash flows when performing a DCF analysis.

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At the start of 1996, the annual interest rate was 8 percent in the United States and 4.8 percent in Japan. The exchange rate was 108 yen per dollar at the time. Mr. Jorus, who is the manager of a Bermuda-based hedge fund, thought that the substantial interest advantage associated with investing in the United States relative to investing in Japan was not likely to be offset by the decline of the dollar against the yen. He thus concluded that it might be a good idea to borrow in Japan and invest in the United States. At the start of 1996, in fact, he borrowed \1,000 million for one year and invested in the United States. At the end of 1996, the exchange rate became 118 yen per dollar. How much profit did Mr. Jorus make in dollar terms? Answer is complete but not entirely correct. Profit $ 143,576,944

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Mr. Jorus made a profit of $143,576,944. At the start of 1996, Mr. Jorus, the manager of a Bermuda-based hedge fund, realized that the substantial interest advantage associated with investing in the United States relative to investing in Japan was not likely to be offset by the decline of the dollar against the yen.

He thus decided to borrow \1,000 million for one year and invest in the United States. At the time, the annual interest rate in the United States was 8 percent and the exchange rate was 108 yen per dollar. At the end of 1996, the exchange rate became 118 yen per dollar.

By taking advantage of the interest rate difference and the exchange rate change, Mr. Jorus made a profit of $143,576,944. He was able to take advantage of the interest rate difference and the exchange rate change in order to maximize his profits.

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if the firm's beta is 2.1, the risk-free rate is 7%, and the expected return on the market is 14%, then what would be the firm's cost of equity based on the capm approach? round your answer to two decimal places.

Answers

The firm's cost of equity based on the CAPM approach is 21.7% (rounded to two decimal places).

How to calculate firms cost of equity?

To calculate the firm's cost of equity based on the CAPM approach, you need to use the following formula:

Cost of equity
= Risk-free rate + Beta × (Expected return on the market - Risk-free rate)

Given that the firm's beta is 2.1, the risk-free rate is 7%, and the expected return on the market is 14%, you can plug these values into the formula:

Cost of equity = 7% + 2.1 × (14% - 7%)
Step-by-step calculation:
1. Find the difference between the expected return on the market and the risk-free rate: 14% - 7% = 7%
2. Multiply the beta by the result from step 1: 2.1 × 7% = 14.7%
3. Add the risk-free rate to the result from step 2: 7% + 14.7% = 21.7%

Therefore, the firm's cost of equity based on the CAPM approach is 21.7%. Rounded to two decimal places, the answer is 21.70%.

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question content area when job 117 was completed, direct materials totaled $13,191; direct labor, $20,520; and factory overhead, $15,145. a total of 1,576 units were produced at a per-unit cost of a.$31 b.$48,856 c.$1,576 d.$33,711

Answers

a. $31.

To calculate the per-unit cost when job 117 was completed, we'll consider direct materials, direct labor, and factory overhead in the calculation.
Here's the step-by-step explanation:
1. First, add the costs of direct materials ($13,191), direct labor ($20,520), and factory overhead ($15,145) to find the total cost.
  Total cost = $13,191 + $20,520 + $15,145 = $48,856
2. Next, divide the total cost by the number of units produced (1,576 units) to find the per-unit cost.
  Per-unit cost = $48,856 / 1,576 = $31

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