QUESTION 1: The Lake Tahow Ski Resort is comparing a half dozen capital improvement projects. It has allocated $1 million for capital budgeting purposes. The following proposals and associated profitability indexes have been determined. The projects themselves are independent of one another.
PROFITABILITY PROJECT AMOUNT INDEX
1. Extend ski lift 3 $500,000 1.22
2. Build a new sports shop 150,00 0 0.95
3. Extend ski lift 4 350,000 1.20
4. Build a new restaurant 450,000 1.18
5. Build addition to housing complex 200,000 1.19
6. Build an indoor skating rink 400,000 1.05
a. If strict capital rationing for only the current period is assumed, which of the investments should be undertaken? (Tip: If you didn’t use up the entire capital budget, try some other combinations of projects, and determine the total net present value for each combination.)
b. Is this an optimal strategy?

Answers

Answer 1

Based on the profitability index, the projects that should be undertaken are: Extend ski lift 3 (Profitability index = 1.22),Build a new restaurant (Profitability index = 1.18), Build addition to housing complex (Profitability index = 1.19)


These three projects have a total amount of $1,150,000, which exceeds the allocated budget of $1 million. Therefore, if strict capital rationing for only the current period is assumed, the Lake Tahoe Ski Resort should only undertake the project with the highest profitability index, which is to extend ski lift 3.



If we try some other combinations of projects, we could consider undertaking projects 1, 3, and 5, which have a total amount of $1,050,000 and a total profitability index of 1.21.



b. This may not be an optimal strategy as it only considers the profitability index and does not take into account other factors such as the size of the project, the expected cash flows, and the overall strategic goals of the resort.

It is important for the resort to carefully evaluate and prioritize the projects based on a comprehensive analysis of these factors before making any investment decisions.

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Related Questions

a policyowner provides a check to the producer for her initial premium. how soon from receiving the check must the producer remit it to the insurer?

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When a policyowner provides a check to the producer for the initial premium, it is the producer's responsibility to remit the payment to the insurer in a timely manner. Generally, the producer should remit the payment as soon as possible after receiving it from the policyowner.

This ensures that the policy is put into effect without any delays or interruptions. It is important to note that the producer is acting as an agent for the insurer in this transaction and is responsible for properly handling the funds.

If there is a delay in remitting the payment, it could potentially cause issues with the policy and could result in cancellation or other complications. Therefore, it is important for both the policyowner and producer to ensure that the payment is processed in a timely manner to avoid any potential issues with the policy.

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Question 15 5 pts Suppose you are thinking about buying a 5 year $1.000 par value bond with a 9% coupon. Interest on this bond is paid annually. If your required rate of retum is 11% annually, how much should you pay for the bond? (Round your answer to two decimal point

Answers

If you want to earn a 11% return on this bond, you should pay $918.77 for it.

Calculate the price of the bond?

To calculate the price of the bond, we need to find the present value of its future cash flows, which are the annual coupon payments and the face value payment at maturity.

At a 9% coupon rate and a $1,000 face value, the annual coupon payment is:

Coupon payment = 9% x $1,000 = $90

To find the present value of each of the five coupon payments, we can use the formula:

PV = C / (1 + r)^t

where PV is the present value, C is the cash flow, r is the required rate of return, and t is the time period.

Using a required rate of return of 11% and a time period of t=1 for each coupon payment, we get:

PV of coupon payment = $90 / (1 + 0.11)^1 = $81.08

To find the present value of the face value payment at maturity, we can simply discount it by the required rate of return:

PV of face value payment = $1,000 / (1 + 0.11)^5 = $593.45

Therefore, the total present value of the bond is:

PV of bond = $81.08 + $81.08 + $81.08 + $81.08 + $593.45 = $918.77

So, if you want to earn a 11% return on this bond, you should pay $918.77 for it.

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Consider the following information on a portfolio of three stocks: State of Economy Probability of State of Economy Stock A Rate of Return Stock B Rate of Return Stock C Rate of Return Boom .15 .02 .32 .60Normal .60 .10 .12 .20Bust .25 .16 .11 . 35If the expected T-bill rate is 3.75 percent, what is the expected risk premium on the portfolio? a. 7.015% b. 3.750%c. 14.515% d. 10.765% e. None of the above

Answers

The expected risk premium on the portfolio is (a) 7.015%.

How to calculate the expected risk premium on the portfolio?

To calculate the expected risk premium on the portfolio, we need to first calculate the expected return on the portfolio and subtract the risk-free rate.

The expected return on the portfolio can be calculated as the weighted average of the expected returns of each stock, where the weights are the probabilities of each state of the economy:

Expected return on the portfolio = (0.15 x 0.02 + 0.6 x 0.10 + 0.25 x 0.16) Stock A + (0.15 x 0.32 + 0.6 x 0.12 + 0.25 x 0.11) Stock B + (0.15 x 0.60 + 0.6 x 0.20 + 0.25 x 0.35) Stock C

= 0.0315 + 0.1455 + 0.2475

= 0.4245 or 42.45%

The expected risk premium on the portfolio is then:

Expected risk premium = Expected return on the portfolio - Risk-free rate

= 0.4245 - 0.0375

= 0.387 or 38.7%

Therefore, the answer is (a) 7.015%.

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in the short run: multiple choice a firm cannot increase or decrease at least one of its inputs. output cannot be changed. the price of output is fixed. all of these are true.

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in the short run "a firm cannot increase or decrease at least one of its inputs". The correct answer is A.

In the short run, a firm cannot adjust all of its inputs, meaning it is operating under constraints. At least one input, usually capital, is fixed in the short run, so the firm cannot easily increase or decrease production in response to changing market conditions. As a result, output is constrained and the price of output may fluctuate based on supply and demand dynamics.

Option A is answer.

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printing a brand's web address on a shopping bag used to carry merchandise sold at a brick-and-mortar store is a form of:

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Printing a brand's web address on a shopping bag used to carry merchandise sold at a brick-and-mortar store is a form of promotional marketing.

Promotional marketing Definition

Promotional marketing is designed to spread knowledge about a brand, product, or service to a wide audience with the aim of increasing brand awareness and sales. Its purpose is to inspire a potential customer to take action.

Promotional marketing is part of the famous marketing mix that refers to a group of tactics that a company chooses to take a product or service to market.

It is a way for the brand to promote its online presence and drive traffic to its website. It can also serve as a reminder for customers to shop online in the future or to share the website with others.

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a strategy that promotes a superior alignment between the organization and its environment and the achievement of strategic goals is a(n) .

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A strategy that promotes a superior alignment between the organization and its environment and the achievement of strategic goals is called a strategic fit.

A strategic fit ensures that an organization's resources, capabilities, and competitive advantages are aligned with its external environment, including the market, competition, and technological changes.

A strategic fit involves assessing the external environment to identify opportunities and threats, and aligning the organization's resources and capabilities to capitalize on those opportunities and overcome the threats. This includes aligning the organization's mission, values, and culture with the external environment to achieve a shared vision and purpose.

A strategic fit is essential for achieving long-term success and sustainability, as it helps organizations adapt to changing environments and stay competitive. It also enables organizations to optimize their resources and capabilities to achieve their strategic goals efficiently and effectively. A strategic fit is a dynamic process that requires ongoing evaluation and adjustment to ensure that the organization remains aligned with its environment and strategic goals.

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describe each of the five objectives of the phoenix project. what level of effort would be required to accomplish these objectives?

Answers

The five objectives of improvement of the Phoenix Project are to improve:

Business/IT Alignment, Project Delivery Efficiency, IT Operations Efficiency, Continuous Improvement and Security and Compliance.

What are the objectives of the Phoenix Project

The five objectives of the Phoenix Project are to improve the following areas:

1. Business/IT Alignment:

Ensuring that IT projects and resources are aligned with the organization's strategic goals, requiring effective communication and collaboration between business and IT teams.

2. Project Delivery Efficiency:

Streamlining the delivery of IT projects by eliminating bottlenecks, adopting agile methodologies, and utilizing automation where appropriate. This may require significant effort in process improvement and team training.

3. IT Operations Efficiency:

Enhancing the performance and reliability of IT systems by implementing best practices in areas like incident management, monitoring, and capacity planning. This can be moderately to highly effort-intensive, depending on the current state of operations.

4. Continuous Improvement:

Fostering a culture of continuous learning and improvement within the organization, which may involve regular reviews, feedback, and training. The level of effort required varies based on the organization's current maturity and willingness to adapt.

5. Security and Compliance:

Ensuring that IT systems and processes comply with relevant regulations and are secure from potential threats. This objective typically requires a significant amount of effort in the form of regular audits, vulnerability assessments, and remediation of identified issues.

The level of effort required to accomplish these objectives depends on the organization's current state and the resources allocated for the project. The more mature an organization is in these areas, the less effort will be needed to achieve the objectives.

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Suppose your company is expected to grow at a constant rate of 6 percent long into the future. In addition, its dividend yield is expected to be 8 percent. If your company expects to pay a dividend equal to $1.06 per share at the end of the year, what is the value of your firm's stock?

Answers

The value of the firm's stock is $13.25.

We can use the Gordon Growth Model to find the value of the firm's stock:

Value of Stock = Dividend / (Cost of Equity - Growth Rate)

where:

Dividend = $1.06 (the expected dividend per share at the end of the year)

Growth Rate = 6% (the expected constant growth rate)

Cost of Equity = Dividend Yield + Growth Rate

Since the dividend yield is expected to be 8%, we can calculate the cost of equity as:

Cost of Equity = 8% + 6% = 14%

Now we can substitute these values into the formula:

Value of Stock = $1.06 / (0.14 - 0.06) = $1.06 / 0.08 = $13.25

Therefore, the value of the firm's stock is $13.25.

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if a stock consistently goes down (up) by 1.55% when the market
portfolio goes down (up) by 1.04%, then its beta equals?

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The beta of the stock is 143.5.

To calculate the beta of the stock, we use the formula:
Beta = (covariance of stock returns with market returns) / (variance of market returns)
In this case, we know that the stock consistently goes down (up) by 1.55% when the market portfolio goes down (up) by 1.04%. This means that the covariance of the stock returns with market returns is:
covariance = -1.55 / -1.04 = 1.4904
We also know that the variance of the market returns is given as 1.04%, which is equivalent to 0.0104 (since variance is usually expressed in decimal form).
Therefore, the beta of the stock can be calculated as:
Beta = 1.4904 / 0.0104 = 143.5
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Pickler Company has a debt-equity ratio of .65. Return on assets is 7.2 percent, and total equity is $815,000. a. What is the equity multiplier? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. What is the return on equity? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) c. What is the net income? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

The return on equity is 18.16%.The concepts of debt-equity ratio, return on assets, equity multiplier, return on equity, and net income.
Debt-equity ratio is a financial ratio that compares a company's total debt to its total equity.

It shows how much debt a company is using to finance its assets compared to its equity. A high debt-equity ratio means that a company has a higher level of debt compared to equity, which could indicate financial risk.Return on assets (ROA) is a financial ratio that measures a company's profitability by dividing its net income by its total assets.

It shows how efficient a company is at generating profits from its assets.
Equity multiplier is a financial ratio that shows how much a company is using debt to finance its assets. It is calculated by dividing total assets by total equity. A higher equity multiplier indicates that a company is using more debt to finance its assets.


Return on equity (ROE) is a financial ratio that measures a company's profitability by dividing its net income by its total equity. It shows how efficient a company is at generating profits from its equity.
Net income is a company's total revenue minus its total expenses.
Now, let's apply these concepts to the given information about Pickler Company.
a. To find the equity multiplier, we can use the formula:
Equity multiplier = Total assets / Total equity
We know that the debt-equity ratio is 0.65, which means that the company has 0.65 times more debt than equity. This can also be expressed as:
Debt / Equity = 0.65
Solving for equity, we get:
Equity = Debt / 0.65
We also know that total equity is $815,000. Substituting these values into the equity multiplier formula, we get:
Equity multiplier = (Debt / 0.65 + Equity) / Equity
                = (Debt / 0.65 + $815,000) / $815,000
To find the debt, we can multiply the equity by the debt-equity ratio:
Debt = Equity x Debt-equity ratio
    = $815,000 x 0.65
    = $529,750
Substituting this value into the equity multiplier formula, we get:
Equity multiplier = ($529,750 / 0.65 + $815,000) / $815,000
                = 2.52
Therefore, the equity multiplier is 2.52.
b. To find the return on equity, we can use the formula:
Return on equity = Net income / Total equity
We know that the return on assets is 7.2%, which means that the company generates 7.2 cents of profit for every dollar of assets. We also know that the equity multiplier is 2.52, which means that the company is using 2.52 dollars of assets

to finance every dollar of equity. This can be expressed as:
Total assets / Total equity = 2.52
Solving for total assets, we get:
Total assets = Total equity x 2.52
Substituting the given values, we get:
Total assets = $815,000 x 2.52
            = $2,052,800
Now, we can find the net income using the return on assets formula:
Return on assets = Net income / Total assets
0.072 = Net income / $2,052,800
Net income = $147,984
Substituting this value into the return on equity formula, we get:
Return on equity = $147,984 / $815,000
               = 18.16%
Therefore, the return on equity is 18.16%.
c. We have already calculated the net income in part b, which is $147,984.
In conclusion, we can see that Pickler Company has a debt-equity ratio of 0.65, an equity multiplier of 2.52, a return on assets of 7.2%, a return on equity of 18.16%, and a net income of $147,984. These financial ratios provide valuable information about the company's financial health and performance, and can be used by investors and analysts to make investment decisions.

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a. The equity multiplier can be calculated as:

Equity Multiplier = Total Assets / Total Equity

We can rearrange the formula for the debt-equity ratio as:

Debt-Equity Ratio = Total Debt / Total Equity

Since we know the debt-equity ratio is 0.65, we can say:

0.65 = Total Debt / Total Equity

Total Debt = 0.65 * Total Equity

We can substitute this expression for total debt into the formula for the equity multiplier:

Equity Multiplier = Total Assets / Total Equity = (Total Debt + Total Equity) / Total Equity = (0.65 * Total Equity + Total Equity) / Total Equity

Equity Multiplier = 1.65

Therefore, the equity multiplier is 1.65.

b. The return on equity can be calculated as:

Return on Equity = Net Income / Total Equity

We know that return on assets is 7.2%, which can also be expressed as:

Return on Assets = Net Income / Total Assets

We can rearrange this formula to solve for net income:

Net Income = Return on Assets * Total Assets

We also know that the equity multiplier is 1.65, which means:

Total Assets = Equity Multiplier * Total Equity = 1.65 * $815,000 = $1,345,250

Substituting the values we know into the formula for net income:

Net Income = 7.2% * $1,345,250 = $96,846

Therefore, the return on equity is:

Return on Equity = $96,846 / $815,000 = 11.89%

The return on equity is 11.89%.

c. We already calculated the net income in part b:

Net Income = $96,846

Therefore, the net income is $96,846.

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the law of supply states that, all other things being equal, a. price and quantity are always negatively correlated. b. the quantity supplied falls when the price rises, and the quantity supplied rises when the price falls. c. the quantity supplied falls when the price falls, and the quantity supplied rises when the price rises. d. the supply falls when the price rises, and the demand rises when the price falls. e. the supply falls when the price falls, and the demand rises when the price rises.

Answers

The law of supply states that, all other things being equal, the quantity supplied falls when the price rises, and the quantity supplied rises when the price falls. The correct answer is B.

The law of supply states that, all other things being equal, the quantity supplied of a good or service will increase when the price of the good or service increases, and the quantity supplied will decrease when the price of the good or service decreases.

This is because suppliers are generally willing to produce and sell more of a good or service when the price is high, as it allows them to earn more revenue and profits, and are less willing to produce and sell when the price is low, as it may not cover their costs of production.

Price and quantity supplied are positively correlated, not negatively correlated as in option a. Options d and e are incorrect because they refer to changes in demand, not supply. Therefore, the correct answer is B.

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All of the following are needed to determine the annual accretion amount on an original issue municipal discount bond EXCEPT:
A Dated date
B Maturity date
C Acquisition cost
D Sale price

Answers

To determine the annual accretion amount on an original issue municipal discount bond, you need the following information:
A. Dated date
B. Maturity date
C. Acquisition cost

The one term you do NOT need to determine the annual accretion amount is:

D. Sale price

Dated date: The dated date of a municipal discount bond is the date from which the bond starts accruing interest. It is also known as the "issue date" or "origination date" of the bond.

The dated date is an important factor in calculating the annual accretion amount as it determines the number of days for which the bond has been outstanding and accruing interest.

Maturity date: The maturity date of a municipal discount bond is the date on which the bond is scheduled to mature and the principal amount is due to be repaid to the bondholder.

The maturity date is used in determining the total period for which the bond is held until maturity, which is an important factor in calculating the annual accretion amount.

Acquisition cost: The acquisition cost of a municipal discount bond is the price at which the bond was purchased or acquired by the bondholder. It includes the purchase price, any transaction costs, and any accrued interest that may be due at the time of acquisition.

The acquisition cost is used in calculating the annual accretion amount as it forms the basis for determining the increase in the bond's value over time.

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who regulates the practice of pharmacy? select one: a. national pharmaceutical association b. american pharmacy association c. american association of health-system pharmacists d. state board of pharmacy

Answers

The practice of pharmacy is regulated by the State Board of Pharmacy in each state of the United States. Option d is answer.

The State Board of Pharmacy is responsible for protecting the public's health and safety by ensuring that licensed pharmacists and pharmacies comply with state pharmacy laws and regulations. They also regulate pharmacy technicians, interns, and pharmacy facilities to ensure that they are operating in compliance with state and federal regulations.

The State Board of Pharmacy is responsible for a range of activities, including issuing and renewing licenses for pharmacists and pharmacies, enforcing pharmacy laws and regulations, investigating complaints and violations, and conducting inspections. They also work to ensure that drugs are dispensed safely and effectively, and that pharmacists are practicing within the scope of their license and training.

Option d is answer.

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rocky corp. receives rent in advance of $100,000 in year 1. the timing difference is expected to reverse $30,000 in year 2 and $70,000 in year 3. the enacted tax rates are 30% in year 1 and year 2, and 40% in year 3. what is the amount in the deferred tax asset account at december 31, year 1?

Answers

Rocky corp. receives rent in advance of $100,000 in year 1. the timing difference is expected to reverse At the end of the first year, the deferred tax asset account contained $4,000 in value.

Calculating the temporary difference between the tax basis and the financial reporting basis of the advance rent paid, and multiplying it by the annual enacted tax rates, will yield the deferred tax asset.

In this instance, the temporary difference is equal to the $100,000 advance rent less the $80,000 ($100,000 * 20%), which is the amount recognised for taxX reasons. The short-term difference is therefore $20,000 (110,000 - 80,000). We must multiply the temporary difference by the enacted tax rate for year 1, which is 20%, in order to determine the deferred tax asset. So, at the end of year 1, the deferred tax asset is:

Deferred tax asset = Temporary difference x

Enacted tax rate. Deferred tax asset = $20,000 x 20% = $4,000.

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An analyst claims, ‘‘It is not worth my time to develop detailed forecasts of sales growth, profit margins, etcetera, to make earnings projections. I can be almost as accurate, at virtually no cost, using the random walk model to forecast earnings.’’ What is the random walk model? Do you agree or disagree with the analyst’s forecast strategy? Why or why not?

Answers

The random walk model is a financial theory that assumes that stock price movements are unpredictable and follow a random pattern. According to this model, the best predictor of future stock prices is the current price, as there is no correlation between past and future price movements.

As for the analyst's forecast strategy, I respectfully disagree with their claim. While the random walk model may offer a low-cost and easy way to forecast earnings, it is not the most accurate method.

Developing detailed forecasts of sales growth, profit margins, and other financial factors can provide more reliable and accurate predictions, as these factors are often closely related to a company's future earnings.

In conclusion, the random walk model is a financial theory that assumes stock price movements are unpredictable and follow a random pattern.

However, relying solely on this model to forecast earnings may not be the most accurate approach. Instead, a more comprehensive analysis that includes sales growth, profit margins, and other factors should be considered for a more accurate forecast.

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your uncle is going to give you $1,500 at the end of each month for the next 5 years. if the interest rate is 3% what is today's value of this promise and how much money will be accumulated at the end of the period?

Answers

Today's value of this promise is $6,632. This means if your uncle gave you $6,632 today, it would be the same as him giving you $1,500 every month for the next 5 years.

At the end of the period, the total accumulated amount will be $90,000. This is because with each month that passes, the value of the $1,500 increases due to the 3% interest rate.

The interest rate accumulates each month, meaning that by the end of the 5 years the total accumulated amount will be much higher than the original amount promised.

For example, the total accumulated amount after 4 years would be $76,800, and after 3 years it would be $61,200. This illustrates the power of compounding interest and how it can increase the value of money over time.

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A friend tells you he is interested in a market-linked GIC (MLGIC) offered by Canadian Bank of the Empire. This MLGIC has the following terms
It is a 3 year non-redeemable product
A guaranteed return of 2%
It allows you to fully participate in the return (price appreciation) of the TSX 60 index up to 13%
The current level of the TSX 60 index is 950.33. The index has a dividend yield of 1.5% and its volatility (standard deviation of returns) is 16%.
Canadian Bank of the Empire also offers a plain vanilla 3 year non-redeemable GIC that pays 2% p.a. Assume a $1,000 investment and a risk free rate of 1.1%.
(Do not round intermediate calculations. Round your final answers to 2 decimal points. Use the BS calculator excel spreadsheet I provided you with where necessary.)
a. The (Click to select) plain vanilla MLGIC product dominates the (Click to select) plain vanilla MLGIC product by dollars.
b. If the MLGIC had a 50% participation rate (that is you only got 50% of the price appreciation over 2%) and no maximum upside, the value of the MLGIC would be dollars.

Answers

a. The MLGIC dominates the plain vanilla GIC by $156.07.

b. The value of the MLGIC with a 50% participation rate and no maximum upside would be $1,138.03.

By what value MLGIC dominates the plain vanilla?

a. The MLGIC dominates the plain vanilla GIC by dollars.

To calculate the expected return of the MLGIC, we need to first calculate the expected return of the TSX 60 index:

Expected return = dividend yield + (maximum return - current level)/current level

Expected return = 0.015 + (0.13 - 0.95033)/0.95033

Expected return = 0.0963 or 9.63%

Since the MLGIC allows full participation in the return of the TSX 60 index up to 13%, the expected return of the MLGIC will be the minimum of the expected return of the index and 13%:

Expected return of MLGIC = min(9.63%, 13%) = 9.63%

The expected value of the MLGIC after 3 years is therefore:

Expected value = $1,000 * (1 + 2%)^3 * (1 + 9.63%) = $1,217.28

The expected value of the plain vanilla GIC after 3 years is:

Expected value = $1,000 * (1 + 2%)^3 = $1,061.21

Therefore, the MLGIC dominates the plain vanilla GIC by $156.07.

How to calculate the expected return of the MLGIC?

b. If the MLGIC had a 50% participation rate and no maximum upside, the value of the MLGIC would be $1,138.03.

To calculate the expected return of the MLGIC with a 50% participation rate, we first calculate the expected return of the TSX 60 index with a 50% participation rate:

Expected return = dividend yield + (maximum return - current level)/current level * 50%

Expected return = 0.015 + (0.13 - 0.95033)/0.95033 * 50%

Expected return = 0.0475 or 4.75%

The expected value of the MLGIC with a 50% participation rate and no maximum upside after 3 years is therefore:

Expected value = $1,000 * (1 + 2%)^3 * (1 + 4.75%) = $1,138.03

Therefore, the value of the MLGIC with a 50% participation rate and no maximum upside would be $1,138.03.

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in order for a firm to lower costs, it must ______. multiple choice question. grow increase risks lower its expectations lower profits

Answers

A company's cost of capital is the minimal rate of return it must achieve on its investments in order to satisfy its investors. A business must decrease profits in order to reduce costs. Hence (d) is the correct option.

The capital structure, dividend policy, and investment strategy of a company can all have an impact on its cost of capital. The cost a company incurs to produce a further unit of a good or service is known as the marginal cost. By dividing the overall cost of creating extra products by the total number of extra units produced, it is determined.

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in order for a firm to lower costs, it must ______. .

a. grow

b. increase risks

c. lower its expectations

d. lower profits

In order for a firm to lower costs, it must "lower its expectations."

Business is the practice of making one's living or making money by producing or buying and selling products. It is also "any activity or enterprise entered into for profit."A firm is a for-profit business, usually formed as a partnership that provides professional services, such as legal or accounting services. The theory of the firm posits that firms exist to maximize profits.

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You are about to introduce a new soft drink into the U.S. market and you are considering using USA Today to advertise the product. The cost of advertising USA Today is $240,000, with the audience size is 2,000,000. Based on the information provided, what is the cost per thousand impressions of advertising your soft drink using USA Today newspaper?
Multiple Choice
360
480
200
240
120

Answers

The cost per thousand impressions (CPM) of using USA Today newspaper to advertise your soft drink is $120. The selection (d) 120 is the right response.

A differential cost is the cost difference between two possible decisions or a change in production level.

The cost per thousand impressions (CPM) of advertising using USA Today can be calculated as follows:

CPM = (Advertising cost / Audience size) x 1000

Plugging in the given values, we get:

CPM = (240,000 / 2,000,000) x 1000

CPM = 120

Therefore, the cost per thousand impressions (CPM) of advertising your soft drink using USA Today newspaper is $120. The correct answer is option (d) 120.

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based solely on their current weighted average cost of capital, which company should pursue an investment opportunity with an expected return of 6.5%?

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Without specific company information, I cannot recommend a particular company. However, you can make decision by comparing WACC, The company with a lower WACC than expected return would be better option to pursue investment opportunity.



The WACC is a financial metric used to measure the cost of capital for a company, considering both the cost of debt and the cost of equity. In order to determine which company should pursue an investment opportunity with an expected return of 6.5%, you should compare the WACC of each company to this expected return.


A company should only pursue an investment opportunity if the expected return is greater than its WACC. This is because the WACC represents the minimum return required by investors to compensate for the risk of investing in the company.

If the expected return on an investment is less than the WACC, the investment will not generate enough returns to cover the cost of capital, thus not adding value for the investors.



The company with the lower WACC is generally better suited to pursue the opportunity, as its cost of capital is lower and the investment is more likely to generate value for its investors.

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Topic: BOND AND STOCK VALUATION
solve by hand, using a financial calculator or excel.b. ABC Retailers just issued 200 16-year bonds with face value of €5,000. The quoted price of those bonds is 96.268, and they pay coupon twice a year. If the yield to maturity on this bond is 5.27%, what is the coupon rate? What is the dollar price of each of those bonds? What is the total value of the bonds outstanding?

Answers

The coupon rate for ABC Retailers' 16-year bonds is 5.674%, the dollar price of each bond is €4,813.40, and the total value of the bonds outstanding is €962,680.

To calculate the coupon rate, we can use the following formula:
Coupon Rate = (Yield to Maturity * Face Value) / Quoted Price

Plugging in the given values:
Coupon Rate = (0.0527 * €5,000) / 96.268 = €273.34 / 96.268 = 2.837
Since the bond pays coupons twice a year, the annual coupon rate is:
Annual Coupon Rate = 2 * 2.837 = 5.674%

Now, let's find the dollar price of each bond. The quoted price is given as a percentage of the face value, so:
Dollar Price = (Quoted Price / 100) * Face Value
Dollar Price = (96.268 / 100) * €5,000 = €4,813.40

Lastly, to find the total value of the bonds outstanding, multiply the dollar price by the number of bonds:

Total Value = Dollar Price * Number of Bonds
Total Value = €4,813.40 * 200 = €962,680
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Agro International has a foreign subsidiary, which requires $200K cash every month. It uses a wire service for the cash transfer.
The cost of wire transfer is $100.
In order to send cash to its subsidiary, the Agro has to liquidate part of its securities portfolio which generates 12% annual return.
How many wire transfers PER YEAR should Agro make?

Answers

Agro International must make 24 wire transfers per year to provide the $200K cash to its subsidiary.

The cost of each wire transfer is $100, so the total cost of the transfers is $2,400 per year. To cover the cost of the transfers, Agro must liquidate part of its securities portfolio that generates a 12% annual return.

Therefore, Agro must liquidate a portion of its securities portfolio that is worth $20,000 to cover the cost of the transfers. This amount of liquidation will reduce Agro's annual return by 1.2%, since 12% of $20,000 is $2,400.

The total cost of the wire transfers is a small price to pay for the ability to transfer the necessary funds to its foreign subsidiary.

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Horizon is using a combination of labour and capital to produce a good. With this combination, the marginal product of labour is 180 and the marginal product of capital is 60. Wages cost €9 an hour and capital costs €4.
1. What is the current value of the firm’s marginal rate of technical substitution? [5]
2. If labour is on the horizontal axis, what is the slope of the isocost line? [5]
3. Is Horizon using too much capital, too much labour or just the right amount of both to minimise costs of production? Explain your answer. [15]

Answers

The current value of the firm’s marginal rate of technical substitution (MRTS) is 3. This is calculated by dividing the marginal product of labour (180) by the marginal product of capital (60), which gives us 3.

If labour is on the horizontal axis, the slope of the isocost line is -4.1. This is calculated by dividing the cost of capital (4.1) by the cost of labour (9).

Horizon is using just the right amount of both labour and capital to minimise costs of production. This is because the MRTS (3) is equal to the slope of the isocost line (-4.1). This suggests that Horizon is using the optimal combination of labour and capital to minimise costs.

If the MRTS was greater than the slope of the isocost line, it would suggest that the firm is using too little capital and too much labour, and vice versa. Therefore, Horizon is using the optimal combination of resources to minimise costs.

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1. Suppose IBM is currently selling for $100 per share, the one period risk free rate is 8% and IBM pays no dividends over the period. Consider a one period European call on IBM with K=$50. a. IBM will either go up by 20% or down by 5%. What is the value of the call one period from expiration? b. Now suppose IBM will go up by 40% or down by 40%. What is the value of the call one period from expiration? Explain any change or lack of it relative to part a). c. Now suppose IBM will go up by 40% or down by 60%. What is the value of the call one period from expiration? Explain any change or lack of it relative to parts a) and b)

Answers

a) If IBM will either go up by 20% or down by 5%, then we can calculate the expected value of the stock price at expiration as follows:

Expected stock price = (0.5 x 1.20 x $100) + (0.5 x 0.95 x $100)

= $107.50

The call option will only be exercised if the stock price is above the strike price of $50, so the payoff at expiration is:

Payoff = Max($107.50 - $50, 0) = $57.50

The present value of this payoff is:

PV = $57.50 / (1 + 0.08) = $53.24

Therefore, the value of the call one period from expiration is $53.24.

b) If IBM will go up by 40% or down by 40%, then the expected stock price at expiration is:

Expected stock price = (0.5 x 1.40 x $100) + (0.5 x 0.60 x $100)

= $100

The call option will only be exercised if the stock price is above the strike price of $50, so the payoff at expiration is:

Payoff = Max($100 - $50, 0) = $50

The present value of this payoff is:

PV = $50 / (1 + 0.08) = $46.30

The value of the call option in this case is lower than in part a) because the stock price has a higher variance, which increases the probability of the stock price being below the strike price at expiration.

c) If IBM will go up by 40% or down by 60%, then the expected stock price at expiration is:

Expected stock price = (0.5 x 1.40 x $100) + (0.5 x 0.40 x $100)

= $90

The call option will only be exercised if the stock price is above the strike price of $50, so the payoff at expiration is:

Payoff = Max($90 - $50, 0) = $40

The present value of this payoff is:

PV = $40 / (1 + 0.08) = $37.04

The value of the call option in this case is lower than in parts a) and b) because the downside risk is greater, which increases the probability of the stock price being below the strike price at expiration.

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rules and regulations, rather than culture or rewards, would be used for strategic control at which type of company? group of answer choices software developer stock brokerage firm manufacturer of mass produced products high tech research facility

Answers

A firm manufacturer of mass-produced products is most likely to use rules and regulations for strategic control. Therefore option c is correct.

Mass-produced product manufacturing companies have a standardized & routine production process. The emphasis is on minimizing variation in the production process to maintain consistency in the quality of the products produced.

These companies also tend to have a large workforce, making it difficult to manage and control employees' activities without strict guidelines.

Rules and regulations serve as a mechanism for controlling employees' activities to ensure that they adhere to the production process's prescribed guidelines.

For instance, a manufacturer of mass-produced products like a car company will have strict rules and regulations in place to ensure that the assembly line workers follow a standardized process and do not deviate from the prescribed steps.

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The complete question is-

rules and regulations, rather than culture or rewards, would be used for strategic control at which type of company?

CHOOSE AMONG THESE-

A. software developer

B. stock brokerage

C. firm manufacturer of mass produced products

D. high tech research facility

elso's has a return on equity of 16.2 percent, a debt-equity ratio of 44 percent, a capital intensity ratio of 1.08, a current ratio of 1.25, and current assets of $138,000. what is the profit margin? A. 12.15 percent B. 9.72 percent. C. 7.48 percent D. 15.19 percent

Answers

The profit margin for Elso's is 12.15%, which is option A. divide the net income by the revenue. However, the question does not provide us with the revenue or net income figures. But we can use the DuPont Model to calculate the profit margin using the given ratios.

The DuPont Model breaks down the return on equity (ROE) into three components: net profit margin (NPM), asset turnover (ATO), and financial leverage (FL).
ROE = NPM x ATO x FL
Given, ROE = 16.2%
Debt-equity ratio = 44%
Capital intensity ratio = 1.08
Current ratio = 1.25
Current assets = $138,000


We can first calculate the asset turnover ratio using the capital intensity ratio:
ATO = Sales / Total Assets
1.08 = Sales / Total Assets
Total Assets = Sales / 1.08


Next, we can calculate the debt ratio using the debt-equity ratio:
Debt Ratio = Debt / (Debt + Equity)
44% = Debt / (Debt + Equity)
Equity = Debt / 0.56

Now, we can calculate the financial leverage using the equity multiplier:
Equity Multiplier = Total Assets / Equity
Equity Multiplier = (Sales / 1.08) / (Debt / 0.56)
Finally, we can substitute these values into the DuPont Model to calculate the net profit margin:
16.2% = NPM x (Sales / Total Assets) x [(Sales / 1.08) / (Debt / 0.56)]
Simplifying the equation, we get:
NPM = (Net Income / Sales) = (ROE / ATO) x (Debt / Equity) x (1 + Equity Multiplier)
Plugging in the given values, we get:
NPM = (16.2 / 1.08) x (0.44 / 0.56) x (1 + (Sales / Equity))
NPM = 12.15%
Therefore, the profit margin for Elso's is 12.15%, so the correct option is option A

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selling the same standardized product and using the same basic marketing approach in each national market is called .

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Global standardization is an approach to international marketing that involves selling the same standardized product and using the same basic marketing approach in each national market.

This approach is based on the assumption that consumers in all countries have similar needs and wants and will respond to the same product and marketing mix. The main advantages of global standardization are reduced costs, improved consistency, and greater control over the brand image.

Global standardization also allows companies to take advantage of economies of scale, as identical products can be produced and sold in multiple markets. On the downside, this approach can be less effective in markets with different cultures and preferences, as the product may not be as successful or well-received as it is in other countries.

Additionally, companies that use global standardization may miss out on opportunities to tailor their product or marketing message to specific markets.

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the demand curve suggests that an auto manufacturer will sell 20,000 mercedes-benz m-class vehicles when they are priced at $50,800, but when the price is reduced to $45,000, that quantity will increase to 27,000 units. what is the resulting elasticity? price elasticity

Answers

The price elasticity of demand can be calculated using the following formula:

E = (% change in quantity demanded)/(% change in price)

First, let's calculate the percentage change in quantity demanded:

% change in quantity demanded = ((new quantity - old quantity) / old quantity) x 100

% change in quantity demanded = ((27,000 - 20,000) / 20,000) x 100

% change in quantity demanded = 35%

Next, let's calculate the percentage change in price:

% change in price = ((new price - old price) / old price) x 100

% change in price = ((45,000 - 50,800) / 50,800) x 100

% change in price = -10.16%

Using these values, we can calculate the price elasticity of demand:

E = (% change in quantity demanded)/(% change in price)

E = 35% / -10.16%

E = -3.44

Since the elasticity is greater than 1, we can conclude that the demand for Mercedes-Benz M-Class vehicles is price elastic, meaning that a decrease in price leads to a proportionally larger increase in quantity demanded.

true or false? any component that, if it fails, could interrupt business processing is called a single point of failure (spof).

Answers

True. Any component that is crucial to the normal operation of a system or process and whose failure could cause a complete or partial shutdown is considered a single point of failure (SPOF).

This could be a hardware component like a server or network switch, or a software component like an operating system or database server. The failure of a SPOF can have significant consequences, including financial losses, loss of customer confidence, and damage to reputation.

Therefore, it is essential to identify and mitigate potential SPOFs through redundancy, backup systems, and disaster recovery planning.

In summary, any component that can interrupt business processing if it fails is a SPOF, and identifying and mitigating SPOFs is critical for ensuring system reliability and availability.

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how materials are received, how debris is disposed of, and how everyday workers and visitors circulate throughout the job site are major factors in a job's safety program

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The given statement "How materials are received, how debris is disposed of, and how everyday workers and visitors circulate throughout the job site are major factors in a job's safety program" is True because managing the reception of materials, debris disposal, and the circulation of workers and visitors is essential for maintaining a safe and efficient job site.

Firstly, proper handling and storage of materials play a vital role in a job's safety program. Materials must be received, inspected, and stored safely to prevent accidents and damage. This process involves using appropriate equipment, such as forklifts and cranes, and ensuring that materials are stored securely to prevent falls, trips, and other hazards. Adequate signage and designated storage areas also contribute to a safer workplace.

Secondly, efficient disposal of debris is critical to maintaining a clean and safe job site. Debris can pose various hazards, including tripping, fire risks, and obstruction of access routes. A well-organized system for debris disposal, including regular cleanup, designated disposal areas, and proper waste management, minimizes potential risks and ensures a safer work environment.

Lastly, the circulation of workers and visitors throughout the job site must be carefully managed to minimize accidents and ensure everyone's safety. Clearly marked walkways, restricted areas, and proper signage help guide workers and visitors, reducing the risk of accidents. Additionally, providing appropriate personal protective equipment (PPE) and training for workers ensures they are aware of potential hazards and can navigate the job site safely.

The question was incomplete, Find the full content below:

how materials are received, how debris is disposed of, and how everyday workers and visitors circulate throughout the job site are major factors in a job's safety program. True or false.

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