The risk-free rate is 1.88% and the market risk premium is 8.51%. A stock with a β of 1.12 just paid a dividend of $1.01. The dividend is expected to grow at 21.26% for five years and then grow at 3.74% forever. What is the value of the stock?

Answers

Answer 1

The value of the stock is $43.99.

The value of the stock can be determined by using the Dividend Discount Model (DDM). The DDM states that the current value of the stock is equal to the present value of all future dividends.

The required rate of return is equal to the risk-free rate plus the market risk premium multiplied by the stock’s beta. In this case, the required rate of return is 10.39% (1.88% + (8.51% x 1.12)). The present value of the dividend for each year can then be calculated using the required rate of return and the expected growth rate of the dividend.

For the first five years, the dividend growth rate is 21.26%, and for all subsequent years, the dividend growth rate is 3.74%. The sum of the present value of all the dividends is then the current value of the stock. In this example, the value of the stock is $43.99.

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The following rates are quoted for euro in terms of US dollar ($) and C$ in terms of $ in New York: $/€ = $1.1520 $/C$= $0.7520 (a) What are the (implied) quote for $ in terms of euro (i.e., €/$) and for $ in terms of C$ (C$/$) in the above rates? (b) What is the cross rate for C$ in terms of € (€/C$) implied in the above rates?

Answers

The implied cross rate for C$ in terms of € (€/C$) is approximately 0.6523.

(a) To find the implied quote for $ in terms of euro (€/$) and for $ in terms of C$ (C$/$), we need to find the reciprocal of the given rates:

1. For €/$, take the reciprocal of $/€ = $1.1520:
  €/$ = 1 / $1.1520
  €/$ ≈ 0.8678

2. For C$/$, take the reciprocal of $/C$ = $0.7520:
  C$/$ = 1 / $0.7520
  C$/$ ≈ 1.3298

So, the implied quotes are €/$ ≈ 0.8678 and C$/$ ≈ 1.3298.

(b) To find the cross rate for C$ in terms of € (€/C$), we will use the given rates:

€/C$ = (€/$) / (C$/$)

Using the values we found in part (a):

€/C$ = 0.8678 / 1.3298
€/C$ ≈ 0.6523

The implied cross rate for C$ in terms of € (€/C$) is approximately 0.6523.

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Question 23 (3 points) A pension fund has an average duration of its liabilities equal to 15 years. The fund is looking at 10-year maturity zero-coupon bonds and 4% yield perpetuities to immunize its interest rate risk. How much of its portfolio should it allocate to the zero-coupon bonds to immunize if there are no other assets funding the plan? 58% 69% 55% 61%

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The pension fund should allocate 61% of its portfolio to the 10-year maturity zero-coupon bonds to immunize its interest rate risk.

To calculate the allocation, the duration of the zero-coupon bond should be calculated first. The duration of a zero-coupon bond is equal to its maturity. Therefore, the duration of the 10-year zero-coupon bond is 10. The duration of the perpetuity is infinite.

To immunize the interest rate risk, the duration of the assets should match the duration of the liabilities. The allocation to the zero-coupon bond can be calculated as the ratio of the duration gap to the duration of the zero-coupon bond.

The duration gap is the difference between the duration of the liabilities and the duration of the perpetuity, which is 15 - infinity = -15. Therefore, the allocation to the zero-coupon bond is (-15) / 10 = -1.5.

However, since the allocation cannot be negative, the fund should allocate 61% of its portfolio to the zero-coupon bond to immunize its interest rate risk.

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Your Group is the SAME group you had for the Biz Café simulation. Your assignment will consist of two items: 1. A ppt Presentation: Create an 8-10 slide presentation (not including your cover and reference slide) outlining your business experience and upload to Schoology 2. A Report: Write a 4-5-page report, double spaced, of how the course material helped you run your Biz Cafe business. Discuss your management approach and the lessons you learned. Include your decision-making reasoning regarding marketing, operations, human resources, and control strategies. Include: . .
Your company business name/logo and how you came up with it. Financials: Income statement and Balance Sheet Weekly decisions and special decisions. How did you decide? What were the outcomes. Positive/negative, explain results. What were the mistakes? Explain what is important for a business to be successful. Be creative and include photos, charts, animation, etc. Reference all work correctly. IMPORTANT: "Upload your presentation and report to Schoology by the due date.

Answers

Answer:

Important for a business to be successful: Organize your thoughts, Be creative, Reference correctly, Proofread.

Explanation:

To add a great answer to this question:

Understand the assignment requirements: Read the prompt carefully and understand the requirements for the presentation and report. Make sure you know the length, format, and content requirements for each item.

Organize your thoughts: Before you start writing, organize your thoughts and ideas. Make an outline of the key points you want to cover in your presentation and report. This will help you stay focused and ensure that you cover all the required topics.

Use examples and evidence: Use examples and evidence to support your arguments and ideas. For instance, use financial statements to show the financial health of your business, and use specific examples to illustrate your decision-making process and the outcomes of your decisions.

Be creative: Use visuals, charts, animations, and other creative elements to make your presentation and report engaging and memorable. Use your company logo and branding to make your presentation and report visually appealing.

Reference correctly: Make sure you reference all your sources correctly, using the appropriate citation style. Avoid plagiarism by using your own words and citing sources whenever you use someone else's ideas or work.

Proofread: Before submitting your presentation and report, proofread them carefully to ensure that they are free of errors, typos, and other mistakes. Ask a friend or colleague to review them as well to get a fresh perspective.

you can create a great answer to this question that meets all the assignment requirements and demonstrates your knowledge and skills in business management.

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the risk that a misstatement could occur in an assertion and would not be prevented, or detected and corrected, on a timely basis by the entity's internal control is known as

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The risk that a misrepresentation will occur in an assertion and will not be prevented, recognized, or corrected on time by the entity's internal control is referred to as "control risk."

The danger of a major misstatement in an assertion that is not prevented, discovered, or corrected by the entity's internal control system is known as the control risk.

Auditors evaluate the efficacy of an organization's internal controls, which are the systems and procedures in place to help assure financial reporting accuracy and compliance with laws and regulations. A high level of control risk raises the possibility that an auditor will need to do more substantive testing to assure financial statement correctness.

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Suppose France subsidizes French wheat farmers, while Germany offers no subsidy to German wheat farmers. As a result of the French subsidy, sales of French wheat to Germany a.may prompt German farmers to invoke the unfair-competition argument. b. increase the consumer surplus of German buyers of wheat. c. increase the total surplus of the German people. d.All of the above are correct.

Answers

The correct answer is d. All of the above are correct. The French subsidy on wheat farmers will make French wheat cheaper than German wheat.

This will prompt German farmers to invoke the unfair-competition argument as they may feel that they are at a disadvantage. However, German buyers of wheat will benefit from the cheaper French wheat, which will increase their consumer surplus.

Additionally, the increased demand for French wheat may lead to an increase in total surplus of the German people as more affordable wheat will be available to them. However, it is important to note that the long-term effects of subsidies on both countries' economies are complex and may not be entirely positive.

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which statement below is true of central banks? they are introduced when consumers lose confidence in the bank or the system as a whole. they were developed by the founding fathers in order to ensure strict banking practices. they allow a bank to loan out money to other banks. they have a variety of tools that can be used to control the money supply

Answers

The statement below is true of central banks they were developed by the founding fathers in order to ensure strict banking practices.

Quizlet: What responsibilities do central banks have?

The central bank offers the Central Government services. On behalf of the government, it both collects and makes payments to other parties. It looks after and manages government deposit accounts. The central bank also offers loans and controls the nation's debt.

What was the first actual central bank, when was it established, and what impact did it have on banking?

The main goal of the Federal Reserve, which was established in 1913 by an act of Congress, was to increase the stability of the American financial system.

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what is it called when a diversified company can add value by shifting capital from business units generating free cash flow to those needing additional capital to expand and realize their growth potential?

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When a diversified company can add value by shifting capital from business units generating free cash flow to those needing additional capital to expand and realize their growth potential, this is called capital allocation or capital reallocation.

It involves identifying the various business units of a diversified company and analyzing their individual performance. Business units that generate significant cash flows can be identified and their resources redirected towards the underperforming units that need additional capital to grow. Effective capital allocation can help optimize the overall performance of a diversified company, enhance shareholder value, and increase overall profitability.

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f fixed costs are $400,000 and the unit contribution margin is $20, the amount of units that must be sold in order to have a zero profit is a. 400,000 units b. 25,000 units c. 10,000 units d. 20,000 units

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The amount of units that must be sold in order to have a zero profit is 20,000 units. So, the correct answer is D.

How to determine the number of units

To calculate the number of units that must be sold in order to have a zero profit, we can use the formula: Breakeven Point (units) = Fixed Costs / Unit Contribution Margin

Substituting the given values, we get:

Breakeven Point (units) = $400,000 / $20 = 20,000 units

Therefore, the correct answer is d. 20,000 units.

This means that the company needs to sell at least 20,000 units to cover all its fixed costs and variable costs and break even. If the company sells less than 20,000 units, it will incur a loss.

On the other hand, if it sells more than 20,000 units, it will make a profit, which can be calculated by subtracting the total variable costs from the total revenue.

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The marketing team of "Hi" restaurant reduced the price of their special triple-decker with double cheese Gut Bomb from $4.35 to $3.75 in the hope of stimulating sales during the month of March. The total fixed costs of the restaurant increased by $5,700 in March due to the promotion of the special in the local press and printing advertising leaflets to be used inside the restaurants. The variable costs of the Gut Bomb remained the same at $1.47 per item. How many Gut Bomb specials must be sold during March to break-even with this new program?

Answers

The Hi restaurant must sell 2,500 Gut Bomb specials during the month of March to break-even with the new promotion. If they sell less than 2,500, they will not cover their fixed costs and will incur a loss. If they sell more than 2,500, they will make a profit.


The contribution margin per unit can be calculated as follows:
Contribution Margin = Selling Price per Unit - Variable Costs per Unit
Selling Price per Unit = $3.75 (as the price has been reduced from $4.35 to $3.75)
Variable Costs per Unit = $1.47 (as the variable costs of the Gut Bomb remained the same)
Therefore, Contribution Margin per Unit = $3.75 - $1.47 = $2.28

Now, we can calculate the break-even point by dividing the total fixed costs incurred during the month of March by the contribution margin per unit:
Break-even Point = Total Fixed Costs / Contribution Margin per Unit
Total Fixed Costs = $5,700 (as stated in the question)
Contribution Margin per Unit = $2.28 (as calculated above)
Therefore, Break-even Point = $5,700 / $2.28 = 2,500 Gut Bomb specials
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larry recorded the following donations this year:$660 cash to a family in need$2,720 to a church$580 cash to a political campaignto the salvation army household items that originally cost $1,360 but are worth $700.what is larry's maximum allowable charitable contribution if his agi is $60,800?

Answers

Larry's maximum allowable charitable contribution is $1,710, given his AGI of $60,800.

To determine Larry's maximum allowable charitable contribution, we need to calculate the limit based on his Adjusted Gross Income (AGI) and the type of organization he made donations to.

Cash donation to a family in need: This is a donation to an individual or non-charitable organization and is not deductible.

Donation to a church: Donations to religious organizations, like churches, are generally tax-deductible. The limit for charitable contributions to churches is 50% of AGI. So, Larry's maximum allowable contribution for his donation to the church is:

$2,720 * 50% = $1,360

Cash donation to a political campaign:

Donations to political campaigns are not tax-deductible.

Donation of household items to the Salvation Army:

Donations of household items to qualified charitable organizations, like the Salvation Army, are generally tax-deductible. The limit for non-cash donations is 30% of AGI. However, when the property is used by the charity for its tax-exempt purposes, like in this case, the limit is increased to 50% of AGI. The original cost of the household items was $1,360, but their current worth is $700. Larry can claim a deduction for the current worth of the items, which is $700.

So, his maximum allowable contribution for this donation is:

$700 * 50% = $350

Now, we can calculate Larry's total maximum allowable charitable contribution:

$1,360 (church donation) + $350 (Salvation Army donation) = $1,710

Therefore, Larry's maximum allowable charitable contribution is $1,710, given his AGI of $60,800.

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a call center expects an average of 520 calls during the 8 am to 5 pm shift during which full time workers are employed. the average service time is 6 minutes per call. what is the minimum number of workers to achieve a capacity buffer not less than 10%. 7 8 more than 8 less than 7

Answers

Therefore, the minimum number of workers required to achieve a capacity buffer not less than 10% is 58.

To determine the minimum number of workers required to achieve a capacity buffer not less than 10%, we need to use the following formula:

Minimum number of workers = (Total workload in minutes during shift) / (Available time in minutes x Capacity buffer)

First, we need to convert the number of calls and the service time to minutes:Average service time per call = 6 minutes

Total workload per call = 6 minutes + Average waiting time per call

We don't have information about the average waiting time per call, so we'll assume it's negligible for now. Therefore, the total workload per call is 6 minutes.

Average number of calls per shift = 520 calls

Total workload during shift = 520 calls x 6 minutes per call = 3,120 minutes

Available time during shift = 9 hours x 60 minutes per hour = 540 minutes

Capacity buffer = 10% = 0.1

Plugging these values into the formula, we get:

Minimum number of workers = 3,120 / (540 x 0.1) = 57.78

Since we cannot have a fraction of a worker, we need to round up to the nearest whole number.

Minimum number of workers = 58, Therefore, the answer is more than 8 workers.

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lead capacity strategy is a reactive approach that adjusts its capacity in response to demand. true false

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The statement is false. The lead capacity strategy is a proactive approach that involves increasing capacity in anticipation of future demand.

This strategy requires careful forecasting and planning to ensure that the capacity increase aligns with expected demand levels. By increasing capacity in advance, companies can avoid shortages and backlogs, improve customer satisfaction, and reduce the risk of lost sales.

This approach also allows companies to take advantage of economies of scale and reduce unit costs, which can lead to increased profitability. Overall, the lead capacity strategy is a proactive approach that aims to ensure that a company has sufficient capacity to meet future demand.

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According to the Accounting: The Language of Business video, managerial accounting reports can be put together with more _____ because they're just intended for people inside the company.

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According to the Accounting: The Language of Business video, managerial accounting reports can be put together with more detail and specificity because they are intended for internal use within the company.

Unlike financial accounting reports, which are prepared for external users such as investors and creditors, managerial accounting reports are designed to help management make informed decisions about the business.

These reports can include information on budgeting, cost analysis, performance metrics, and other key indicators that are essential for effective decision-making. Because they are not subject to the same regulatory requirements as financial accounting reports, managerial accounting reports can be customized to fit the specific needs of the company and its management team. This flexibility allows for greater detail and specificity in the reporting process, which can be crucial in identifying areas of the business that require improvement or investment.

Overall, the purpose of managerial accounting reports is to provide accurate, relevant, and timely information to management, so they can make informed decisions about the company's future. By tailoring these reports to the unique needs of the company and its management team, businesses can gain a competitive advantage and stay ahead of the curve in an ever-changing business environment.

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when 's share price reached $745 per share, had an eps of $26.5 and an estimated market capitalization rate of 11.5%. pays no dividends. approximately how much is the pvgo in 's stock price?

Answers

The PVGO in 's Stock price is about $280.09.

To calculate the present value of growth opportunities (PVGO), we first want to calculate the intrinsic price of the stock using the dividend discount model (DDM):

Intrinsic cost = EPS / (r - g)

in which

EPS = profits according to share

r = market capitalization fee

g = predicted growth rate

given that does not pay any dividends, we are able to use the income in line with proportion (EPS) as a proxy for the dividend.

the use of the given information, we've got:

EPS = $26.5

r = 11.5%

share price = $745 according to proportion

To locate the expected growth charge (g), we will use the Gordon increase model:

percentage charge = (EPS * (1 + g)) / (r - g)

Rearranging the formula, we get:

g = (r * EPS - percentage fee * (r - 1)) / share price

Substituting the given values, we get:

g = (0.115 * $26.5 - $745 * (0.115 - 1)) / $745 = -0.105

The negative increase charge means that the marketplace expects the agency's profits to say no inside the future. this will occur because of various factors along with multiplied competition, adjustments in market situations, and so on.

Now, we can calculate the intrinsic value of the stock using the DDM formula:

Intrinsic price = EPS / (r - g) = $26.5 / (0.115 - (-0.one zero five)) = $464.91

In the end, we will calculate the PVGO by way of subtracting the intrinsic fee from the current inventory charge:

PVGO = proportion charge - Intrinsic value = $745 - $464.91 = $280.09

Consequently, the PVGO in 's inventory price is about $280.09.

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which non-customers typically are aware of your product, but don't use it because either it's unacceptable, or they can't afford it?

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The second-tier customers are aware of your product, but don't use it because either it's unacceptable, or they can't afford it

A set of potential consumers who are second tier customers are those who are aware of the product but do not utilise it either because they find it unsatisfactory or they cannot afford it. These clients could be somewhat interested in the goods, but they are unable or unwilling to purchase it at current price or under the present circumstances.

Due to this, businesses might need to modify their pricing and marketing plans in order to appeal to this segment of potential clients. This could entail making the product better to make it more desirable or cheaper to make it more accessible. Companies could also need to resolve issues and think about other marketing platforms or messaging. Businesses may grow revenues and their client base by focusing on second tier customers.

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for 2019, Goodwater company reported 2.74 of earnings per shareof common stock. During 2020, the firm had a 5% common stockdividend. The 2019 earnings per share to be reported in the annualreport o f 2020A. 1.70B. 2.61C. 1.90D. 1.82

Answers

The 2019 earnings per share to be reported in the 2020 annual report is 2.61. Therefore, the correct option is B.

To find the adjusted 2019 earnings per share to be reported in the annual report of 2020, we need to consider the impact of the 5% common stock dividend on the 2019 earnings per share.

In order to calculate the 2019 earnings per share, follow these steps:

1. Determine the 2019 earnings per share: 2.74

2. Calculate the impact of the 5% common stock dividend: 2.74 * 0.05 = 0.137

3. Subtract the impact of the dividend from the original earnings per share: 2.74 - 0.137 = 2.603

Therefore, The 2019 earnings per share to be reported in the annual report of 2020 is approximately 2.61 which corresponds to the option B.

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payment history, age of accounts, credit usage, and types of accounts are factors considered in calculating a credit score. what's also a factor?

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The total amount due on all accounts is taken into consideration when establishing a credit score. By dividing the entire amount of outstanding balances by the aggregate credit limit across all accounts, credit utilization—also known as credit use—is computed.

Another factor that is considered in calculating a credit score is the total amount of debt owed on all accounts. This is known as credit utilization and is calculated by dividing the total amount of outstanding balances by the total credit limit across all accounts. A high credit utilization ratio can negatively impact a credit score, while a lower ratio can have a positive effect. It is important to maintain a good payment history, have a mix of different types of accounts, and keep credit utilization low in order to maintain a healthy credit score.

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a business has undergone a rash of break-ins and burglaries. as a result, the owner of the business wishes to bring in a polygraph examiner to administer tests for all of the employees. which of the following concerning the administration of the tests is false? group of answer choices the employer is required to provide employees with a written statement prior to the test that fully explains the activity being investigated. the employer must provide employees a statement containing reasonable written notice of the date, time, and place of the examination. employees must be informed of their right to consult with legal counsel. the employer does not have to provide information about what incident the employees will be questioned about.

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In the scenario where a business owner wishes to administer polygraph tests to all employees due to break-ins and burglaries, the false statement among the given choices is "the employer does not have to provide information about what incident the employees will be questioned about."

In this situation, the employer is required to provide employees with a written statement prior to the test that fully explains the activity being investigated. The employer must also provide employees a statement containing reasonable written notice of the date, time, and place of the examination. Additionally, employees must be informed of their right to consult with legal counsel before taking the polygraph test. However, the employer cannot withhold information about the incident that employees will be questioned about as this can affect the accuracy of the test results and infringe upon the rights of the employees.

The false statement is "the employer does not have to provide information about what incident the employees will be questioned about."
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Your broker charges $0.0028 per share per trade. The exchange charges $0.0167 per share per trade for removing liquidity and credits $0.0149 per share per trade for adding liquidity. The current best BID price for stock XYZ is $81.77 per share, while the current best ASK price is $81.78 per share. You post an order to buy XYZ at the current best BID price and wait. Shortly after, the best BID and ASK prices move lower (down) by one cent each. Your buy order is executed. Immediately, you post an order to sell XYZ at the new best ASK price and wait. Shortly after, the best BID and ASK prices move higher (up) by one cent each. Your sell order is executed. What will be your net profit per share to buy and sell XYZ after considering the commissions and any exchange fees or credits?

Answers

The net profit per share for buying and selling XYZ after considering the commissions and exchange fees/credits is $0.0024.

How to calculate the net profit per share?

To calculate the net profit per share, we need to consider the following costs and revenues:

Broker commission: $0.0028 per share per trade

Exchange fee for removing liquidity: $0.0167 per share per trade

Exchange credit for adding liquidity: $0.0149 per share per trade

Let's first calculate the total cost of buying and selling one share of XYZ:

Buying cost: $81.77 (BID price) + $0.0028 (broker commission) + $0.0167 (exchange fee for removing liquidity) = $81.7895

Selling revenue: $81.78 (ASK price) - $0.0028 (broker commission) + $0.0149 (exchange credit for adding liquidity) = $81.7919

The net profit per share is the difference between the selling revenue and buying cost:

Net profit per share = Selling revenue - Buying cost = $81.7919 - $81.7895 = $0.0024

Therefore, the net profit per share for buying and selling XYZ after considering the commissions and exchange fees/credits is $0.0024.

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Assume Highline Company has just paid an annual dividend of $1.03. Analysts are predicting an 10.9% per year growth rate in earnings over the next five years. After then, Highline's earnings are expected to grow at the current industry average of 4.9% per year. If Highline's equity cost of capital is 7.7% per year and its dividend payout ratio remains constant, for what price does the dividend-discount model predict Highline stock should sell? The value of Highline's stock is $ (Round to the nearest cent.)

Answers

The price predicted by the dividend-discount model for Highline's stock is $34.41.

Using the dividend-discount model, the value of Highline's stock can be calculated as follows:

PV = D1/(r-g)

where:

PV = Present value of stock

D1 = Expected dividend one year from now

r = Equity cost of capital

g = Expected growth rate of dividends

To find D1, we need to calculate the expected dividend for next year based on the current dividend and the expected growth rate:

D1 = D0 x (1 + g) = $1.03 x (1 + 0.109) = $1.1397

where:

D0 = Current dividend

Next, we can substitute the values into the formula:

PV = $1.1397 / (0.077 - 0.049) = $34.41

Therefore, the dividend-discount model predicts that Highline's stock should sell for $34.41.

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an administered vertical marketing system is best represented by which of the following programs? group of answer choices everett clinic, which operates more than 25 clinic sites beyond its main location in everett, washington teladoc, a web-based provider of physician consults the urgent care center at o'hare, which is run by the university of illinois health system the hospital for special surgery in new york, which operates facilities in florida and on long island

Answers

This example demonstrates a healthcare organization overseeing and coordinating various facilities under one centralized administration, fitting the concept of an administered vertical marketing system.

An administered vertical marketing system is best represented by the hospital for special surgery in New York, which operates facilities in Florida and on Long Island. This is because an administered vertical marketing system involves a single entity (in this case, the hospital for special surgery) that owns multiple levels of the distribution chain, such as manufacturing, distribution, and retailing.

In this case, the hospital for special surgery owns and operates facilities in multiple locations, making it an example of an administered vertical marketing system. The Everett Clinic, Teladoc, and the urgent care center at O'Hare are not examples of administered vertical marketing systems.

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question content area comprehensive problem 3 part 2: the following is a comprehensive problem which encompasses all of the elements learned in previous chapters. you can refer to the objectives for each chapter covered as a review of the concepts. note: you must complete part 1 before completing part 2. based on the following data, prepare a bank reconciliation for december of the current year: a. balance according to the bank statement at december 31, $283,000. b. balance according to the ledger at december 31, $245,410. c. checks outstanding at december 31, $68,540. d. deposit in transit, not recorded by bank, $29,500. e. bank debit memo for service charges, $750. f. a check for $12,700 in payment of an invoice was incorrectly recorded in the accounts as $12,000. kornett company bank reconciliation december 31, 20y5 $fill in the blank 2 fill in the blank 4 fill in the blank 6 adjusted balance $fill in the blank 7 $fill in the blank 9 $fill in the blank 11 fill in the blank 13 total deductions fill in the blank 14 adjusted balance $fill in the blank 15

Answers

In this comprehensive problem, we are tasked with preparing a bank reconciliation for the month of December based on given data. The balance according to the bank statement at the end of the month was $283,000, while the balance according to the ledger was $245,410. There were checks outstanding at the end of the month worth $68,540 and a deposit in transit not recorded by the bank worth $29,500. Additionally, the bank charged a service fee of $750, and a payment of $12,700 was incorrectly recorded in the accounts as $12,000.

To prepare the bank reconciliation, we must first adjust the balance according to the ledger by adding any deposits in transit and subtracting any outstanding checks. This gives us an adjusted balance of $206,370. Next, we can compare this balance to the balance on the bank statement and make any necessary adjustments. In this case, we must add the deposit in transit and subtract the bank service fee, resulting in an adjusted bank balance of $312,750.

We can then compare the adjusted balances and make any necessary adjustments. In this case, we must add the amount of the incorrectly recorded payment to the ledger balance and subtract it from the bank balance. This results in an adjusted ledger balance of $258,110 and an adjusted bank balance of $300,050.

Finally, we can calculate the total deductions by adding up any outstanding checks and bank service charges. In this case, the total deductions amount to $69,290. We can then fill in the blanks in the bank reconciliation and confirm that the adjusted ledger and bank balances match.

In conclusion, bank reconciliations are an important tool for ensuring the accuracy of financial records and detecting any discrepancies between the bank statement and ledger balances. Through this comprehensive problem, we have demonstrated how to prepare a bank reconciliation using the given data and adjust the balances accordingly.

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which of the following is not a component of the dupont analysis? a. asset turnover b. profit margin c. debt-to-equity ratio d. equity multiplier

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The equity multiplier is not a component of the Dupont Analysis. The equity multiplier is a financial ratio used to measure the amount of leverage a company is using.

It is calculated by dividing a company’s total assets by its total equity. The Dupont Analysis, on the other hand, is used to analyze a company’s financial performance. It does this by breaking down return on equity into three components: return on assets, asset turnover, and equity multiplier.

The equation for the Dupont analysis is ROE = (Net Profit/Sales) x (Sales/Assets) x (Assets/Equity). By breaking down return on equity into these three components, the Dupont analysis allows investors to gain a better understanding of a company’s financial performance.

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4) For mutual funds, a Balanced Growth and Income Fund contain both growth stocks and stocks that pay high dividends. This type of fund__________________________________________.
a) focuses on firms that pay a high level of dividends with less focus on growth.
b) distributes dividends periodically, while offering more potential for an increase in the fund’s value.
c) focuses on firms that are more established than small-cap firms but may have less growth potential.
d) focuses on stocks that have potential for above-average growth.
e) attempts to mirror the movements of an existing equity index.

Answers

For mutual funds, a Balanced Growth and Income Fund contain both growth stocks and stocks that pay high dividends. This type of fund b) distributes dividends periodically, while offering more potential for an increase in the fund’s value.

Balanced Growth and Income Funds typically invest in large-cap stocks that are more established than small-cap firms but still have some growth potential. These funds may also invest in bonds or other fixed-income securities to further diversify the portfolio and reduce risk.

The main advantage of a Balanced Growth and Income Fund is that it offers investors both growth potential and regular income. The fund distributes dividends periodically, which can provide a steady stream of income for investors. At the same time, the fund also offers potential for an increase in the fund's value through investments in growth stocks.

Overall, a Balanced Growth and Income Fund can be a good option for investors who want a balanced portfolio of growth and income investments. However, it's important to carefully consider the fund's investment objectives, fees, and historical performance before investing.

Therefore, the correct answer is b) distributes dividends periodically, while offering more potential for an increase in the fund’s value.

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Consider the following case: Falcon Freight is evaluating a proposed capital budgeting project (project Sigma) that will require an initial investment of $750,000. Falcon Freight has been basing capital budgeting decisions on a project's NPV; however, its new CFO wants to start using the IRR method for capital budgeting decisions. The CFO says that the IRR is a better method because returns in percentage form are easier to understand and compare to required returns. Falcon Freight's WACC is 10%, and project Sigma has the same risk as the firm's average project. The project is expected to generate the following net cash flows:
Year Cash Flow
Year 1 $ 350.000
Year 2 $ 475.000
Year 3 $ 400.000
Year 4 $ 475.000
Which of the following is the correct calculation of project Sigma's IRR? a.41.00% b.36.90% c.34.85% d.38.95%

Answers

The IRR (Internal Rate of Return) of project Sigma is 38.95%. Therefore, the correct option is D.

To calculate the IRR (Internal Rate of Return), we can use the following steps:

1. Set the NPV (Net Present Value) equation to zero, which includes the initial investment and the discounted cash flows for each year.

0 = -$750,000 + ($350,000 / (1 + IRR)^1) + ($475,000 / (1 + IRR)^2) + ($400,000 / (1 + IRR)^3) + ($475,000 / (1 + IRR)^4)

2. Solve for the IRR using trial and error, a financial calculator, or software such as Excel's IRR function.

After calculating the IRR using any of these methods, you will find that IRR (Internal Rate of Return) is 38.95%.

Hence, the correct calculation of project Sigma's IRR is option D: 38.95%.

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plaza sunset purchased a new building for $910,000 on october 31, 2021. annual depreciation on the building is $36,000. calculate the net book value of the building that will appear on the december 31, 2022 balance sheet.

Answers

The net book value of the building on the December 31, 2022 balance sheet will be $868,000.

How to calculate the net book value

Plaza Sunset purchased a new building for $910,000 on October 31, 2021. The annual depreciation for the building is $36,000.

To calculate the net book value of the building that will appear on the December 31, 2022 balance sheet, we need to consider the depreciation for both 2021 and 2022. In 2021, there are 2 months (November and December) in which depreciation occurs.

The monthly depreciation is $36,000 / 12 months = $3,000 per month. Therefore, the depreciation in 2021 is $3,000 * 2 months = $6,000. In 2022, the entire annual depreciation of $36,000 applies.

The total depreciation from October 31, 2021 to December 31, 2022 is $6,000 (2021) + $36,000 (2022) = $42,000.

To find the net book value on December 31, 2022, we subtract the total depreciation from the purchase price:

$910,000 - $42,000 = $868,000.

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a(n) ______________ advances the insertion point to the beginning of the next physical line.

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A(n) "hard return" or "carriage return" advances the insertion point to the beginning of the next physical line. A hard return is a character inserted into a document or text field that tells the computer to start a new line or paragraph.

A hard return is a type of line break that is created when the "Enter" key is pressed on a computer keyboard. It is called a "hard" return because it creates a physical break in the text and moves the cursor or insertion point to the next line. Hard returns are commonly used in documents and other types of text to create paragraphs, headings, and other formatting elements. In contrast, a soft return, also known as word wrap, is a feature that automatically moves text to the next line when the end of the line is reached without requiring the user to manually insert a hard return. Soft returns are commonly used in word processing programs and other software applications to make text more readable and to ensure that it fits within the available space. Hard returns and soft returns serve different purposes and are used in different contexts, but they both play an important role in creating well-formatted and easily readable text.

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A "carriage return" advances the insertion point to the beginning of the next physical line.

A carriage return, sometimes known as a cartridge return and often shortened to CR, <CR> or return, is a control character or mechanism used to reset a device's position to the beginning of a line of text. It is closely associated with the line feed and newline concepts, although it can be considered separately in its own right.

Originally, the term "carriage return" referred to a mechanism or lever on a typewriter. For machines where the type element was fixed and the paper held in a moving carriage, this lever was on the left attached to the moving carriage, and operated after typing a line of text to cause the carriage to return to the far right so the type element would be aligned to the left side of the paper. The lever would also usually feed the paper to advance to the next line.

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1. A bank has a $1 million market value position in a 6-year, zero coupon bond. The bond is yielding 8%. The mean change in the daily yields of the 6-year, zero coupon bond has been 2 basis points over the past year with a standard deviation of 10 basis points. Using these data and assuming the yield changes are normally distributed:
(a) What is the highest yield change expected if a 99 percent confidence level is required?
(b) What is the daily earnings at risk ( DEAR ) using a 99 percent confidence level?
(c) Please interpret in words the meaning of the DEAR you calculated in part (b).

Answers

(a) The highest yield change expected at a 99% confidence level can be calculated using the formula:


Highest yield change = Mean yield change + Z-score * Standard deviation


Here, the Z-score at a 99% confidence level is 2.33 (obtained from a standard normal distribution table). Plugging in the values, we get:
Highest yield change = 2 basis points + 2.33 * 10 basis points = 23.3 basis points

(b) The daily earnings at risk (DEAR) can be calculated using the formula:


DEAR = Market value of bond * Highest yield change * (-1)
Plugging in the values, we get:
DEAR = $1 million * 23.3 basis points * (-1) = -$2,330

(c) The DEAR calculated in part (b) represents the potential daily loss that the bank may incur due to changes in the yield of the 6-year, zero coupon bond. Specifically, if the yield of the bond were to increase by the highest expected change (23.3 basis points), the market value of the bond would decrease by $2,330.

This highlights the importance of managing interest rate risk and having adequate risk management strategies in place to mitigate potential losses.

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Carnes Cosmetics Co.'s stock price is $55, and it recently paid a $1.so dividend. This dividend is expected to grow by 21% for the next 3 years, then grow forever at a constant rate, 9; and ts - 14%. At what constant rate is the stock expected to grow after Year 3? Do not round intermediate calculations. Round your answer to two decimal places.

Answers

Answer:

The constant growth rate after Year 3 is expected to be 9.65%.

Explanation:

To calculate the constant growth rate after year 3, we can use the dividend discount model.

First, we need to calculate the dividend per share at the end of each of the next three years:

Year 1 dividend = $1.00 x (1 + 21%) = $1.21

Year 2 dividend = $1.21 x (1 + 21%) = $1.46

Year 3 dividend = $1.46 x (1 + 21%) = $1.77

Next, we need to calculate the expected price of the stock after three years, which is the present value of all future dividends:

PV = D1 / (1 + r) + D2 / (1 + r)^2 + D3 / (1 + r)^3 + P3 / (1 + r)^3

where D1, D2, and D3 are the dividends for the next three years, P3 is the expected stock price at the end of Year 3, and r is the required rate of return.

Assuming a required rate of return of 14%, we can solve for P3:

P3 = (1.77 x 1.21 x 1.14^2 + 1.77 x 1.14^2 + 55) / (1 + 0.14)^3

P3 = $59.06

Finally, we can use the Gordon growth model to calculate the constant growth rate after Year 3:

P3 = D4 / (r - g)

59.06 = 1.77 x (1 + g)^3 / (0.14 - g)

Solving for g, we get:

g = 9.65%

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What is the advantage of using common sized financial statements over those denominated in the currency of the country in which the corporation is incorporated?
A. The analyst no longer has to know anything about the foreign exchange rate of one company to another.
B. Common sized statements are easier to compare with other like companies.
C. None of the above.
D. Common sized statements do not consider accrual accounting principles.
E. Common size statements are required by GAAP, but not IFRS. Common size statements are required by GAAP, but not IFRS.

Answers

The advantage of using common-sized financial statements over those denominated in the currency of the country in which the corporation is incorporated is B. common-sized statements are easier to compare with other like companies.

Common-sized financial statements express each line item as a percentage of a key financial figure, such as revenue or total assets, which makes it simple to analyze and compare the financial performance and structure of different companies, regardless of their size or the currency they operate in. This standardized format allows analysts to quickly identify trends, evaluate efficiency, and compare a company's performance against industry benchmarks or competitors, without needing to know the foreign exchange rate.

However, it is important to note that common-sized statements do not replace the need for a thorough understanding of a company's financial health and the underlying factors that influence its performance. The advantage of using common-sized financial statements over those denominated in the currency of the country in which the corporation is incorporated is B. common-sized statements are easier to compare with other like companies.

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