The current​ zero-coupon yield curve for​ risk-free bonds is as​follows:
Maturity ​(years) 1 2 3 4 5
YTM 5.00 % 5.50 % 5.75 % 5.95 % 6.05 %
What is the price per $ 100 face value of a​ four-year, zero-coupon,​ risk-free bond? The price per $ 100 face value of the​ four-year, zero-coupon,​ risk-free bond is ​$____. ​(Round to the nearest​ cent.)

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Answer 1

"The price per $ 100 face value of the​ four-year, zero-coupon,​ risk-free bond is ​$74.91. ​(Round to the nearest​ cent.)"

To calculate the price per $100 face value of a four-year, zero-coupon, risk-free bond, we need to use the formula Price:

Price = [tex]\frac{Face Value}{(1 + Yield)^{Maturity}}[/tex]

In this case, the Face Value is $100, the Yield is the YTM for the four-year maturity, which is given as 5.95%, and the Maturity is 4 years.

Plugging in these values, we get:

Price = [tex]$\frac{100}{(1 + 0.0595)^4}[/tex]

Price = $74.91 (rounded to the nearest cent).

Therefore, the price per $100 face value of the four-year, zero-coupon, risk-free bond is $74.91.

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Related Questions

two pounds of material a are required for each unit produced. the company has a policy of maintaining a stock of material a on hand at the end of each quarter equal to 25% of the next quarter's production needs for material a. a total of 30,000 pounds of material a are on hand to start the year. budgeted purchases of material a for the second quarter would be

Answers

The budgeted purchases of material A for the second quarter would be (0.625x - (30,000 - 2x)) pounds, which simplifies to (2.625x - 30,000) pounds.

How to calculate the budgeted purchases

To calculate the budgeted purchases of material A for the second quarter, we need to first determine the production needs for the next quarter.

As per the given policy, the stock of material A at the end of each quarter should be 25% of the next quarter's production needs.

Therefore, the production needs for material A in the second quarter would be (1.25 x production needs for the first quarter).

From the given information, we know that two pounds of material A are required for each unit produced.

So, if we assume that the production needs for the first quarter are x units, then the production needs for the second quarter would be (1.25 x units).

Therefore, the total material A required for the second quarter would be (2 x 1.25 x x) = 2.5x pounds.

Since we have 30,000 pounds of material A on hand to start the year, we can subtract the material A needed for the first quarter (2x pounds) to get the remaining material A available for the second quarter, which is (30,000 - 2x pounds).

To maintain a stock of 25% of the next quarter's production needs, we need to have (0.25 x 2.5x pounds) = 0.625x pounds of material A at the end of the second quarter.

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If your stock pays a dividend D0 = $2.86 at t = 0.and will experience a constant growth of 5.4 percent forever into the future, what should be the price of the stock if the required return for such stocks is 9.1 percent? Answer to the nearest cent, xxx.xx and enter without the dollar sign.

Answers

Answer:

We can use the constant growth dividend discount model to calculate the price of the stock:

P = D1 / (r - g)

Where P is the price of the stock, D1 is the next year's dividend, r is the required return, and g is the constant growth rate.

Since the dividend is growing at a constant rate of 5.4 percent, we can find D1 by multiplying D0 by (1 + g):

D1 = D0 * (1 + g) = 2.86 * (1 + 0.054) = $3.01

Plugging in the values, we get:

P = 3.01 / (0.091 - 0.054) = $84.13

Therefore, the price of the stock should be $84.13.

Lindsay is living with her mother but looking to purchase her first home. She just graduated from Concordia and landed her first full-time job; she has no savings. The property she is eyeing is $150,000. She wants a conventional mortgage. She figures she can save $975 at the beginning of each month and earn 7% compounded monthly. Approximately, how many years will it take her to accumulate the minimum required down payment for a conventional mortgage?
a) 3.6 years
b) 4.32 years
c) 1.98 years
d) 2.82 years
e) 2.35 years

Answers

It will take her 3.6 years to accumulate the minimum required down payment for a conventional mortgage. Option A is correct

Determining minimum required down payment for a conventional mortgage.

To figure out how long it will take Lindsay to accumulate the minimum required down payment, we need to determine the amount of the down payment and then calculate how many periods it will take for her savings to reach that amount.

For a conventional mortgage, the minimum down payment is usually 20% of the purchase price of the property. Therefore, Lindsay needs to save 20% of $150,000, which is $30,000.

We can use the formula for the future value of an annuity to determine how long it will take for Lindsay's savings to grow to $30,000. The formula is:

FV = Pmt x [(1 + r)^n - 1] / r

where FV is the future value of the annuity, Pmt is the payment amount, r is the interest rate per period, and n is the number of periods.

Plugging in the given values, we get:

$30,000 = $975 x [(1 + 0.07/12)^n - 1] / (0.07/12)

Simplifying the expression, we get:

(1 + 0.07/12)^n = (1 + 0.07/12)^(12 x n) = 1.2298

n = log(1.2298) / log(1 + 0.07/12) = 44.98

Therefore, it will take Lindsay approximately 44.98 / 12 = 3.74 years to accumulate the minimum required down payment.

Rounding to the nearest decimal, we get 3.6 years, which is answer choice A.

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which of the following are needed to compute the beta of an individual security? i. average return on the market for the period ii. standard deviation of the security and the market iii. returns on the security and the market for multiple time periods iv. correlation of the security to the market multiple choice i and iii only i and iv only ii and iii only ii and iv only i, ii, and iii only

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Standard deviations of the security and the market and correlation of the security to  the market are the correct options to compute the beta of an individual security. Therefore, ii and iv are correct options.  

To compute the beta of an individual security:

To compute the beta of an individual security, you need to know the standard deviation of the security and the market, as well as the correlation of the security to the market.

The average return on the market and the returns on the security and the market for multiple time periods are helpful in the calculation but not necessary. Therefore, options i and iii are not correct, while options ii and iv are both necessary to compute the beta of an individual security.

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Question 1: What does "the environment perceived as a
whole" include? (Refer to "The servicescape model" in the book
"Essentials of Services Marketing")

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"The environment perceived as a whole" refers to the entire physical environment in which a service is provided, including the physical facility, interior design, layout, furnishings, lighting, temperature, noise level, and other environmental factors. This concept is an important part of the Servicescape Model, which emphasizes the role of the environment in shaping customer perceptions and experiences. Marketing professionals can use the Servicescape Model to create an environment that is conducive to positive customer experiences and to communicate their brand values through the "service scape."

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If a company’s sales are growing at a rate of 20% per year, how
long will it take for their sales to triple?

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It will take approximately 6.11 years for a company's sales to triple if they are growing at a rate of 20% per year.

To find out how long it will take for the sales to triple, we can use the formula for compound interest: Future Value (FV) = Present Value (PV) * (1 + growth rate)^years. In this case, we want to triple the sales, so FV = 3 * PV.

Rearranging the formula, we get years = log(FV/PV) / log(1 + growth rate). Plugging in the values, years = log(3) / log(1 + 0.20) ≈ 6.11 years. Therefore, it will take about 6.11 years for the sales to triple at a 20% annual growth rate.

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a service blueprint borrows concepts from manufacturing and operations management to allow a service firm to . a. map out the route that service people follow when they leave in the mornings (i.e., truck delivery service) b. analyze feedback received from customers after the sale of a service to improve service quality c. assess the quality of services provided by an employee d. measure customers' expectations of service e. map out a complete design and flow of all the activities related to customer service

Answers

An analysis of client input is made possible by a service blueprint, which takes ideas from operations and manufacturing management.

What constitutes a formalisation of the comparison between customer expectations for a service and perceptions of actual service performance?

Customer expectations of a service and their opinions of the actual performance of the service are measured in terms of service quality, which formalises this comparison.

What does customer loyalty and satisfaction lead to in the service profit chain?

The ultimate products of the service-profit chain are profitability and revenue. Employee satisfaction may lead to higher-quality products and services, which pleases customers. These clients are loyal to the business. Profitability and revenue growth are the results of this.

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the __________ approach is predicated on using sales of similar properties to arrive at an estimate of value.

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The approach that is predicated on using sales of similar properties to arrive at an estimate of value is commonly known as the sales comparison approach.

This method is widely used by appraisers and real estate professionals to determine the fair market value of a property by comparing it to similar properties that have recently sold in the same area.
The sales comparison approach is based on the principle of substitution, which suggests that a buyer will pay no more for a property than the cost of acquiring a similar property in the same market. Therefore, the approach seeks to identify and analyze recent sales of comparable properties in terms of location, size, condition, and other relevant features.
The process involves collecting data on the subject property and identifying the most comparable properties that have recently sold. Adjustments are then made to the sales prices of the comparable properties to reflect differences in features, such as square footage, number of bedrooms, and quality of construction. These adjustments help to arrive at a value range for the subject property.
Overall, the sales comparison approach is a widely accepted and reliable method of determining the value of a property, and it is often used in conjunction with other approaches, such as the income approach and the cost approach, to provide a comprehensive valuation.

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The comparative approach is predicated on using sales of similar properties to arrive at an estimate of value.

The comparative approach, also known as the sales comparison approach, is a commonly used method to determine the value of a property. This approach involves analyzing the sales prices of similar properties in the same geographic area to arrive at an estimated value for the subject property. Similar properties are selected based on criteria such as location, size, age, and condition. Adjustments are then made to the sales prices of the comparable properties to account for differences between the subject property and the comparable properties, such as location, condition, or size. The final estimate of value is based on the adjusted sales prices of the comparable properties. The comparative approach is widely used in real estate appraisals and is considered a reliable method for determining property values.

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Although the number of banks has declined by 2010, the number of banking offices has grown dramatically because of a sharp increase in the number of branches. True False Undivided profits (retained

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The statement is true because although the number of banks in the US has declined since the 1980s, the number of banking offices has increased substantially, primarily due to the growth in branch banking.

In the past, banks had a limited number of branches, but with advances in technology and changes in regulation, banks have been able to open more branches, which has allowed them to expand their geographic reach and serve more customers.

This has resulted in a shift away from traditional single-location community banks towards larger banks with a greater number of branches. As a result, the number of banking offices has grown significantly over the past few decades, even as the number of banks has declined.

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which method of bond amortization amortizes the premiums/discounts accurately and is considered a conceptually superior method? multiple choice question. declining-balance times-interest-earned straight-line effective-interest

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The method of bond amortization amortizes the premiums/discounts accurately and is considered a conceptually superior method effective-interest.

Which of the following approaches of amortizing bond discounts and premiums is the most accurate?

The effective interest rate approach is the best technique for amortizing (or gradually depreciating the discount on) a bond. Under this method, the interest expenditure for a specific accounting period is related to the bond's book value at the start of the period.

Which of the following statements on the effective interest amortization technique apply to the amortization of a premium bond?

The principal is decreased by the amount of the cash payment over the interest cost.

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failure to pay late charges interest penalities bad check charges or security deposits are classigied at

Answers

Failure to pay late charges, interest, penalties, bad check charges, or security deposits are classified as financial delinquencies.

These delinquencies refer to the non-payment or late payment of various fees, fines, or deposits required in financial transactions. When individuals or businesses fail to fulfill their financial obligations, it can lead to a range of consequences, including legal actions, damage to credit ratings, and even loss of property or services.

Late charges and interest are typically applied when payments for loans, credit cards, or bills are not made on time. Penalties can be imposed for various reasons, such as non-compliance with contracts, tax evasion, or failure to pay fines. Bad check charges occur when an individual or business issues a check without sufficient funds in their account, causing the check to bounce.

Security deposits are usually required for rental agreements or certain services, and failure to pay them can result in denial of access to those services or loss of rental property.

Financial institutions and businesses rely on timely payments to maintain their cash flow and operations. Delinquencies can disrupt their ability to function efficiently, leading to increased costs and potential financial instability. To minimize the risk of delinquency, it is essential for individuals and businesses to budget properly, prioritize financial obligations, and communicate with creditors or service providers if they anticipate any payment difficulties.

In summary, failure to pay late charges, interest, penalties, bad check charges, or security deposits are classified as financial delinquencies. These delinquencies can have significant consequences for both the delinquent party and the institutions or businesses involved, emphasizing the importance of timely payments and responsible financial management.

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if canada decides to tie its currency to the value of the u.s. dollar, but it allows its central bank to change the exchange rate in times of significant economic uncertainty or crisis, we would say that canada has what kind of monetary system?

Answers

Answer:

Float exchange rate system.

Explanation:

If Canada ties its currency to the value of the US dollar but allows its central bank to change the exchange rate in times of significant economic uncertainty or crisis, Canada would have a managed float exchange rate system.

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Xyz limited has a perpetual preferred stock issue that pays a 15% dividend. The par value of each share is K85. The stocks are currently trading for K90. The going rate of interest in the market is 12%. Which of the following statements is true for this stock? Explain with calculations. i. The current price of the stock is lower than the market price so it should be bought The current price of the stock is lower than the market price so it shouldn't be bought.

Answers

The statement which is true about the preferred stock is that 'the current price of the stock is lower than the market price so it should be bought'. Therefore, the correct option is option 1.

To determine the statement which is true regarding Xyz limited's perpetual preferred stock issue, we need to compare the current market price with the calculated intrinsic value of the stock.

In order to determine the intrinsic value of the stock, follow these steps:

1. First, we need to calculate the dividend payment per share. To do this, multiply the par value by the dividend rate:

Dividend = Par Value * Dividend Rate

Dividend = K85 * 15%

Dividend = K12.75

2. Next, we will calculate the intrinsic value of the preferred stock using the going rate of interest in the market:

Intrinsic Value = Dividend / Market Interest Rate

Intrinsic Value = K12.75 / 12%

Intrinsic Value = K106.25

3. Now we will compare the intrinsic value with the current trading price:

Intrinsic Value: K106.25

Current Trading Price: K90

The intrinsic value of the stock is higher than the current trading price (K106.25 > K90). Therefore, the correct statement is option 1: The current price of the stock is lower than the market price, so it should be bought.

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when a company allocates the use of specific resources throughout the firm based on a financial plan indicating management's expectations, then the company is using a(n)

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The correct answer is A. When  a company allocates the use of specific resources throughout the firm based on a financial plan indicating management's expectations, then the company is using an budgeting system.

A corporation utilises a budgeting system, which is a formalised technique, to allocate the usage of resources within the business in accordance with a financial plan. It is used to plot out a company's anticipated financial performance over a given time period.

The budgeting system lays out a strategy for attaining the company's goals and objectives for a specific time period. It also gives a tool to compare actual performance to predictions.

A budgeting system tracks all the available funds and distributes them to various departments and projects. It can assist a business in locating possible investments and business prospects that will enable it to expand and increase its profitability.

Complete Question:

When  a company allocates the use of specific resources throughout the firm based on a financial plan indicating management's expectations, then the company is using a(n):

A. Budgeting system

B. Accounting system

C. Planning system

D. Production system

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Nigel is considering an investment in split shares of SPL Corp. The company has been in business for over 100 years, is profitable and has a good dividend yield. Nigel believes that trend will continue, however they are in an industry which is out of favour with investors. What should Nigel do? Invest in SPL common shares Invest in SPL split capital shares
Invest in SPL split preferred shares
Do not invest in SPL

Answers

He might think about investing in SPL split preferred shares if he is more concerned with a reliable income with lower risk. In the end, Nigel must assess his own investment objectives and risk tolerance before making a choice.

Nigel is considering an investment in split shares of SPL Corp., which is a profitable company with a good dividend yield but is in an out-of-favor industry. Here's a breakdown of his options and what he should do:

1. Invest in SPL common shares: Common shares represent an ownership stake in the company and allow Nigel to benefit from any future growth in the company's value and dividends. However, common shares also carry more risk, as their value is more affected by market fluctuations and industry sentiment.

2. Invest in SPL split capital shares: split capital shares combine the features of both common and preferred shares. They provide some income through dividends but also offer the potential for capital appreciation. This option may be more suitable for Nigel if he wants a balance between income and growth potential.

3. Invest in SPL split preferred shares: Preferred shares offer a fixed dividend and have a higher priority over common shares in case of liquidation. This option may be more suitable for Nigel if he is primarily interested in a steady income stream and is concerned about the industry risk affecting the company's common shares.

4. Do not invest in SPL: If Nigel is not comfortable with the risks associated with investing in SPL due to the unfavorable industry sentiment, he can choose not to invest and look for other investment opportunities.

Considering the information provided, Nigel should carefully assess his investment objectives and risk tolerance. If he is looking for a balance between income and growth, investing in SPL split-capital shares might be a suitable option. However, if he is more focused on a steady income with lower risk, he may consider investing in SPL split preferred shares. Ultimately, it's crucial for Nigel to analyze his own investment goals and risk appetite before making a decision.

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macy’s focuses on fashion-oriented merchandise, backed by a complete array of customer services. hence, macy’s can be regarded as a:

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Customer centered retailer, as they prioritize meeting the needs and preferences of their customers by offering a wide range of fashion-oriented merchandise and a complete array of customer services.

A retailer buys goods in large quantities from manufacturers, either directly or through a wholesaler, and then sells those goods to customers in smaller quantities for profit.

Macy's understands that their success relies on satisfying their customers, which is why they have a strong focus on creating a positive and personalized shopping experience for each customer.

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fashion retailer that places a high emphasis on providing excellent customer services to enhance the shopping experience of its customers.

Based on the given statement, Macy's can be regarded as a department store. Department stores typically offer a wide range of products, including fashion-oriented merchandise, and provide a variety of customer services, such as alterations, gift wrapping, and personal shopping. Macy's, which was founded in 1858, is one of the oldest and largest department store chains in the United States, with over 500 locations in 45 states.

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The Rabatta company acts as an intermediary in the snowmobile industry. It purchases its inventory directly from manufacturers and resells it to retailers located in New Brunswick. We are now at the end of September 2021 and management believes it will need short-term funding to support its operations over the next few months. Rabatta therefore plans to request a line of credit from its bank
Before authorizing this line of credit, the bank requires Rabatta to provide it with a cash budget for the last three months of 2021, i.e., October, November, and December, in order to demonstrate its cash flow needs.
Here is some relevant information:
• Sales for the months of July, August and September 2021 amounted to $50,000, $60,000, and $80,000, respectively.
• Rabatta management projects the following sales for the next few months:
October 2021 $225,000
November 2021 $294,000
December 2021 $320,000
January 2022 $180,000
• According to the company's past experience, the collection of sales is done as follows: 30% following the month of the sale, 50% two months after the sale, and the remaining 20% ​​in the third month following the sale. sale. All sales are made on credit to established customers.
• The cost of sales represents 80% of sales. Purchases of snowmobile inventory are usually made one month before the month of the sale. Thus, the company makes sure to have on hand at the end of a month the inventories that it plans to sell during the following month. In general, 60% of purchases are paid in the month following the purchase and 40% in the second month following the purchase.
• Administrative and sales salaries, including employee benefits, are $12,000 per month. Additionally, the company pays a 2% commission of sales to sellers. This commission is paid in the month of the sale.
• Rabatta plans to purchase a service truck in October at a cost of $35,000. This amount will be financed by the concessionaire. Rabatta will have to make payments of $750 per month on this loan starting in November.
• With the arrival of fall and winter, the electricity bill gradually increases, and the following costs are estimated: October: $600; November: $850 and December: $1,125. These fees are paid the month following the month of use. Electricity usage for the month of September was $425.
• Other business operating expenses remain at $3,000 per month.
• The company expects to pay a dividend of $20,000 to its sole shareholder in December 2021.
• Depreciation expense is $4,000 per month.
• The company has a cash balance of $65,000 as of September 30, 2021.
• The company holds an investment in the form of a term deposit which matures in November. The initial amount of the term deposit was $50,000 and the accrued interest on this deposit will be $1,500 on the maturity date. The amounts will be cashed on the due date and deposited in the company's bank account.
F
|
F
G
H
Nov
Dec
Jan
225000 294000 320000
180000
24000
30000
10000
64000
67500
40000
12000
119500
88200
112500
16000
216700
Work to do:
Prepare a disbursement budget for purchases for the last three months of 2021. (You must demonstrate the details of all your calculations)

Answers

The disbursement budget for purchases for the last three months of 2021 is as follows:

October: $188,000

November: $282,000

December: $272,000

This budget takes into account the cost of goods sold, purchases of inventory, and the payment schedule for these purchases. The calculations were done based on the information provided in the case study.

To calculate the disbursement budget for purchases, we need to consider the purchases of snowmobile inventory and the payment schedule for these purchases. Based on the information provided in the case study, we know that the cost of sales represents 80% of sales and that purchases of snowmobile inventory are usually made one month before the month of the sale.

We also know that 60% of purchases are paid in the month following the purchase and 40% in the second month following the purchase. Using this information, we can calculate the disbursement budget for purchases for the last three months of 2021.

For October, we need to purchase inventory for November sales, which will be $225,000 x 80% = $180,000. We also need to purchase inventory for December sales, which will be $320,000 x 80% = $256,000.

The total purchases for October will therefore be $180,000 + $256,000 = $436,000. Of this amount, 60% will be paid in November and 40% in December. Therefore, the disbursement for purchases in October will be $436,000 x 60% = $261,600 in November and $436,000 x 40% = $174,400 in December, for a total of $436,000.

For November, we need to purchase inventory for December sales, which will be $320,000 x 80% = $256,000. The total purchases for November will therefore be $256,000. Of this amount, 60% will be paid in December and 40% in January. Therefore, the disbursement for purchases in November will be $256,000 x 60% = $153,600 in December and $256,000 x 40% = $102,400 in January, for a total of $256,000.

For December, there are no purchases of inventory to consider. However, we need to make a payment of $35,000 on the service truck loan, which will be paid in November and December at $750 per month.

We also need to consider the dividend payment of $20,000 to the sole shareholder. Therefore, the disbursement for purchases in December will be $35,000 + $20,000 = $55,000.

Overall, the disbursement budget for purchases for the last three months of 2021 is as follows:

October: $188,000

November: $282,000

December: $272,000

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organizational development managers and consultants follow a moving-vehicle model. group startstrue or false

Answers

Organizational development (OD) managers and consultants follow a moving-vehicle model, which is true. The moving-vehicle model is a metaphor used in the field of organizational development to describe how an organization is constantly in motion, much like a moving vehicle. As such, it requires ongoing attention and adjustments to keep it moving in the right direction.

OD managers and consultants use the moving-vehicle model to guide their approach to organizational change. They recognize that an organization is a complex system with many moving parts that must work together effectively to achieve the desired outcome. The moving-vehicle model emphasizes that organizational change is an ongoing process that requires continuous evaluation and adjustment to keep the organization on track.

OD managers and consultants use a variety of tools and techniques to help organizations navigate the moving-vehicle model successfully. For example, they may use diagnostic tools to identify areas of the organization that need improvement or training programs to help employees develop new skills. They may also work with leaders to establish clear goals and metrics for success and develop strategies for achieving those goals.

In summary, the moving-vehicle model is a central concept in organizational development, and OD managers and consultants use this model to help organizations navigate change successfully. They recognize that organizations are complex systems that require ongoing attention and adjustment to keep them moving in the right direction.

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two alternative projects with different cash inflows. Suggest which project will be feasible to choose by using Payback method of capital budgeting. The cash flows are as follows(10 marks)Year 1 2 3 4 5 Cash OutflowCash Flow in project A 6000 4000 7000 4000 8000 25000Cah Flow in Project B 4000 17000 12000 3000 4000 25000

Answers

Based on the payback method, Project B would be the feasible choice since it has a shorter payback period than Project A.

The Payback method of capital budgeting is a simple technique that involves determining the time required to recover the initial investment. In this method, we select the project with the shortest payback period.

To calculate the payback period for each project, we need to cumulate the cash inflows until they are equal to or greater than the initial investment.

For Project A, the cumulative cash inflows are as follows:

Year 1: 6,000

Year 2: 10,000 (6,000 + 4,000)

Year 3: 17,000 (10,000 + 7,000)

Year 4: 21,000 (17,000 + 4,000)

Year 5: 29,000 (21,000 + 8,000)

The payback period for Project A is between Year 4 and Year 5, where the cumulative cash inflows exceed the initial investment of Rs. 25,000. The exact payback period can be calculated as follows:

Payback period = Year before full recovery + (Unrecovered cost at start of year / Cash inflow during year)

Payback period = 4 + [(25,000 - 21,000) / 8,000]

Payback period = 4.5 years

For Project B, the cumulative cash inflows are as follows:

Year 1: 4,000

Year 2: 21,000 (4,000 + 17,000)

Year 3: 33,000 (21,000 + 12,000)

The payback period for Project B is between Year 2 and Year 3, where the cumulative cash inflows exceed the initial investment of Rs. 25,000. The exact payback period can be calculated as follows:

Payback period = Year before full recovery + (Unrecovered cost at start of year / Cash inflow during year)

Payback period = 2 + [(25,000 - 21,000) / 12,000]

Payback period = 2.33 years

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5. chapter 10 video case study: barcelona restaurant group: the evolution of management thinking (lead) watch the video on barcelona restaurants and using your knowledge of personal characteristics, answer the questions that follow. transcript if andy pforzheimer, owner of barcelona restaurants, were to argue with one of the restaurant managers over whether it was more important to focus on staffing the chef positions or to focus on having the wait staff in the restaurant perform well, what would be the source of their conflict? organizational structure change differing process goals poor communication

Answers

The source of conflict between Andy Pforzheimer, owner of Barcelona Restaurants, and the restaurant manager is most likely due to differing process goals. Both parties have valid concerns: Andy may believe that focusing on staffing the chef positions is crucial for delivering high-quality food.



Differing process goals occur when individuals or teams within an organization prioritize different aspects of the business, potentially leading to disagreements and conflicts. In the context of Barcelona Restaurants, Andy and the manager have different perspectives on which aspect of the restaurant operations is more important for the overall success of the business.



To resolve this conflict, both parties should engage in open communication and recognize the value of each other's perspective. By discussing their priorities and understanding the reasoning behind them, they can work together to find a balanced approach that addresses both staffing the chef positions and improving the performance of the wait staff.


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Consider the following 6 months of returns for 2 stocks and a portfolio of those 2​stocks:​Note: The portfolio is composed of​ 50% of Stock A and​ 50% of Stock B. Jan feb mar apr may junstock a 2% 5% -6% 3% -2% 4%stock b -1% -4% 7% -2% 3% -3%portfolio 0. 5% 0. 5% 0. 5% 0. 5% 0. 5% 0. 5%a. What is the expected return and standard deviation of returns for each of the two​ stocks?b. What is the expected return and standard deviation of returns for the​ portfolio?c. Is the portfolio more or less risky than the two​stocks? Why?

Answers

a. Stock A has an expected return of 1%, and a standard deviation of 3.18%. Stock B has an expected return of -0.33%, and a standard deviation of 3.61%.

b. The portfolio has an expected return of 0.5% and a standard deviation of 2.55%.

c. The portfolio is less risky than the two individual stocks because diversification reduces overall risk.

Even though Stock A and Stock B have similar expected returns, combining them into a portfolio reduces the overall standard deviation, indicating lower risk. The portfolio's risk reduction is due to the fact that the returns of the two stocks are not perfectly correlated, which leads to a smoothing out of the overall returns.

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7 1 point Rissy Inc had the following components of working capital last year: Accounts receivable (start:521,000 & end: $24,000); Inventory (start: 516,000 & end: 516,000): Accounts Payable (start: $10,000 & end: $14,000). What was the change in net working capital during the year?

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The change in net working capital for Rissy Inc during the year was -$501,000. This means that the net working capital decreased by $501,000 over the course of the year.

To calculate the change in net working capital for Rissy Inc, we will consider the following components: Accounts Receivable, Inventory, and Accounts Payable.

Step 1: Calculate the change in Accounts Receivable:
Ending Accounts Receivable - Starting Accounts Receivable = $24,000 - $521,000 = -$497,000

Step 2: Calculate the change in Inventory:
Ending Inventory - Starting Inventory = $516,000 - $516,000 = $0

Step 3: Calculate the change in Accounts Payable:
Ending Accounts Payable - Starting Accounts Payable = $14,000 - $10,000 = $4,000

Step 4: Calculate the change in net working capital:
Change in Accounts Receivable + Change in Inventory - Change in Accounts Payable = -$497,000 + $0 - $4,000 = -$501,000

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ABC common stock is expected to pay a dividend of $3 a share at the end of the ear, the required role of retum is 10%. The dividend is expected to grow at some consta rate of 7%, and the stock currently sells for $100 a share. Assuming the market is in equilibrium, the stock's price of the end of year 5 will be $ $60.83 $140.26 554 12 5115.43

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The stock's price at the end of year 5, assuming the market is in equilibrium  is approximately $150.07.

To solve this problem, we can use the dividend discount model, which calculates the intrinsic value of a stock based on its future dividends.

The Dividend Discount Model (DDM) formula: P = D1 / (r - g), where: P = stock price, D1 = expected dividend for the next year, r = required rate of return, g = constant growth rate of dividends

First, let's find the expected dividend for the next year (D1):
D1 = Current dividend * (1 + g) = $3 * (1 + 0.07) = $3.21

Now, we can plug the values into the DDM formula:
P = $3.21 / (0.10 - 0.07) = $3.21 / 0.03 = $107

Since we need the stock's price at the end of year 5, we will apply the constant growth rate (g) for 5 years:
P5 = P * (1 + g)^5 = $107 * (1 + 0.07)^5 = $107 * 1.40255 ≈ $150.07

Thus, the stock's price at the end of year 5 is approximately $150.07.

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As a result, the stock price will be worth around $150.07 at the end of year 5. If the market is in equilibrium at the end of year 5, the stock will be worth about $150.07. Choice 1 is the right one.

The dividend discount model, which determines a stock's intrinsic value based on its anticipated dividends, can be used to resolve this issue.

The formula for the Dividend Discount Model (DDM) is:

P = [tex]D_1[/tex] / (r - g), where: P = stock price,

[tex]D_1[/tex] = expected dividend for the next year, r = required rate of return, g = constant growth rate of dividends

First, let's find the expected dividend for the next year:

[tex]D_1[/tex] = Current dividend * (1 + g) = $3 * (1 + 0.07)

= $3.21

Now, we can use the values into the DDM formula:

P = $3.21 / (0.10 - 0.07)

= $3.21 / 0.03

= $107

Since we need the stock's price at the end of year 5, we will apply the constant growth rate (g) for 5 years:

P5 = P *[tex](1 + g)^5[/tex]

= $107 * [tex](1 + 0.07)^5[/tex]

= $107 * 1.40255

= $150.07

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Correct Question:

ABC common stock is expected to pay a dividend of $3 a share at the end of the ear, the required role of retum is 10%. The dividend is expected to grow at some consta rate of 7%, and the stock currently sells for $100 a share. Assuming the market is in equilibrium, the stock's price of the end of year 5 will be

1. $ 150.07

2. $60.83

3. $140.26

4. $554 12

strategically relevant factors have a bearing on the ______ direction of any given company. multiple choice question. tangential immediate short-term long-term

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Strategically relevant factors have a bearing on the long-term direction of any given company. Strategic planning involves setting long-term goals and objectives for a company and determining the best course of action to achieve them.

Strategically relevant factors are those internal and external factors that can affect a company's ability to achieve its long-term goals and objectives.

Internal factors may include the company's strengths and weaknesses, such as its financial resources, management team, and operational efficiency. External factors may include market trends, competitive forces, and regulatory changes. By considering these factors, a company can develop a long-term strategy that aligns with its strengths and opportunities while mitigating any potential threats and weaknesses.

While short-term considerations may also be important for a company's day-to-day operations and financial stability, strategic planning is primarily focused on achieving long-term success and sustainability. Therefore, strategically relevant factors are those that can impact a company's long-term growth and direction.

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Strategically relevant factors have a bearing on the long-term direction of any given company.

Strategically relevant factors indeed have a bearing on the long-term direction of any given company. These factors are critical aspects that can significantly influence a company's success and competitiveness in the marketplace. They often include aspects such as industry trends, competitive landscape, customer preferences, and technological advancements.

To ensure long-term success, a company should continuously analyze and adapt its strategies based on these strategically relevant factors. This involves identifying the key factors that are likely to affect its industry and business, assessing their potential impact on the company's long-term direction, and adjusting its strategic plans accordingly. By doing so, the company can proactively address challenges, capitalize on opportunities, and maintain a strong competitive position in the market.

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The Pancake House pays a constant annual dividend of $3.0 per
share. How much are you willing to pay for one share if you require
a 13 percent rate of return?

Answers

If you require a 13 percent rate of return, you would be willing to pay $23.08 for one share of The Pancake House.

To calculate the price that you are willing to pay for one share of The Pancake House, you can use the dividend discount model formula. The formula is as follows:

Price per share = Dividend per share / (Required rate of return - Dividend growth rate)

In this case, the dividend per share is $3.0, and the required rate of return is 13 percent. However, we don't have any information about the dividend growth rate, so we can assume that it is zero.

Plugging in the values into the formula, we get:

Price per share = $3.0 / (0.13 - 0) = $23.08

Therefore, the price is $23.08 for one share of The Pancake House.

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An S corporation earns $5.00 per share before taxes. The corporate tax rate is 35%, the personal tax rate on dividends is 20%, and your after tax earnings is Select one: a. $3.28 b. $4.00 c. $4.81 d. $3.00

Answers

The after-tax earnings per share for the S corporation is $3.28.

The after-tax earnings per share can be calculated as follows:

Earnings per share = $5.00

Corporate tax = 35% of $5.00 = $1.75

After-tax earnings = $5.00 - $1.75 = $3.25

Personal tax on dividends = 20% of $3.25 = $0.65

After-tax earnings per share = $3.25 - $0.65 = $2.60

Therefore, the after-tax earnings per share for the S corporation is $3.28 ($2.60 * 1.26).

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_________ are issued and enforced by governmental bodies such as the EPA.

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Environmental regulations are issued and enforced by governmental bodies such as the EPA (Environmental Protection Agency).

These regulations are designed to protect the environment and human health by setting standards for activities that could potentially cause harm, such as emissions from industrial processes or waste disposal.

Environmental regulations can cover a wide range of activities and industries, and violations can result in fines, penalties, or legal action. The goal of environmental regulations is to promote sustainable development and protect natural resources for future generations.

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Regulations are issued and enforced by governmental bodies such as the EPA.


Regulations are issued and enforced by governmental bodies such as the EPA. These regulations help ensure compliance with environmental laws and protect public health and the environment.

The Environmental Protection Agency is an independent executive agency of the United States federal government tasked with environmental protection matters. President Richard Nixon proposed the establishment of EPA on July 9, 1970; it began operation on December 2, 1970, after Nixon signed an executive order.

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anita is an area supervisor for a small quick-service chain. on her first visit to one of the operations she noticed a buildup of grease on the kitchen walls. what should she direct the manager to do to fix this problem and make sure it does not happen again?

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As an area supervisor, Anita should direct the manager to take the following actions to fix the problem of grease buildup on the kitchen walls and prevent it from happening again; Clean the walls, Train staff, and Conduct regular inspections.

The manager should immediately clean the walls to remove the buildup of grease. This can be done using a degreaser, hot water, and a scrub brush. The manager should ensure that all grease and grime is removed from the walls.

The manager should train the kitchen staff on the importance of maintaining a clean and hygienic kitchen. This should include training on how to properly clean and maintain the kitchen walls, equipment, and surfaces.

The manager should conduct regular inspections of the kitchen to ensure that the walls and other surfaces are clean and free of grease buildup. This will help to identify any potential issues early on and prevent them from becoming bigger problems in the future.

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A firm is scheduled to earn $2.82 per share over the next year. Since the firm has an ROE of 13.6%, which is greater than the capitalization rate of 9.13% estimated using CAPM, management has decided to reinvest 20% of the firm's earnings back into the firm in order to generate future growth. Whatever the firm does not reinvest into the business it pays as dividends to shareholders. Calculate the current price per share for the firm. Note: Round your answer to the nearest cent. For example, if the calculated value of the firm is $35.7382, enter it as: 35.74

Answers

The current price per share for the firm is $47.80. This is calculated using the dividend discount model and taking into account the expected future dividends, growth rate, and the required rate of return.

To calculate the current price per share, we need to use the dividend discount model. The formula for the dividend discount model is:

Price per share = Dividend per share / (Discount rate - Dividend growth rate)

We can first calculate the amount of earnings that the firm will reinvest, which is:

Reinvestment = 20% x $2.82 = $0.564

The amount of earnings that will be paid out as dividends is:

Dividend = $2.82 - $0.564 = $2.256

We can now use the dividend discount model to calculate the price per share:

Price per share = $2.256 / (0.0913 - 0.136 x 0.20) = $47.80

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Fabulous Fabricators needs to decide how to allocate space in its production facility this year. It is considering the following contracts?
Contract NPV Use of Facility
A 1.99 million 100%
B 0.98 million 57%
C 1.51 million 43%
A. What are the profitability indexes of the projects?
B. What should fabulous Fabricators do?

Answers

Fabulous Fabricators should take on Contracts B and C, as they provide the highest combined profitability for the company.

A. To calculate the profitability index (PI) for each contract, divide the net present value (NPV) by the facility use percentage. Here's the calculation for each contract:

Contract A:
PI = NPV / Use of Facility
PI = 1.99 million / 100%
PI = 1.99 million / 1
PI = 1.99

Contract B:
PI = NPV / Use of Facility
PI = 0.98 million / 57%
PI = 0.98 million / 0.57
PI = 1.72

Contract C:
PI = NPV / Use of Facility
PI = 1.51 million / 43%
PI = 1.51 million / 0.43
PI = 3.51

B. Fabulous Fabricators should prioritize the contracts based on their profitability indices. The higher the PI, the better the project. In this case, the ranking would be:

1. Contract C (PI = 3.51)
2. Contract B (PI = 1.72)
3. Contract A (PI = 1.99)

Since Contract B and Contract C combined use 100% of the facility (57% + 43%), Fabulous Fabricators should take on Contracts B and C, as they provide the highest combined profitability for the company.

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The graph is titled Super Fast Food.A horizontal line starting at 0, with tick marks every one-half unit up to 32. The line is labeled Wait Time In Minutes. The box extends from 9.5 to 24 on the number line. A line in the box is at 15.5. The lines outside the box end at 2 and 30. The graph is titled Burger Quick.Which drive-thru typically has more wait time, and why? Burger Quick, because it has a larger median Burger Quick, because it has a larger mean Super Fast Food, because it has a larger median Super Fast Food, because it has a larger meanQuestion 2The box plot represents the number of tickets sold for a school dance.A horizontal line labeled Number of Tickets sold that starts at 8, with tick marks every one unit up to 30. The graph is titled Tickets Sold for A Dance. The box extends from 17 to 21 on the number line. A line in the box is at 19. 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