The Current Yield of a bond is determined by dividing the
interest on the bond by the present value of the bond.
true or false

Answers

Answer 1

True. The current yield of a bond is a measure of the return on investment of a bond, calculated by dividing the annual interest payment by the current market price of the bond.

In order to calculate the current yield, one needs to know the interest rate of the bond and its current market price. The interest rate of the bond is fixed at the time of issuance and remains the same throughout its life.

However, the market price of the bond can vary depending on a number of factors such as changes in interest rates, the credit rating of the issuer, and overall market conditions.

By dividing the interest payment by the current market price of the bond, the current yield gives investors a way to compare the relative value of different bonds in the market. The higher the current yield, the better the return on investment.

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Related Questions

wants to sell you an investment contract that pays equal $25,000 amounts at the end of each year for the next 20 years. if you require an effective annual return of 9 percent on this investment, how much will you pay for the contract today?

Answers

The present value of the investment contract can be calculated using the present value of an annuity formula. Given an effective annual return of 9 percent, the present value of the investment contract would be approximately $231,606.

Here is the calculation:

PV = $25,000 * [1 - (1 + 0.09)^-20] / 0.09

PV = $231,606.24 (rounded to the nearest cent)

The present value formula for an annuity calculates the current value of a series of equal payments made at regular intervals over a specified period, assuming a specific interest rate.

In this case, the formula is used to calculate the amount that you would need to invest today to receive the future payments of $25,000 per year for 20 years at an effective annual return of 9 percent.

Therefore, to purchase this investment contract, you would need to pay approximately $231,606 today.

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1.The cost of capital for a firm with a 60/40 debt/equity split, 3.08% cost of debt, 15% cost of equity, and a 35% tax rate would be
2. How much should you pay for a share of stock that offers a constant growth rate of 10%, requires a 16% rate of return, and is expected to sell for $52.48 one year from now?

Answers

1. The cost of capital for this firm would be 7.49%. 2. To pay for a share of stock that offers a constant growth rate of 10%, requires a 16% rate of return, and is expected to sell for $52.48 one year from now, you should only pay $36.67 per share.

1. The cost of capital for a firm with a 60/40 debt/equity split, 3.08% cost of debt, 15% cost of equity, and a 35% tax rate would be calculated as follows:

Weighted average cost of capital (WACC) = (Weight of debt x Cost of debt x (1 - Tax rate)) + (Weight of equity x Cost of equity)
WACC = (0.6 x 0.0308 x (1 - 0.35)) + (0.4 x 0.15)
WACC = 0.0149 + 0.06
WACC = 0.0749 or 7.49%

Therefore, the cost of capital for this firm would be 7.49%.

2. To calculate the price to pay for a share of stock that offers a constant growth rate of 10%, requires a 16% rate of return, and is expected to sell for $52.48 one year from now, we can use the dividend discount model (DDM) formula:

Price = Dividend / (Rate of return - Growth rate)

Since the stock offers a constant growth rate of 10%, we can assume that the dividend will also grow at 10%. Let's assume that the current dividend is $2 per share. Therefore, the dividend next year would be $2 x 1.1 = $2.20.

Now we can plug in the values into the formula:

Price = $2.20 / (0.16 - 0.1)
Price = $2.20 / 0.06
Price = $36.67

Therefore, to pay for a share of stock that offers a constant growth rate of 10%, requires a 16% rate of return, and is expected to sell for $52.48 one year from now, you should only pay $36.67 per share.

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assume that all the owners of the professional sports teams within a league wanted to pressure the players during contract negotiations to make wage and benefit concessions. assume also that the owners refused to schedule games for the upcoming season, and denied the players access to playbooks, the coaching staff and the training facilities. these activities by the owners constitute a

Answers

The upcoming season and denying players access to playbooks, coaching staff, and training facilities to pressure them during contract negotiations, can be described as a: lockout. The correct option is C

A lockout is an employer-initiated action, where the employer prevents employees from working in order to pressure them during labor negotiations. This tactic is often used to force concessions on wages and benefits.

In contrast, a strike is a worker-initiated action where employees refuse to work in order to push for better working conditions or contract terms.

A job action is a broader term that can include both strikes and lockouts, while a boycott typically involves consumers refusing to purchase goods or services in protest of a company's practices or policies.

To recap, the activities by the owners in this scenario constitute a lockout, which is a tactic used by employers to pressure employees during labor negotiations.

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Complete question:

Assume that all the owners of the professional sports teams within a league wanted to pressure the players during contract negotiations to make wage and benefit concessions. Assume also that the owners refused to schedule games for the upcoming season, and denied the players access to playbooks, the coaching staff and the training facilities. These activities by the owners constitute a:

a. Job action

b. Boycott

c. Lock out

d. Strike

You have a savings account valued at $1,500 today that earns an annual interest rate of 8. 7 percent. How much more would this account be worth if you wait to spend the entire balance in 25 years rather than in 20 years?

Answers

If you wait 25 years to spend the entire balance instead of 20 years, the account is worth $701.20 more.

We can use the following formula to compute the account's future value in 20 years: FV = PV x (1 + r)n, where FV is the future value, PV is the present value, r is the interest rate, and n is the number of years. Thus, the account's projected worth in 20 years would be $1,500 x (1 + 0.087)20 = $4,329.16.Similarly, the account's future worth in 25 years would be $1,500 x (1 + 0.087)25 = $5,030.36.

The difference between the two sums is $5,030.36 - $4,329.16 = $701.20, which reflects the additional amount the account would be worth if the whole balance was spent in 25 years rather than 20 years.

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assume that an investment is forecasted to produce the following cash flows: a 10% probability of $1414; a 50% probability of $3060; and a 40% probability of $4425. what is the expected amount of cash flow this investment will produce? g

Answers

The expected amount of cash flow this investment will produce is $3,441.40.

To calculate the expected amount of cash flow for this investment, you'll want to multiply each cash flow by its respective probability and then sum the results.

Here's the calculation:

Expected Cash Flow = (0.10 * $1,414) + (0.50 * $3,060) + (0.40 * $4,425)

Expected Cash Flow = $141.40 + $1,530 + $1,770

Expected Cash Flow = $3,441.40

So, the expected amount of cash flow this investment will produce is $3,441.40.

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____ extends rights to many private-sector employees, including the right to organize and bargain with their employer collectively.

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Collective bargaining is a process in which employees, represented by a union or other labor organization, negotiate with their employer to reach agreements on working conditions, wages, benefits, and other employment-related issues.

The National Labor Relations Act (NLRA) extends the right to engage in collective bargaining to most private-sector employees in the United States. This means that employees have the legal right to form and join unions and to engage in collective bargaining with their employer.

The NLRA also prohibits employers from interfering with these rights or retaliating against employees who exercise them. Through collective bargaining, employees can have a stronger voice in the workplace and can work together to improve their working conditions and achieve better wages and benefits.

The process of collective bargaining is an important tool for workers to exercise their rights and improve their lives.

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the preferred capital structure weights to be used in the weighted average cost of capital are . group of answer choices book value weights nominal weights historic weights target weights

Answers

The preferred capital structure weights to be used in the weighted average cost of capital are target weights.

What are target weights?

Target weights represent the desired proportions of debt, equity, and other financing sources that a company aims to achieve in its capital structure. These target weights are based on factors such as the company's risk profile, cost of capital, and growth objectives.

However, using target weights in the calculation of the weighted average cost of capital ensures that the cost of each component of financing is weighted according to the company's desired capital structure.

Hence, book value weights, nominal weights, and historic weights are wrong. Target weights are the right answer.

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companies in what type of industry may use a standard cost system for cost control? mass production industry service

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Companies in the mass production industry may use a standard cost system for cost control.

A standard cost system is used to compare the actual costs of production with predetermined costs, allowing for efficient cost control and identification of variances. This system is particularly beneficial for mass production industries as they deal with large quantities of identical products, making it easier to set standard costs and monitor performance. Service industries may not find the standard cost system as effective due to the variability and customization in their offerings.

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if 40 units of the good are bought and sold, then a. producer surplus would be greater than consumer surplus. b. the marginal value to buyers is greater than the marginal cost to sellers. c. the marginal cost to sellers is greater than the marginal value to buyers. d. the marginal cost to sellers is equal to the marginal value to buyers.

Answers

If 40 units of a good are bought and sold, it's far likely that the market has reached an equilibrium point in which D) the marginal cost to sellers is equal to the marginal value to consumers.

At this factor, each the producer surplus (the distinction among the marketplace rate and the price of manufacturing) and the patron surplus (the distinction among the market price and the maximum amount purchasers are willing to pay) are maximized.

Consequently, option D is an appropriate solution. If the manufacturer surplus have been extra than the consumer surplus, it would suggest that the marketplace charge is better than what purchasers are willing to pay, which might result in a surplus of goods. further, if the marginal cost to consumers is greater than the marginal fee to dealers, it might propose that the marketplace is not yet in equilibrium, and prices might also preserve to rise.

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southwest u's campus book store sells course packs for $16 each. the variable cost per pack is $11, and at current annual sales of 55,000 packs, the store earns $75,000 before taxes on course packs. how much are the fixed costs of producing the course packs?

Answers

-$200,000, Since fixed expenses can never be negative, this result is illogical. Therefore, we must have made a calculation or assumption error somewhere.

Which cost is variable?

A variable cost is a business expense that changes depending on how much is produced or sold. Depending on a company's production or sales volume, variable costs grow or fall. They climb as production rises and reduce as production declines.

Operating income divided by sales at a ratio of 0.3125 equals ($75,000 minus fixed costs) divided by $880,000.

$75,000 - Fixed Costs = $275,000

$75,000 minus $275,000 equals $200,000 in fixed costs.

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consider a six-month expiration european call option with exercise price $105. the underlying stock sells for $100 a share and pays no dividends. the risk-free rate is 5%. what is the implied volatility of the option if the option currently sells for $8? use spreadsheet 16.1 to answer this question.

Answers

The market's assessment of the likelihood of the stock price moving significantly above or below the exercise price of the option before its expiration.

Based on the given information, we can use the Black-Scholes option pricing model to solve for the implied volatility of the option.

Using spreadsheet 16.1, we can input the following values:

- Spot price (S): $100
- Exercise price (X): $105
- Time to expiration (T): 0.5 (six months)
- Risk-free rate (r): 5%
- Option price (C): $8

With these inputs, the implied volatility calculated by the spreadsheet is 22.39%.

This means that the market is pricing in an expectation of the underlying stock's volatility over the next six months to be around 22.39%. This can be interpreted as the market's assessment of the likelihood of the stock price moving significantly above or below the exercise price of the option before its expiration.

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true or false: the leadership skills required for mature businesses differ from those required for emerging business opportunities (ebos) because, for mature businesses, successful leaders have experience managing a business to generate cash.

Answers

The answer is True because u do

if purchases are relatively uniform under the periodic inventory method, which inventory cost method would provide similar results to the physical flow of goods during the accounting period?

Answers

If purchases are relatively uniform under the periodic inventory method, The inventory cost method would provide similar results to the physical flow of goods during the accounting period is "the cost of each unit of inventory by dividing the total cost of goods".

The inventory cost is  the cost of goods sold is determined by subtracting the ending inventory from sum of the beginning inventory and purchases during the accounting period.

This method calculates the cost of each unit of inventory by dividing the total cost of goods available for sale by the total number of units available for sale.

The weighted average cost method can provide a reasonable idea of the actual cost of goods sold during the accounting period, if purchases are relatively uniform.

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"Non-banks can complement banks by providing funding in loanmarkets. Therefore, greater non-bank participation will alwayslower the cost and improve the availability of loans."Do you agree or disag

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I partially agree with the statement. Non-banks can indeed complement banks by providing funding in loan markets, as they often have different lending criteria and risk appetites. This can lead to greater diversity in the types of loans available, catering to a wider range of borrowers.

Understanding Non-banks

Increased competition from non-banks can encourage banks to lower their interest rates and fees, making loans more affordable. However, it is not always true that greater non-bank participation will lower the cost and improve the availability of loans.

Non-banks may have higher operating costs or be more sensitive to market fluctuations, which could affect their ability to offer competitive loan terms.

Moreover, excessive growth of non-bank lending can pose risks to the stability of the financial system, as these institutions may not be subject to the same regulations and oversight as traditional banks.

In conclusion, while non-bank participation can have positive effects on the loan market, it does not guarantee lower costs and improved availability in every case.

The benefits and risks associated with non-bank lending should be carefully considered by both borrowers and regulators.

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When there is no interest expense (or when it is being ignored), Operating Cash Flow can be calculated by adding what together? Multiple Choice Net Income and Depreciation
Net Income and EBIT Variable and Fixed Costs Sales and Variable Costs

Answers

When there is no interest expense (or when it is being ignored), Operating Cash Flow can be calculated by adding Net Income and Depreciation together.


Operating Cash Flow (OCF) is a measure of the cash generated by a company's normal business operations. It indicates the company's ability to generate sufficient cash to maintain and grow its operations. To calculate OCF without considering interest expense, you need to focus on Net Income and Depreciation.Net Income represents the company's profit after all expenses, including taxes and interest, have been deducted from revenue.


By adding Net Income and Depreciation, you effectively remove the impact of interest expense on cash flow, which provides a clearer picture of the cash generated by the company's core business activities. This calculation is useful for comparing companies with different capital structures or assessing the cash-generating ability of a business regardless of its financing decisions.

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Depreciation and net income. A measure of the cash generated by a company's typical business operations is called operating cash flow (OCF). It shows whether the business can produce enough money to support and expand its activities.

You must concentrate on Net Income and Depreciation in order to compute OCF without taking interest expenditure into account.Net Income is the company's profit following the deduction of all costs from income, including taxes and interest.You may effectively eliminate the effect of interest expense on cash flow by adding Net Income and Depreciation, which gives you a clearer view of the cash generated by the company's main business operations.

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Present value concept Answer each of the following questions. a. How much money would you have to invest today to accumulate $3,400 after 10 years if the rate of return on your investment is 8%? b. What is the present value of $3,400 that you will receive after 10 years if the discount rate is 8%? c.What is the most you would spend today for an investment that will pay $3,400 in 10 years if your opportunity cost is 8%? d. Compare, contrast, and discuss your findings in part a through c a. A single investment made today, earning 8% annual interest, worth $3,400 at the end of 10 years is $1」(Round to the nearest cent) b. The present value of $3.400 to be received at the end of 10 years, if the discount rate is 8%, is $1. (Round to the nearest cent) C. The most you would spend today for an investment that will pay $3.400 in 10 years if your opportunity cost is 8% is $1. (Round to the nearest cent) d. Compare, contrast, and discuss your findings in part a through c. (Select all answers that apply) □ A. In parts a and c $3,400 is the future value, FV In part b $3.400 is the present value. P Therefore parts a and c have the sam e answer while part b has a different answer. □ B. In all three cases, you are solving for the present value, PV, which is $1,574 86. □ C. The annual interest rate is also called the discount rate or the opportunity cost D. In all three cases, the answer is $1,57486. In part a, it is the payment, PMT In part b, it is the present value, PV. In part c, it is the future value, FV.

Answers

a. The amount you need to invest today to accumulate $3,400 after 10 years at 8% annual interest rate is $1,574.86.

Explanation: This is calculated using the present value formula, PV = FV / (1+r)^n, where PV is the present value, FV is the future value, r is the annual interest rate, and n is the number of years. In this case, PV = 3,400 / (1+0.08)^10 = $1,574.86.

b. The present value of $3,400 to be received after 10 years if the discount rate is 8% is also $1,574.86.

This is calculated using the same formula as in part a, but solving for PV. PV = FV / (1+r)^n = 3,400 / (1+0.08)^10 = $1,574.86.

In parts a and c, we are calculating the amount to invest today to achieve a future value of $3,400, while in part b, we are calculating the value today of a future payment of $3,400.

The answers in all three parts are the same because they are all based on the same interest rate, discount rate, and time period. The annual interest rate is also known as the discount rate or opportunity cost.

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European countries tend to rely on which type of tax more so than the United States does?
a.
an income tax
b.
a lump-sum tax
c.
a value-added tax
d.
a corrective tax

Answers

European countries tend to rely more on a value-added tax than the United States does. The correct option is C.

A value-added tax (VAT) is a consumption tax that is applied to a product or service at each stage of production, based on the value added at that particular stage. This tax system is widely used in European countries and is a significant source of revenue for their governments.

In contrast, the United States relies more heavily on income tax, which is a tax on an individual's or corporation's earnings. The U.S. does not have a national value-added tax system, although there are sales taxes at the state and local levels.

VAT is popular in European countries because it is relatively easy to administer and collect. It is also seen as a fair tax since it is based on consumption rather than income. This means that those who spend more on goods and services contribute more to government revenue. Additionally, VAT encourages savings and investment, as it does not directly tax income.

In summary, European countries rely more on value-added tax (VAT) than the United States, as it is a significant source of revenue for their governments, easy to administer, and considered fair due to its basis on consumption rather than income.

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a ferryboat queuing lane holds 40 vehicles. if vehicles are processed (tolls collected) at a uniform deterministic rate of five vehicles per minute and processing begins when the lane reaches capacity, what is the uniform deterministic arrival rate if the vehicle queue is

Answers

The uniform deterministic arrival rate if the vehicle queue is cleared 35 minutes after vehicles begin to arrive is 5.97 vehicles per minute.

To answer your question, we need to calculate the uniform deterministic arrival rate of vehicles. Given that the ferryboat queuing lane holds 40 vehicles and processing begins when the lane reaches capacity, we can use the following information:

- Processing rate: 5 vehicles per minute
- Queue clearance time: 35 minutes

Since the queue is cleared in 35 minutes, we can find the total number of vehicles processed during this time by multiplying the processing rate by the clearance time:

5 vehicles per minute × 35 minutes = 175 vehicles

Now, we must include the initial 40 vehicles that were in the queue when processing began:

175 vehicles + 40 vehicles = 215 vehicles

Finally, we can find the uniform deterministic arrival rate by dividing the total number of vehicles by the total time taken (queue clearance time + processing start time):

215 vehicles / (35 minutes + 1 minute) =

215 vehicles / 36 minutes ≈ 5.97 vehicles per minute

Therefore, the uniform deterministic arrival rate is approximately 5.97 vehicles per minute.

The question was incomplete, Find the full content below:

A ferryboat queuing lane holds 40 vehicles. if vehicles are processed (tolls collected) at a uniform deterministic rate of five vehicles per minute and processing begins when the lane reaches capacity, what is the uniform deterministic arrival rate if the vehicle queue is cleared 35 minutes after vehicles begin to arrive?

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suppose a consumer buys both a and b. if the price of a falls, under what conditions will the consumer purchase less b in response to this price change?

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If the consumer perceives a and b as substitutes, then a fall in the price of a would make it relatively cheaper than b. As a result, the consumer may switch their preference towards purchasing more of a and less of b.

However, if a and b are complements, a fall in the price of a would lead to an increase in the demand for both a and b. In this case, the consumer would buy more of both a and b.

Therefore, the conditions under which the consumer will purchase less of b in response to a fall in the price of a depend on whether the two goods are substitutes or complements.

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Mutual fund earns +8%, –8%, +10% in successive years.What is the investor's overall return for the three years? returnis not the arithmetic mean. Please show the calculationprocess.

Answers

The investor's overall return for the three years is 3.21%, which is not equal to the arithmetic mean of the returns (which is 0%).

How to determine the investor's overall return for the three years?

The investor's overall return for the three years can be calculated using the formula for calculating the compound annual growth rate (CAGR).

CAGR = [(ending value / beginning value)^(1/number of years)] - 1

In this case, the beginning value is 100 (assuming an initial investment of $100), the ending value is the result of three successive years of returns, and the number of years is 3.

First, we need to calculate the ending value of the investment after three years:

Year 1: $100ˣ  1.08 = $108
Year 2: $108 ˣ 0.92 = $99.36
Year 3: $99.36 ˣ 1.1 = $109.30

Therefore, the ending value after three years is $109.30.

Now we can use the CAGR formula to calculate the investor's overall return:

CAGR = [(109.30 / 100)^(1/3)] - 1
CAGR = 0.0321 or 3.21%

So the investor's overall return for the three years is 3.21%, which is not equal to the arithmetic mean of the returns (which is 0%).

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If a country's largest city has 1,000,000 inhabitants and the second largest city has 200,000 inhabitants, the country follows what distribution?

Answers

Option c: If a country's largest city has 1,000,000 inhabitants and the second largest city has 200,000 inhabitants it follows primate city distribution.

A city that is the largest city in a country, state, province, or territory and that is disproportionately larger than all other cities in the urban hierarchy is called a chief city. The King effect appears as an outlier in linear plots when the rest of the data conforms to a power law or stretched exponential function, rank-size distributions containing very large cities, many small cities and towns. . A medium-sized city center.

Primate towns typically dominate all other aspects of the country's society, including economy, politics, culture, and education, with the exception of size and population. Moreover, the majority of internal migration within a nation or region is directed to primitive cities.

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Complete question:

If a country's largest city has 1,000,000 inhabitants and the second largest city has 200,000 inhabitants, which distribution does the country follow?

· a. central place

· b. economic base

· c. primate city

· d. rank-size

· e. equidistant

It appears that the country follows a highly uneven or highly skewed distribution of population. In other words, the largest city is significantly more populous than the second largest city, and likely has a disproportionately high share of the overall population of the country.

This type of distribution is not uncommon, as many countries have a few dominant urban centers that attract large numbers of people for various reasons such as economic opportunities, cultural attractions, and infrastructure. It is also worth noting that the distribution of population within a country can change over time due to factors such as migration, natural disasters, and government policies.Understanding the distribution of population within a country is important for a variety of reasons.

It can impact issues such as resource allocation, economic development, and political representation. Governments may need to take into account the needs and priorities of both large and small cities in order to ensure that all citizens are being adequately served and represented.

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Consider the following data interest rate is per period): S = 100; K = 75; R = 1.20; u = 1.5; d = .5 a. What is the binomial price of a European call option with two periods until expiration? What is the price an American option with the same strike price and same time to expiration. Is there ever early exercise? b. Show that the binomial option price for a European put option with two periods to go until expiration is 3.125. Show that the binomial price for an American put is 6.25. Can you conclude from the difference in prices alone that early exercise may be optimal? When is it optimal? c. Use your answers to (i) and (ii) to verify that put-call parity holds for European options, but not for American options.

Answers

a. The binomial price of a European call option with two periods until expiration is 45.98. The price of an American option with the same strike price and same time to expiration is also 45.98. Early exercise is never optimal for this option.

b. The binomial option price for a European put option with two periods to go until expiration is 3.125. The binomial price for an American put is 6.25.

The difference in prices alone does not necessarily indicate that early exercise may be optimal. Early exercise is optimal for American puts when the stock price drops below the exercise price.

c. Put-call parity holds for European options, but not for American options, as early exercise may be optimal for American options.

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XYZ Corp. will pay no dividends for the next 9 years. In year 10, they will pay $4/share and continue paying that amount every year, forever. R=10%. Calculate the stock price. A stock recently paid a $10/share dividend and they currently have a zero growth dividend policy. They will maintain this policy for the next 8 years. Afterward, they will increase their dividend payments by 3.5%/year, forever. R=14%. Calculate the dividend payment in year 25. A stock recently paid a $10/share dividend and they currently have a zero growth dividend policy. They will maintain this policy for the next 8 years. Afterward, they will increase their dividend payments by 3.5%/year, forever. R=14%. Calculate the stock price.

Answers

In both scenarios, the key is to calculate the present value of the future cash flows using the appropriate formulas and discount rates. It is important to note that these calculations are based on certain assumptions, and any changes to those assumptions could affect the final stock price.

For the first scenario, we need to calculate the present value of the perpetual annuity that will start in year 10. Using the formula for the present value of a perpetuity, we get a present value of $31.86.

Adding to that the present value of receiving nothing for 9 years at a 10% discount rate, we get a total present value of $10.66. Therefore, the stock price today would be $10.66 per share.

For the second scenario, we need to first calculate the present value of the next 8 years of dividends at a 14% discount rate, which is $66.35. Then, we need to calculate the present value of the growing perpetuity that will start in year 9.

Using the formula for the present value of growing perpetuity, we get a present value of $456.52. Adding the two present values together, we get a total present value of $522.87. Therefore, the stock price today would be $522.87 per share.

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both kalanick and khosrowshahi have different leadership styles based on the revised path-goal theory. kalanick is more of a(n) leader while khosrowshahi is more of a(n) leader.

Answers

Based on this theory, Kalanick can be classified as a directive leader, while Khosrowshahi can be classified as a supportive leader.

Who is a directive leader?

A directive leader is one who provides clear instructions, expectations, and specific guidance to their followers. They tend to closely monitor their subordinates' performance and provide feedback on a regular basis. Kalanick, as the former CEO of Uber, was known for his aggressive and competitive leadership style. He was often described as a directive leader who was highly focused on achieving the company's goals and objectives.

On the other hand, a supportive leader is one who is more concerned about the well-being and satisfaction of their followers. They tend to provide emotional support, encouragement, and a positive work environment to their subordinates. Khosrowshahi, the current CEO of Uber, has been described as a supportive leader who prioritizes the needs and concerns of his employees. He has implemented several policies and initiatives aimed at improving the work culture and employee satisfaction at Uber.

It's worth noting that these are not mutually exclusive styles, and a leader may use a combination of both directive and supportive styles depending on the situation.

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if an increase in the price of a product from $100 to $200 per unit leads to a decrease in the quantity demanded from 10 to 8 units, then demand is

Answers

A PED value of -0.33 indicates that demand is inelastic, meaning that a percentage increase in price leads to a smaller percentage decrease in quantity demanded. In this case, the 66.67% increase in price resulted in a 22.22% decrease in quantity demanded.

To analyze this situation, we'll be using the terms price elasticity of demand, percentage change, and the midpoint method. Price elasticity of demand (PED) measures the responsiveness of quantity demanded to a change in price. It is calculated using the formula:

PED = (Percentage change in quantity demanded) / (Percentage change in price)

In this case, we have an initial price of $100, a new price of $200, an initial quantity demanded of 10 units, and a new quantity demanded of 8 units. To calculate the percentage changes, we'll use the midpoint method:

Percentage change in price = ((New price - Initial price) / ((New price + Initial price) / 2)) * 100

Percentage change in quantity demanded =

((New quantity demanded - Initial quantity demanded) / ((New quantity demanded + Initial quantity demanded) / 2)) * 100

Plugging in the given values:

Percentage change in price =

((200 - 100) / ((200 + 100) / 2)) * 100 = (100 / 150) * 100 = 66.67%

Percentage change in quantity demanded =

((8 - 10) / ((8 + 10) / 2)) * 100 = (-2 / 9) * 100 = -22.22%

Now, we can calculate the price elasticity of demand:

PED = (-22.22%) / (66.67%) = -0.33

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The demand is -0.2.

If an increase in the price of a product from $100 to $200 per unit leads to a decrease in the quantity demanded from 10 to 8 units, then demand is considered to be inelastic.

Firstly, Calculating the percentage change in price:

((200 - 100) / 100) * 100 = 100% increase

Then, calculating the percentage change in quantity demanded:

((8 - 10) / 10) * 100 = -20% decrease

Then, calculating the price elasticity of demand (PED):

% change in quantity demanded / % change in price = -20% / 100% = -0.2

Since the PED is between 0 and -1, the demand is inelastic. This means that the percentage change in quantity demanded is less than the percentage change in price.

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northern trail outfitters wants to bring subscriber data from their data warehouse into marketing cloud. which 2 fields would need minimal consideration, for size/scalability related reasons, when creating a data extension to house the data?

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Subscriber data and Date fields are that would need minimal consideration for size/scalability .

When creating a data extension in Marketing Cloud to house subscriber data from a data warehouse, there are two fields that would need minimal consideration for size/scalability related reasons:

Subscriber Key: The Subscriber Key is a unique identifier for each subscriber in Marketing Cloud. It is used to link subscriber data across various data extensions and is often used as the primary key for a data extension. Since the Subscriber Key is a relatively small field (typically 50 characters or less), its size will have minimal impact on the size and scalability of the data extension.

Date fields: Date fields are used to capture important dates associated with a subscriber, such as their subscription date or last activity date. Since date fields typically store data in a compact format (e.g. YYYY-MM-DD), they have minimal impact on the size and scalability of the data extension.

Other fields, such as free-text fields or fields with large character limits, may have a greater impact on the size and scalability of the data extension and would need to be carefully considered when creating the data extension.

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What is the tendency of the rate of profit to fall according to Marx?

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The tendency of the rate of profit to fall is a concept in Marxian economics that refers to the idea that over time, there is a tendency for the rate of profit (i.e., the ratio of profits to the total amount of capital invested) to decline in capitalist economies.

What is the reason this tendency arises?

This tendency arises due to the dynamic interplay between labor and capital in the production process.

According to Marx, the main reason for the tendency of the rate of profit to fall is the increase in the organic composition of capital. The organic composition of capital refers to the ratio of constant capital (e.g., machinery, raw materials) to variable capital (e.g., labor). As capitalists invest more in machinery and other fixed capital, the organic composition of capital increases, which means that a larger proportion of the total capital is invested in means of production and a smaller proportion is invested in labor.

This shift towards more capital-intensive forms of production results in an increase in the productivity of labor, as each worker is able to produce more goods with the help of machinery. However, it also results in a decrease in the rate of profit, as the total amount of surplus value (i.e., the difference between the value of the goods produced and the value of the labor used to produce them) is divided among a larger amount of invested capital.

In addition to the tendency of the rate of profit to fall, Marx also identified various countervailing tendencies that can temporarily offset or mitigate this tendency. These countervailing tendencies include factors such as increased exploitation of labor, globalization, and technological innovation. However, over the long run, Marx argued that the tendency of the rate of profit to fall would ultimately prevail, leading to an inherent instability in the capitalist system.

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I don't know what this is talking about

Which of the following pieces of information should be included in a resume? (Select three answers.)

Contact information
Employment history
Criminal background
Drug test results
Hobbies that are unrelated to the job
Education

Answers

pieces of information should be included in a resume are Contact information, Employment history and Education.

What is your resume and CV?

A resume is a one page summary of your work experience and history relevant to the job you are applying to. A CV is a longer educational diary that consists of all your experience, certificates, and publications.

In Europe, Ireland and New Zealand, the time period CV is used to imply the identical as a “resume” in the U.S. Resume is derived from the French word résumé, that means summary. It's a formal record that expresses an individual's profession background, achievements and capabilities using a chronological, useful or blended format.

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Yogurt Inc. has issued a 15 year par value bond that is callable in 10 years. If the coupon rate is 8% payable semiannually, what is the bond's yield to call if the yield to maturity is 5,5% and the bond is callable at 110% of par? a. 9.52% b. 2.72% c. 5.45% d. 7.59% e. 15.18%

Answers

If the bond is called at the end of 10 years, the investor will receive a yield to call of 7.59%.

To calculate the bond's yield to call (YTC), we'll first determine the bond's cash flows and then use the financial calculator or spreadsheet software to solve for YTC.

1. Determine the bond's semiannual coupon payment: Since the coupon rate is 8% payable semiannually, the semiannual coupon payment is (8% / 2) * Par Value = 4% * Par Value.

2. Determine the bond's call price: The bond is callable at 110% of par value, so Call Price = 1.10 * Par Value.

3. Determine the bond's cash flows: There are 20 semiannual periods before the bond is callable (10 years * 2), so there will be 19 semiannual coupon payments of 4% * Par Value and a final cash flow that includes the 20th semiannual coupon payment and the call price (4% * Par Value + 1.10 * Par Value).

4. Calculate the YTC using a financial calculator or spreadsheet software: Input the bond's cash flows, the yield to maturity (5.5% / 2 = 2.75% semiannually), and solve for the YTC.

Using the given information and solving for YTC, the correct answer is:
d. 7.59%

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ou have some money that you wish to invest. You have been searching for the best interest rates that are available for you to invest your money and you have found the following rates:
6.10% compounded annually (r1=6.10%)
5.90% compounded semiannually (r2=5.90%)
5.85% compounded monthly (r12=5.85%)
a) Calculate the effective annual rate (EAR) for each option.
b) Which option would you choose and why?

Answers

a) To calculate the effective annual rate (EAR) for each option, we can use the formula:

EAR = (1 + (r/n))^n - 1

where r is the annual interest rate, and n is the number of times the interest is compounded per year.

For option 1, r1 = 6.10% and n = 1 (compounded annually):

EAR1 = (1 + (0.0610/1))^1 - 1 = 0.0610 or 6.10%

For option 2, r2 = 5.90% and n = 2 (compounded semiannually):

EAR2 = (1 + (0.0590/2))^2 - 1 = 0.0605 or 6.05%

For option 3, r12 = 5.85% and n = 12 (compounded monthly):

EAR3 = (1 + (0.0585/12))^12 - 1 = 0.0601 or 6.01%

b) Based on the effective annual rates calculated above, the option with the highest EAR is option 1 with an EAR of 6.10%. However, it's worth noting that option 2 and option 3 are very close in terms of their effective annual rates, with only a difference of 0.06% between them.

In terms of which option to choose, it depends on your investment goals and preferences. If you value simplicity and ease of monitoring, option 1 might be the best choice since it's compounded annually.

If you prefer to receive interest more frequently, then option 2 or option 3 might be preferable since they are compounded semiannually and monthly, respectively.

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