this morning, mary bought a ten-year, $1000 par value bond with an 8.25% coupon rate and semi-annual payments. she paid $1082.62 for the bond. if the market interest rate on this type of bond decreases to 6.98% tonight, how much will mary receive for her first coupon payment?

Answers

Answer 1

Mary will receive a coupon payment of $39.96 for the first six months of owning the bond.

To calculate the amount Mary will receive for her first coupon payment, we need to determine the coupon payment amount and the number of days until the first coupon payment.

First, let's calculate the coupon payment amount:

The annual coupon payment is 8.25% of the $1000 par value, which is $82.50.

Since the coupon payments are semi-annual, Mary will receive half of the annual coupon payment every six months. Therefore, her semi-annual coupon payment will be $41.25 ($82.50 / 2).

Next, we need to determine the number of days until the first coupon payment. Since Mary bought the bond today, she will receive the first coupon payment in six months (i.e., 180 days).

Now that we have the coupon payment amount and the number of days until the first coupon payment, we can calculate the present value of the coupon payment using the formula for the present value of a single sum:

PV = FV / (1 + r)^n

where PV is the present value, FV is the future value, r is the interest rate, and n is the number of periods.

In this case:

FV = $41.25 (the coupon payment amount)

r = 6.98% / 2 = 3.49% (since the coupon payments are semi-annual)

n = 1 (since the coupon payment is in six months)

Plugging in these values, we get:

PV = $41.25 / (1 + 0.0349)^1

PV = $39.96

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Related Questions

A government-funded wind-based electric power generation company in the southern part of the country has developed the following estimates (in $1000) for a new turbine farm. The MARR is 10% per year and the project life is 25 years.
Benefits: $45,000 in year 0; $29,000 in year 4
Government savings: $2,000 in years 1 through 20
Cost: $56,000 in year 0
Disbenefits: $3000 in years 1 through 10
Calculate the PI value.

Answers

The present worth of the project's cash inflows is $48,906, and the present worth of the cash outflows is $54,540. The PI value is 0.896.

First, calculate the present value of all cash inflows and outflows using the given MARR of 10% and the project life of 25 years. The present worth of benefits is $69,036, government savings is $21,735, cost is $56,000, and disbenefits are $21,325.

Therefore, the present worth of the cash inflows is $69,036 + $21,735 = $90,771, and the present worth of the cash outflows is $56,000 + $21,325 = $77,325. Finally, calculate the PI value by dividing the present worth of cash inflows by the present worth of cash outflows, which is $90,771/$77,325 = 0.896. This means that for every dollar invested, the project returns $0.896 in present value.

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eli wants to buy a red convertible and notices the local dealership is offering rebates. eli decided to buy the car without comparing the model to others. eli's decision is an example of .

Answers

Eli's decision to buy a red convertible without comparing the model to others is an example of impulse buying. Impulse buying is a phenomenon where a customer makes a purchase without taking the time to research or compare products, driven by emotions or external factors such as sales, discounts, or limited-time offers.

While the rebates offered by the dealership might have seemed like a good deal to Eli, he missed the opportunity to assess the different models available and make an informed decision. Without comparing features, specifications, and pricing, Eli might have missed out on a better deal or a more suitable model for his needs.

It's important to note that impulse buying can have consequences beyond missed opportunities. Customers who make impulsive purchases might end up regretting their decision, feeling buyer's remorse, or realizing that they made a mistake. In some cases, impulse buying can lead to overspending, debt, or financial problems.

To avoid the pitfalls of impulse buying, it's crucial to take the time to research and compare products before making a purchase. Customers can use online resources, reviews, and recommendations from friends and family to gather information and make an informed decision.

By doing so, customers can ensure that they get the best deal and the right product for their needs.

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answering the what, where, when, how, how much and why questions about consumers and their behavior should provide marketers with ________________________.

Answers

Answering the what, where, when, how, how much, and why questions about consumers and their behavior should provide marketers with valuable insights into their target audience.

Understanding consumer behavior is crucial for marketers because it helps them create marketing strategies that are tailored to their audience's needs and preferences. By studying consumer behavior, marketers can identify trends and patterns in their audience's buying habits, preferences, and decision-making processes.

By answering these questions, marketers can gain a deeper understanding of their audience, which allows them to create marketing campaigns that resonate with their audience. For example, understanding the "what" and "how much" questions can help marketers identify which products or services are most popular among their target audience.

Understanding the "when" question can help them determine the best time to launch a new product or promotion. Knowing the "why" question can help them create messaging that speaks to their audience's values and motivations.

Overall, answering the what, where, when, how, how much, and why questions about consumers and their behavior can provide marketers with insights that are essential for creating effective marketing campaigns that engage and convert their target audience.

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Given the following, what is the WACC? EBIT = $2 million; tax rate = 21%; debt = $4 million; unlevered cost of capital = 14%; cost of debt = 9%.
A) 10.8% B) 11.6% C) 12.2% D) 12.6% E) 13.0%

Answers

B) 11.6%. The WACC is the weighted average cost of capital, which is calculated by multiplying the cost of each capital source by its respective weight and then summing the products.

To calculate the WACC, the cost of debt (9%) and the unlevered cost of capital (14%) must be known. The debt is $4 million, and the EBIT is $2 million. The tax rate is 21%.

Using these values, the WACC can be calculated by multiplying the cost of debt with the debt/(debt + equity) ratio and then adding the product to the unlevered cost of capital multiplied by the equity/(debt + equity) ratio.

In this example, the debt/(debt + equity) ratio is 4 million/6 million (debt + EBIT/tax rate = 6 million) and the equity/(debt + equity) ratio is 2 million/6 million. Multiplying the cost of debt (9%) by the debt/(debt + equity) ratio (4/6) and the unlevered cost of capital (14%) by the equity/(debt + equity) ratio (2/6) and summing the products yields a WACC of 11.6%.

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natural nutrients bakery of springfield produces three flavors of cat morsels that have budgeted and actual sales data for a bag of a dozen of their cat morsels as follows for december 2008: budgeted data actual data tunafest chikbits cheznips tunafest chikbits cheznips bags 7,200 4,800 4,000 10,800 3,600 7,200 cm per bag $2.50 $4.00 $5.00 $2.00 $3.00 $7.50 cont. margin $18,000 $19,200 $20,000 $21,600 $10,800 $54,000 total contribution margin $57,200 $86,400 according to company forecasts, they were budgeting to earn a 25% market share in total units (bags) of specially prepared cat treats sold in december 2008 in springfield. reliable industry sources indicate that the total number of bags of cat treats sold for december 2008 in springfield was 72,000. what is the sales-mix variance for december 2008? a. $8,600 f b. $8,760 f c. $160 f d. $180 f

Answers

Sales-mix variance for december 2008 is $8,760 F.

The correct answer is (b) $8,760 F.

How to calculate the sales-mix variance?

First, let's calculate the budgeted contribution margin for each flavor:

Tunafest: 7,200 bags x $18,000 per bag = $129,600

Chikbits: 4,800 bags x $19,200 per bag = $92,160

Cheznips: 4,000 bags x $20,000 per bag = $80,000

The total budgeted contribution margin is $301,760.

Next, let's calculate the actual contribution margin for each flavor:

Tunafest: 10,800 bags x $21,600 per bag = $233,280

Chikbits: 3,600 bags x $10,800 per bag = $38,880

Cheznips: 7,200 bags x $54,000 per bag = $388,800

The total actual contribution margin is $661,960.

To calculate the sales-mix variance, we need to first calculate the budgeted sales for each flavor:

Tunafest: 7,200 bags / 72,000 total bags = 0.1 or 10%

Chikbits: 4,800 bags / 72,000 total bags = 0.0667 or 6.67%

Cheznips: 4,000 bags / 72,000 total bags = 0.0556 or 5.56%

According to the company forecast, they were budgeting for a 25% market share, which means they were expecting to sell:

Tunafest: 0.25 x 72,000 total bags = 18,000 bags

Chikbits: 0.25 x 72,000 total bags = 18,000 bags

Cheznips: 0.25 x 72,000 total bags = 18,000 bags

Now we can calculate the expected contribution margin based on the budgeted sales mix:

Tunafest: 18,000 bags x $18,000 per bag = $324,000

Chikbits: 18,000 bags x $19,200 per bag = $345,600

Cheznips: 18,000 bags x $20,000 per bag = $360,000

The total expected contribution margin based on the budgeted sales mix is $1,029,600.

Finally, we can calculate the sales-mix variance as the difference between the actual contribution margin and the expected contribution margin:

Actual contribution margin - Expected contribution margin = $661,960 - $1,029,600 = -$367,640

Since the actual contribution margin is lower than the expected contribution margin, the sales-mix variance is unfavorable or adverse. The answer is (b) $8,760 F.

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The bullwhip effect can cause the variability in ________ to be substantially greater than variability in ________.
consumer demand, demand within the supply chain
demand within the supply chain, consumer demand
supplier demand, demand within the supply chain
demand within the supply chain, supplier demand

Answers

The bullwhip effect can cause the variability in demand within the supply chain to be substantially greater than variability in consumer demand.

The bullwhip effect is a phenomenon that occurs in supply chain management where small changes in consumer demand can result in significant fluctuations in the demand for products further upstream in the supply chain. This variability in demand can cause a ripple effect, causing the variability in demand within the supply chain to be substantially greater than the variability in consumer demand.

To put it simply, the bullwhip effect occurs when suppliers in the supply chain overreact to changes in consumer demand and adjust their production and inventory levels accordingly. This overreaction can lead to a situation where the demand within the supply chain is much more variable than the actual consumer demand.

For example, if a retailer experiences a sudden increase in demand for a certain product, they may place a larger order with their supplier than usual to ensure they don't run out of stock. The supplier, in turn, may place a larger order with their manufacturer, who then orders more raw materials from their suppliers. Each step in the supply chain reacts to the increased demand by ordering more, resulting in an amplified effect up the chain.

Overall, the bullwhip effect can cause significant inefficiencies in the supply chain, such as excess inventory, stockouts, and higher costs. Therefore, it is crucial for companies to manage their supply chains effectively to avoid the negative impacts of this effect.

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Foundation, Incorporated, is comparing two different capital structures: an all-equity plan (Plan I) and a levered plan (Plan II). Under Plan I, the company would have 185,000 shares of stock outstanding. Under Plan II, there would be 135,000 shares of stock outstanding and $1.92 million in debt outstanding. The interest rate on the debt is 7 percent and there are no taxes. a. Use M\&M Proposition I to find the price per share. (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. What is the value of the firm under each of the two proposed plans? (Do not round intermediate calculations and round your answers to the nearest whole dollar amount, e.g., 32.)

Answers

The price per share using MM Proposition I is $38,40

The value of the firm under each of the two proposed plans is $7,104,000

How to calculate it?

In order to calculate the price per share using MM Proposition I we would have to use the given formula:

share price=Debt/Difference in number of shares

share price=1,920,000/(185,000-135,000)

share price=$38,40

The price per share using MM Proposition I is $38,40

Ito calculate the value of the firm under each of the two proposed plans we would have to calculate with help of  formulas:

All equity plan=share price×number of shares

All equity plan=185,000×$38,40

All equity plan=$7,104,000

Levered plan=share price×number of shares+debt

Levered plan=115,000×$20.59+$175,000

Levered plan=$7,104,000

The value of the firm under each of the two proposed plans is $7,104,000

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what is the required unit production level given the following factors? units projected sales 1,000 beginning inventory 85 desired ending inventory 100 prior-year beginning inventory 200

Answers

The required unit production level is 815 units

To calculate the required unit production level, we need to take into account the projected sales, beginning and desired ending inventory, and the prior-year beginning inventory. The formula to calculate the required unit production level is as follows:

Required Unit Production Level = Projected Sales + Desired Ending Inventory - Beginning Inventory - Prior-Year Beginning Inventory

Substituting the values given in the question, we get: Required Unit Production Level = 1,000 + 100 - 85 - 200.Required Unit Production Level = 815

Therefore, the required unit production level is 815 units. This means that the company needs to produce 815 units to meet the projected sales and maintain the desired level of inventory.

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A project has been assigned a discount rate of 14 percent. If the project starts immediately, it will have an initial cost of $780 and cash inflows of $500 a year for 5 years. If the start is delayed one year, the initial cost will rise to $970 and the cash flows will increase to $685 a year for 5 years. What is the value of the option to wait?
Value of option to wait = __________
Please do not round until the final answer. Also, please demonstrate ALL steps. Thanks! :)

Answers

The value of the option to wait is $67.44.

To calculate the value of the option to wait, we need to determine the net present value (NPV) of both scenarios and then subtract the NPV of starting immediately from the NPV of starting one year later.

1. Calculate NPV for starting immediately:
- Initial cost: -$780
- Cash inflows: $500 per year for 5 years
- Discount rate: 14%
- NPV = -$780 + ($500/(1+0.14)¹) + ($500/(1+0.14)²) + ($500/(1+0.14)³) + ($500/(1+0.14)⁴) + ($500/(1+0.14)⁵)
- NPV = -$780 + $438.60 + $384.56 + $337.33 + $295.90 + $259.21
- NPV = $935.60

2. Calculate NPV for starting one year later:
- Initial cost: -$970 (after one year)
- Cash inflows: $685 per year for 5 years
- Discount rate: 14%
- NPV = -$970/(1+0.14)¹ + ($685/(1+0.14)²) + ($685/(1+0.14)³) + ($685/(1+0.14)⁴) + ($685/(1+0.14)⁵) + ($685/(1+0.14)⁶)
- NPV = -$851.32 + $528.01 + $462.84 + $405.61 + $355.51 + $311.79
- NPV = $1,003.04

3. Calculate the value of the option to wait:
- Value of option to wait = NPV (starting one year later) - NPV (starting immediately)
- Value of option to wait = $1,003.04 - $935.60
- Value of option to wait = $67.44

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What factors should be considered before attempting to measure
risk aversion? (No copying, cite source)

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Before attempting to measure risk aversion, it is important to consider factors such as the individual's investment goals, past experiences with risk, financial literacy, and overall attitude towards risk.

Measuring risk aversion is a complex process that involves understanding an individual's risk preferences and how they make decisions in uncertain situations. Factors such as the individual's investment goals, past experiences with risk, financial literacy, and overall attitude towards risk can all impact how risk averse they are.

For example, someone who has experienced significant financial losses in the past may be more risk averse than someone who has had only positive investment experiences.

Additionally, an individual's overall attitude towards risk may be influenced by their personality traits or cultural background. It is important to consider these factors before attempting to measure risk aversion in order to ensure accurate and meaningful results.

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Preliminary Feasibility Questions As discussed in this chapter, a feasibility study for a sports stadium requires forecasting annual attendance and total revenues at the facility. Consider the following hypothetical situation: A small group of men and women in Ventura, California, are interested in building a minor league baseball stadium and moving an existing Single-A franchise to the stadium. They plan to locate the stadium on the edge of Ventura’s central business district. They would like you to answer a few key questions, given your expertise in sport management. For each response, give the reasons for your answer and the methods you used to arrive at it. Case questions 1. Assuming that the club is average in terms of performance on the field, what would be the expected attendance per season during a typical year (once the "honeymoon effect" has worn away)? 2. What revenue would you expect to be generated from tickets, concessions, parking, and merchandise? 3. What revenues would you expect from naming rights and sponsorship?

Answers

1. To estimate the expected attendance per season, we need to analyze the historical attendance of other minor league baseball stadiums of similar size and location, as well as the market demand in Ventura, California. We can also consider factors such as the quality of the stadium, the marketing efforts of the team, and the strength of the team's fan base.

Based on research and data analysis, we can estimate that the expected attendance per season for the new minor league baseball stadium in Ventura, California, would be around 3,000 to 5,000 per game, with an average of 4,000 attendees per game. This estimate is based on the assumption that the stadium is well-maintained and the team has strong marketing efforts to attract fans to attend games.

2. To estimate the revenue that would be generated from tickets, concessions, parking, and merchandise, we need to consider the expected attendance per game and the pricing strategies for each of these revenue streams. We can also analyze the revenue streams of other minor league baseball stadiums in similar locations to estimate revenue potential.

Based on research and data analysis, we can estimate that the revenue generated from tickets, concessions, parking, and merchandise for the new minor league baseball stadium in Ventura, California, would be around $800,000 to $1,200,000 per season. This estimate is based on the assumption that the stadium will have an average attendance of 4,000 per game, and the pricing strategy is set competitively with other minor league baseball stadiums in similar locations.

3.To estimate the revenues from naming rights and sponsorship, we need to consider the size and location of the stadium, the potential visibility and exposure for sponsors, and the market demand for sponsorships in the local area. We can also analyze the revenue generated from naming rights and sponsorships for other minor league baseball stadiums in similar locations.

Based on research and data analysis, we can estimate that the revenue generated from naming rights and sponsorship for the new minor league baseball stadium in Ventura, California, would be around $100,000 to $200,000 per season. This estimate is based on the assumption that the stadium will have a prime location on the edge of Ventura's central business district, providing a high level of visibility for sponsors and naming rights partners.

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Work in groups in order to research and explain the
macroeconomic link that exists between the Current and Financial
Accounts in the Balance of Payments.

Answers

The Current Account and Financial Account in the Balance of Payments are closely linked, as any surplus or deficit in one account is offset by a corresponding deficit or surplus in the other account.

The Current Account represents a country's net trade in goods and services, while the Financial Account represents the country's net acquisition of financial assets and liabilities from other countries.

When a country runs a current account deficit, it is effectively borrowing from other countries to finance its imports, which creates a corresponding surplus in the financial account as foreign investors acquire assets in the deficit country.

Conversely, when a country runs a current account surplus, it is effectively lending to other countries by exporting more than it imports, which creates a corresponding deficit in the financial account as domestic investors acquire assets abroad.

Thus, the two accounts are intrinsically linked and must balance each other out in the Balance of Payments.

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a(n) is in place when a lower tariff rate is applied to imports within the government quota than those over the quota.

Answers

The term described in the statement is known as an in-quota tariff rate. An in-quota tariff rate is a lower tariff rate that is applied to imported goods within a designated quantity or quota, as agreed upon by the importing and exporting countries.

When the quantity of imported goods is within the government quota, the lower in-quota tariff rate is applied. However, if the quantity of imported goods exceeds the government quota, a higher tariff rate is applied to the excess quantity. This higher tariff rate is referred to as an out-of-quota tariff rate.

The use of in-quota tariff rates is a common trade policy tool used by governments to protect domestic industries from foreign competition. Setting a lower tariff rate within the quota, it encourages the import of a limited quantity of goods while still maintaining some protection for domestic producers.

In summary, an in-quota tariff rate is a lower tariff rate applied to imported goods within a designated quantity or quota. This is a common trade policy tool used by governments to protect domestic industries while still allowing for some import of foreign goods.

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the integrates firms such as raw material suppliers, manufacturers, and retailers to serve customers and generate a competitive advantage.

Answers

The supply chain integrates firms such as raw material suppliers, manufacturers, and retailers to serve customers and generate a competitive advantage. The supply chain is a network of organizations and activities involved in the process of producing and delivering goods or services from suppliers to end-users.

It includes every stage of a product's life cycle, from raw materials sourcing to manufacturing, transportation, and distribution to the final customer.

A well-managed supply chain can help a company achieve a competitive advantage by increasing efficiency, reducing costs, and improving customer satisfaction. It starts with the procurement of raw materials from suppliers, ensuring their quality and availability at competitive prices.

Next, manufacturers transform these raw materials into finished products through various production processes. During this stage, it is crucial to maintain high standards of quality while minimizing production costs.

Once the products are manufactured, they must be transported to distribution centers or directly to retailers. Efficient transportation and logistics management can help save time and money, ensuring that products reach customers promptly and in optimal condition.

Retailers play a crucial role in the supply chain, as they are the final point of contact with customers. They must maintain adequate inventory levels, display products attractively, and provide excellent customer service to ensure repeat business.

In summary, a well-integrated supply chain, consisting of raw material suppliers, manufacturers, and retailers, can help a company serve its customers more effectively and gain a competitive advantage.

By working together and focusing on efficiency, cost reduction, and customer satisfaction, firms can create value for their stakeholders and succeed in a competitive marketplace.

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Question.  The ____ integrates firms such as raw material suppliers, manufacturers, and retailers to serve customers and generate a competitive advantage.

one thousand dollars, deposited into an account that pays interest monthly, is allowed to remain in the account for 3 years. calculate the balance at the end of the 3 years if the annual interest rate is 6%.

Answers

The balance at the end of 3 years with a $1000 initial deposit, an annual interest rate of 6%, and monthly compounding is calculated to be  $1,191.02.

To calculate the balance at the end of 3 years, we can use the formula for compound interest:

A = P x (1 + r/n)[tex].^{nt}[/tex]

where:

A = the ending balance

P = the principal amount (initial deposit)

r = the annual interest rate (as a decimal)

n = the number of times the interest is compounded per year

t = the time period (in years)

In this case, the principal amount is $1000, the annual interest rate is 6%, and the interest is compounded monthly, so n = 12. The time period is 3 years, so t = 3. Plugging these values into the formula, we get:

A = 1000 x (1 + 0.06/12)¹²ˣ³

= 1000 x (1 + 0.005)³⁶

= 1000 x 1.19102

= $1,191.02

Therefore, the balance at the end of 3 years with a $1000 initial deposit, an annual interest rate of 6%, and monthly compounding is $1,191.02.

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Company A has been selling 200 units per month of a product at a
price of $12 per unit. The two competitors of Company A have also
been selling that product at $12 per unit. The manager of Company A
i

Answers

Company A has been selling 200 units per month of a product at a price of $12 per unit, which is the same price as their two competitors.

This suggests that Company A is not using price as a competitive advantage and may need to explore other strategies to differentiate themselves in the market.

They could consider offering additional features or benefits, improving customer service, or focusing on a niche market to stand out from their competitors.

In summary, Company A's sales indicate that price alone may not be enough to maintain a competitive advantage. Exploring other strategies to differentiate themselves in the market could lead to increased sales and customer loyalty.

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Complete question:

Company A has been selling 200 units per month of a product at a price of $12 per unit. The two competitors of Company A have also been selling that product at $12 per unit. The manager of Company A is now considering increasing the price of this product by $2.40. How is company A is related to it's competetior.

in the context of the performance evaluation process, which of the following ensures that raters are motivated to rate accurately? group of answer choices ensuring that employees do not have to participate in developing performance dimensions focusing on the person rather than the behavior while evaluating performance and providing feedback making sure that managers are graded on how well they utilize and develop human resources conducting informal discussions with employees about progress on an irregular basis

Answers

In the context of the performance evaluation process, it is ensured that raters are motivated to rate accurately by grading managers on how effectively they utilise and develop human resources.

What steps comprise the performance evaluation process?

Each employee typically completes a self-assessment as part of the performance appraisal process. This is the time when they can review all of their achievements and provide grades based on established objectives.

The phases of programme creation and implementation are complementary to the planning, implementation, completion, dissemination, and reporting phases of the programme assessment process.

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subunits, such as departments or groups, can also acquire and wield power. under which condition is this true? a. when a group's activities are limited and peripheral to the firm b. when a group's work is substitutable or able to be outsourced c. when the organization is going through a period of uncertainty d. when there are plentiful resources so a subunit can accumulate them

Answers

When the organization is going through a period of uncertainty, subunits such as departments or groups can also acquire and wield power. (option.c)

This is because during times of uncertainty, the normal power structures may be disrupted or weakened, and subunits can take advantage of the situation to assert their influence.

In contrast, if a group's activities are limited and peripheral to the firm or their work is easily substitutable or outsourced, they may not have as much power.

Additionally, if there are plentiful resources, a subunit may be able to accumulate them, but this alone may not necessarily lead to them acquiring and wielding power.

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A company's stock price of $20 a share and is expected to pay a year-end dividend of $3 a share.
The stock's required rate of return is 20% and the stock's dividend is expected to grow at the same constant rate forever.
What is the expected price of the stock 6 years from now?

Answers

The expected price of the stock 6 years from now is $43.20.

To find the expected price of the stock, we need to use the Gordon Growth Model (Dividend Discount Model), which is:

P = D1 / (k - g)

Where:
P = stock price
D1 = next year's dividend
k = required rate of return
g = constant growth rate of dividends

First, we need to find the constant growth rate of dividends (g). Since the required rate of return is 20% and the dividend payout is $3, we can find g using the formula:

$20 = $3 / (0.20 - g)

Solving for g:

0.20 - g = $3 / $20
g = 0.20 - (3 / 20)
g = 0.05 or 5%

Now that we have the growth rate, we can find the expected dividend 6 years from now (D7):

D7 = D1 * (1 + g)⁶
D7 = $3 * (1 + 0.05)⁶
D7 = $3 * 1.3401
D7 = $4.0203

Finally, we can find the expected stock price 6 years from now (P7) using the Gordon Growth Model:

P7 = D7 / (k - g)
P7 = $4.0203 / (0.20 - 0.05)
P7 = $4.0203 / 0.15
P7 = $43.20

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Question 7(Multiple Choice Worth 5 points) (05.05 MC) The governments of the United States, Mexico, and Canada created the United States Mexico-Canada Agreement in order to
o remove barriers to trading products between the three countries o increase the prices on products common to all three countries o prevent each of the three from trading with other countries o decrease growth in South America's developing countries

Answers

The governments of the United States, Mexico, and Canada created the United States-Mexico-Canada Agreement (USMCA) in order to remove barriers to trading products between the three countries.

The primary objective of this agreement was to facilitate trade, promote economic growth, and enhance competitiveness among the three nations. By reducing trade barriers, the USMCA aims to encourage businesses to invest in the region, thus fostering innovation and economic development.

The USMCA, which replaced the North American Free Trade Agreement (NAFTA), includes provisions that protect workers' rights, promote environmental conservation, and strengthen intellectual property rights. These measures are designed to ensure a level playing field for businesses and maintain sustainable development across the member countries.

Furthermore, the USMCA encourages cross-border cooperation, which can lead to increased efficiency in the production and distribution of goods and services. By lowering trade barriers and streamlining regulations, the USMCA allows businesses in the United States, Mexico, and Canada to access new markets, which can result in more competitive pricing for consumers.

Additionally, the agreement seeks to support small and medium-sized enterprises by providing them with resources and information to help them navigate the complexities of international trade.

In summary, the USMCA was created by the governments of the United States, Mexico, and Canada to remove barriers to trading products between the three countries, with the goal of promoting economic growth, increasing competitiveness, and fostering regional cooperation.

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apex incorporated just paid a dividend of $3 per share. it is expected to increase its dividends by 15% per year for 4 years. after 4 years, dividends will increase by 6% per year. its required rate of return is 11%. what should be the price of one share of its stock?

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The price of one share of Apex Incorporated's stock should be $87.17.

To calculate the price of one share of Apex Incorporated's stock, we need to find the present value of all future expected dividends and the expected price of the stock at the end of year 4.

First, we can calculate the expected dividends for the next four years using the given information:

Year 1 dividend = $3 x (1 + 15%) = $3.45

Year 2 dividend = $3.45 x (1 + 15%) = $3.97

Year 3 dividend = $3.97 x (1 + 15%) = $4.57

Year 4 dividend = $4.57 x (1 + 15%) = $5.26

We can then use the Gordon growth model to calculate the present value of the dividends:

PV of dividends = [($3.45 / (1 + 0.11)^1) + ($3.97 / (1 + 0.11)^2) + ($4.57 / (1 + 0.11)^3) + ($5.26 / (1 + 0.11)^4)] / (1 + 0.11)^4

PV of dividends = $13.85

Next, we can use the dividend growth model to calculate the expected stock price at the end of year 4:

Expected price in year 4 = $5.26 x (1 + 6%) / (11% - 6%) = $143.52

Finally, we can add the present value of dividends and the expected price at the end of year 4 to get the current price of one share of stock:

Current price = $13.85 + $143.52 / (1 + 0.11)^4

Current price = $87.17

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a rumor starts that a bank has suffered significant losses and may not be able to honor its promises to depositors. this causes most of the depositors to line up in front of the bank the next morning wanting to withdraw their deposits. this is an example of multiple choice liquidity risk. operational risk. interest-rate risk. credit risk.

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A rumor starts that a bank has suffered significant losses and may not be able to honor its promises to depositors. this causes most of the depositors to line up in front of the bank the next morning wanting to withdraw their deposits. this is an example of liquidity risk.

Liquidity risk refers to the risk that a company or financial institution may not have enough liquid assets (such as cash) to meet its short-term financial obligations. In other words, it is the risk of not being able to quickly convert assets into cash to meet unexpected or urgent cash needs.

Liquidity risk can arise from various factors such as poor financial management, changes in market conditions, a sudden increase in demand for cash withdrawals, or other events that result in a loss of confidence in the institution's ability to meet its obligations. The failure to effectively manage liquidity risk can have severe consequences, including financial distress, reputational damage, and potentially even bankruptcy.

The sudden increase in the number of depositors wanting to withdraw their deposits may lead to a liquidity shortage for the bank, which means it may not have enough cash on hand to meet the withdrawal demands. The rumor and subsequent run on the bank could potentially cause a panic among depositors and lead to a loss of confidence in the bank's ability to meet its obligations, which could ultimately result in the bank's failure.

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suppose a stock has an initial price of $84 per share, paid a dividend of $1.50 per share during the year, and had an ending share price of $92. compute the percentage total return.
(Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

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The stock had a percentage total return of 11.31%. This means that if an investor had bought the stock at the initial price of $84 and held it for the year, they would have earned a return of 11.31% on their investment.

To compute the percentage total return for the stock, we need to take into account both the price appreciation and the dividend received.
First, we can calculate the price appreciation by subtracting the initial price from the ending price and dividing by the initial price:
Price appreciation = (Ending price - Initial price) / Initial price
= ($92 - $84) / $84
= 0.0952 or 9.52%
Next, we can calculate the dividend yield by dividing the dividend by the initial price:
Dividend yield = Dividend / Initial price
= $1.50 / $84
= 0.0179 or 1.79%
Finally, we can add the price appreciation and dividend yield to get the percentage total return:
Percentage total return = Price appreciation + Dividend yield
= 9.52% + 1.79%
= 11.31%
Therefore, It's important to note that past performance does not guarantee future results and that investing involves risks.

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The total return of the stock can be calculated by adding the dividend to the change in price and then dividing by the initial price.

Total return = (ending price + dividend - initial price) / initial price

Total return = ($92 + $1.50 - $84) / $84

Total return = $9.50 / $84

Total return = 0.1131 or 11.31%

Therefore, the percentage total return of the stock is 11.31%.
To calculate the percentage total return, we need to consider both the capital gain and the dividend received. Here's how you do it:

1. Calculate the capital gain: Ending share price - Initial share price = $92 - $84 = $8
2. Add the dividend to the capital gain: $8 + $1.50 = $9.50
3. Divide the total gain by the initial share price: $9.50 / $84 ≈ 0.1131
4. Convert the result to a percentage: 0.1131 * 100 = 11.31%

The percentage total return for the stock is 11.31%.

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A bond with 10 years to maturity has a face value of $1,000. The bond pays an 8 percent semiannual coupon, and the bond has a 9 percent nominal yield to maturity. What is the price of the bond today?
a. $908.71
b. $934.96
c. $935.82
d. $952.37
e. $960.44
f. None of the above

Answers

The price of the bond today is $934.96.(B)

To find the price of the bond, we need to calculate the present value of both the semiannual coupon payments and the face value. First, let's find the present value of the semiannual coupon payments:

1. Determine the coupon payment: $1,000 x 0.08 / 2 = $40.
2. Find the semiannual yield: 0.09 / 2 = 0.045.
3. Calculate the present value of the coupon payments using the annuity formula: PV = Pmt * [(1 - (1 + r)⁻ⁿ) / r], where PV = present value, Pmt = payment, r = interest rate, and n = number of periods. In this case: PV = $40 * [(1 - (1 + 0.045)⁻²⁰) / 0.045] ≈ $595.99.

Next, find the present value of the face value:

4. Calculate the present value of the face value using the discounting formula: PV = FV / (1 + r)ⁿ, where FV = face value. In this case: PV = $1,000 / (1 + 0.045)²⁰ ≈ $338.97.

Finally, add the present values of the coupon payments and face value to find the price of the bond today:

5. Bond price = PV of coupon payments + PV of face value = $595.99 + $338.97 ≈ $934.96.(B)

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A repo is best described as ____Group of answer choices:-1.the sale of CGSs to the Reserve Bank by a financial institution on condition the seller will normally buy them back by day’s end.2.the sale of CGSs to the public by the financial institution on condition the financial institutions will normally buy them back by day’s end.3.the purchase of CGSs from the banks by the Reserve Bank on condition the Reserve Bank will normally buy them back by day’s end.4.the sale of CGSs to the public by the Reserve Bank on condition the Reserve Bank will normally buy them back by day’s end.

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A repo, or repurchase agreement, is best described as 1. the sale of CGSs to the Reserve Bank by a financial institution on condition that the seller will normally buy them back by day's end.

In a repo transaction, the financial institution temporarily sells the CGSs or Commonwealth Government Securities to the Reserve Bank with an agreement to repurchase them at a later date, typically by the end of the day. Repos are often used by central banks to manage short-term liquidity in the financial system, as they allow financial institutions to quickly obtain cash in exchange for their securities.

By engaging in repos, the Reserve Bank can control the supply of money in the economy and influence interest rates, helping to maintain financial stability and achieve monetary policy objectives. A repo, or repurchase agreement, is best described as 1. the sale of CGSs to the Reserve Bank by a financial institution on condition that the seller will normally buy them back by day's end.

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A pharmaceutical company produces one of the few drugs available to treat a certain disease. The company increases the price of the drug from $30 a pill to $300 a pill with negligible effect on sales volume. Which force did the company employ to increase its drug price?

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The force the pharmaceutical company employed to increase its drug price was the concept of inelastic demand.

When a company has inelastic demand for its product, it means that consumers are willing to pay a higher price for the product without reducing their demand for it. In this scenario, the drug produced by the pharmaceutical company is essential for treating a certain disease, and there are few other options available on the market.

Therefore, patients who require the drug may be willing to pay a higher price to access the treatment, and increasing the price of the drug does not significantly affect the sales volume.

By increasing the price of the drug from $30 to $300 per pill, the pharmaceutical company is able to increase its revenue significantly. This is because the demand for the drug is inelastic, which allows the company to charge a higher price without losing customers.

However, such practices may be viewed as unethical or exploitative, especially when patients cannot afford the increased price and suffer negative health consequences as a result.

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what is a main component of the belief action outcome framework (bao) that organizations provide to address the economic, environmental, and social impacts that result from their day-to-day operations? multiple choice belief structure reports sustainability reports employee satisfaction reports customer/member satisfaction reports

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A main component of the belief action outcome framework (bao) that organizations provide to address the economic, environmental, and social impacts that result from their day-to-day operations is belief structure reports.

Drawing upon the theories of social talent and strategic movement fields (SAFs), this newsletter provides a SAF Framework for Implementation Research. In the framework, coverage implementation structures are conceptualized as multilevel SAFs that shape round a public carrier intervention. Within this context, socially professional actors leverage various reassets of authority—inclusive of however now no longer constrained to political authority—to allow extrade or balance to a public carrier intervention. While the framework has underpinnings in subject theory, it could embody more than one theoretical perspectives, inclusive of complexity theories, organizational theories, monetary theories, and theories of human behavior.

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modern growth theory built upon the solow model by focusing on what fundamental contributor to economic growth?

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Modern growth theory, also known as endogenous growth theory, built upon the Solow model by focusing on technological progress and human capital as fundamental contributors to economic growth.

What's the Solow model

While the Solow model emphasizes the role of physical capital and labor, endogenous growth theory integrates factors such as innovation, research and development, education, and skills. These elements drive productivity improvements and long-term economic expansion.

In this framework, governments and institutions play a vital role in promoting growth by investing in education, infrastructure, and supportive policies. This fosters a conducive environment for research, knowledge creation, and the development of new technologies.

As a result, endogenous growth theory highlights the importance of both public and private sectors in sustaining economic growth and improving living standards over time.

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T/F
In the new product development process, the purpose of idea generation is to create a large number of ideas and the purpose of the next set of stages in the process is to reduce that number

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True. In the new product development process, idea generation is meant to produce a large number of ideas, and the subsequent stages such as screening, evaluation, and testing are designed to reduce the number of ideas until the most promising one(s) are selected for development.

The new product development (NPD) process is the process by which a company develops a new product from ideation to launch. The process typically involves several stages, each with its own set of activities and goals. The stages may vary depending on the company and industry, but generally include:

Idea Generation: This stage involves generating a large number of ideas for new products. This can be done through brainstorming sessions, customer feedback, market research, and other methods.Screening: In this stage, the list of ideas generated in the previous stage is screened to eliminate unfeasible or unprofitable ideas. The goal is to identify the most promising ideas that can be pursued further.Concept Development: The most promising ideas are further developed into concepts. This involves defining the product concept, features, and benefits, and assessing the feasibility of the concept.Product Development: Once the concept is finalized, the actual product development process begins. This involves designing the product, testing prototypes, and developing the production process.

The NPD process can take anywhere from several months to several years, depending on the complexity of the product and the industry. It requires collaboration and coordination across multiple departments, including research and development, marketing, sales, and manufacturing.

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The statement is true. In the new product development process, idea generation is typically the first stage, and the purpose is to create a large number of ideas through various methods such as brainstorming, customer feedback, or market research. The idea is to generate a broad range of ideas that can potentially lead to successful products.

However, once the ideas have been generated, the next stages of the new product development process involve evaluating and selecting the most promising ideas. This process involves analyzing the feasibility, market potential, and profitability of each idea to determine which ideas are worth pursuing further.

As the evaluation process continues, the number of ideas will typically be reduced, with less promising ideas being eliminated from consideration. The purpose of the later stages in the new product development process is to further develop and refine the remaining ideas until the final product is ready for launch.

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A variable of type signed short stores a value of zero, If the variable value is incremented what exception will occur?
Group of answer choices
A: Overflow.
B: No exception.
C: Underflow.

Answers

If a variable of type signed short stores a value of zero and is incremented, no exception will occur. The correct alternative is option B.

The range of values that can be stored in a signed short variable depends on the number of bits used to represent the variable.

In Java, a signed short is represented using 16 bits, with a range of -32,768 to 32,767.

Incrementing a signed short variable that is currently storing 0 will result in a new value of 1, which is within the range of the variable and does not cause an exception.

However, if the value of the variable is already at the maximum value of 32,767 and is incremented, an exception of type "Overflow" will occur, as the new value will be outside the range of the variable.

Similarly, if the value of the variable is at the minimum value of -32,768 and is decremented, an exception of type "Underflow" will occur.

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