XYZ's weighted-average cost of capital (WACC) based on Company XYZ's current capitalization and comps values is = 8.30%
How to solve= Median unlevered beta of comps x [1 + (Debt / Equity of XYZ)(1 - tax rate)]
= 0.9432 x [1 + (20,000 / 60,000)(1 - 0.30)]
= 0.9432 x [1 + (0.3333)(0.70)]
= 0.9432 x [1 + 0.2333]
= 0.9432 x 1.2333
= 1.1633
~ Cost of equity of XYZ :
= Risk free rate + Beta of XYZ (Equity risk premium)
= 5% + 1.1633 (4%)
= 5% + 4.65%
= 9.65%
~ Weights of Debt and Equity in XYZ :
~ Total capital = [Debt + Equity] = [$20,000 + $60,000] = $80,000
~ Debt weight = Debt/Total = 20,000/80,000 = 0.25
~ Equity weight = Equity/Total = 60,000/80,000 = 0.75
~ Weighted-average cost of capital (WACC) :
= (Debt weight)(Interest rate)(1 - tax rate) + (Equity weight)(Cost of equity)
= (0.25)(6%)(1 - 0.30) + (0.75)(9.65%)
= 1.05% + 7.25%
= 8.30%
Answer: XYZ's WACC = 8.30%
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What will produce more accurate results when giving a survey?
A. Using the word "frequently" in a question
B. Creating face-to-face interviews
C. Adding boxes to check for answers
D. Creating an open questions
Answer:
Option B; Creating face-to-face interviews
Explanation:
Research has shown that face-to-face interviews tend to produce more accurate results when giving a survey. So the correct answer is option B.
(a) Explain the quantity theory and
(b) how does the theory explains the cause of inflation
Answer:
The quantity theory of money defends that the money supply has a determining influence on the price level, that is, that the quantity of circulating money will necessarily be imputed to the value of the quantity of commercial operations that are carried out.
Therefore, this theory establishes that the creation of money without increasing the commercial volume (the total amount of tradable goods) will lead to inflation, since it is not really increasing the economic value of an economy, but only the money supply of it, which is "empty" of value, and therefore is coupled with existing commercial transactions.
Using the service blueprint, make a list of all the potential key service failure points and the associated customer expectations. For example a service failure point with expectations is: check-in should be fast and hassle free. You should find 10 to 15 service failure points.
Using a service blueprint, a list of potential key service failure points and their associated customer expectations would depend on the industry and the customer preference.
What are some potential key service failure points ?Some general key service failure points would include:
Check-in should be fast and hassle-free.Staff should be knowledgeable and able to provide accurate information.Service should be delivered within the promised timeframe.Billing and payment processes should be transparent and error-free.Facilities should be clean, well-maintained, and comfortable.Communication should be clear and timely, keeping customers informed about any delays or changes.Staff should be friendly, courteous, and attentive to customer needs.Resolving complaints and addressing issues should be handled promptly and effectively.Product or service quality should meet or exceed customer expectations.Personal data and privacy should be protected and kept secure.Service should be personalized and tailored to individual customer preferences when possible.Any service disruptions or interruptions should be minimized and resolved quickly.Accessibility should be ensured for customers with special needs or disabilities.Service recovery actions should be proactive and designed to restore customer satisfaction after a service failure.Any additional fees or charges should be clearly communicated upfront to avoid surprises.Find out more on service points at https://brainly.com/question/15580877
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Refer to Women's Athletic Wear. One of the biggest differences between men and women consumers is that men tend to stay loyal to a store. Women are much more ready to shop around--perhaps because they demand more from their products than men. Andrea wants to start jogging, but she has been told she needs to find well-fitting jogging underwear. Andrea is at the first stage of the: Group of answer choices product positioning consumer decision-making process selective perception product differentiation market segment
Answer:
consumer decision-making process
Explanation:
When buyers want to make a purchase there are many factors that come into play before he makes a choice on which product to buy.
The process by which a user identifies which product best meets his needs, gathers information on how to solve their needs, examines alternatives, make purchase, and gauge satisfaction from purchase are the processes of consumer decision-making process.
On the given scenario Andrea wants to start jogging, and she has been told she needs to find well-fitting jogging underwear.
This is the the stage of identifying consumer needs, the first stage of consumer decision-making process.
what is default reminder what is
Answer: Reminders alert you to upcoming calendar items such as appointments and meetings. By default, reminders occur 15 minutes before the start of these calendar items.
Explanation:
investment mathematics
Hii :))
Investment Mathematics is a book which provides an introductory analysis of investments from a quantitative viewpoint, drawing together many of the tools and techniques required by investment professionals.
Consider a telephone call to London that currently would cost $5. If the real price of telephone calls does not change in the future, how much will it cost you to make a call to London in 50 years if the inflation rate is 5% (roughly its average over the past 30 years)? What if inflation is 10%.
Answer:
If inflation were 5%, the value of the call in 50 years would be $ 57.33; while if inflation were 10% the value of the call would be $ 586.95.
Explanation:
Given that a telephone call to London that currently would cost $ 5, to determine, if the real price of telephone calls does not change in the future, how much will it cost you to make a call to London in 50 years if the inflation rate is 5% and if inflation is 10%, the following calculations must be made:
5 x 1.05 ^ 50 = X
5 x 11.4674 = X
57.33 = X
5 x 1.1 ^ 50 = X
5 x 117.39 = X
586.95 = X
Therefore, if inflation were 5%, the value of the call in 50 years would be $ 57.33; while if inflation were 10% the value of the call would be $ 586.95.
What is a market?
A. A system that allows people or companies to buy and sell products and services
B. The number of companies willing to manufacture a specific product
C. The ability to buy production materials in large quantities and save on costs
D. A product's ability to satisfy a consumer
Please select the best answer from the choices provided
B
оооо
QUESTION 4 of 10: Venture capitalists often seek a return of 10 times their investment in 7 years. Approximately what is this compound
annual rate of return?
ОООО
a) 39%
b) 43%
c) 57%
d) 65%
Submit
C2021 Knowledge Matters, Inc.
Due Date: Mar 17, 2021 at 7:00 pm EUT
Answer:
A
Explanation:
The compound rate of the return annually will be 39%. Then the correct option is A.
What is compound interest?A loan or deposit's interest is computed using the starting principle and the interest payments from the ago decade as compound interest.
We know that the compound interest is given as
A = P(1 + r)ⁿ
Where A is the amount, P is the initial amount, r is the rate of interest, and n is the number of years.
Venture capitalists often seek a return of 10 times their investment in 7 years. Then the equation is given as,
10 = (1 + r)⁷
Simplify the equation, then we have
10 = (1 + r)⁷
log 10 = 7 log(1 + r)
log (1 + r) = 1 / 7
1 + r = 1.3895
r ≈ 0.39
r = 39%
The compound rate of the return annually will be 39%. Then the correct option is A.
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I am passively managed and usually come with lower fees. Which investment am I?
a. Mutual Fund
b. Index Fund
c. ETF
d. TDF
Answer: ETF is passively managed and usually cme with lower fees.
Explanation: An ETF stand for exchange-traded fund. It is a marketable security that tracks an index, a commodity, a bond, or a basket of assets like an index fund.
Passive management has a number of advantages for investors in index funds. In passive management, the fund manager makes only minor, periodic adjustments to keep the fund in line with its index. This is different from actively managed funds (mutual funds), where the fund manager actively manages the fund and continually trades assets in an effort to outperform the market.
ETF requires lower administrative costs since it monitors an index without trying to outperform it. They don't try to beat the market, they try to be the market.
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An index fund is a passively managed investment option that typically has lower fees.
Explanation:The investment that is passively managed and usually comes with lower fees is the Index Fund. An index fund is a type of mutual fund that aims to replicate the performance of a specific stock market index, such as the S&P 500. It does not rely on active management by fund managers who try to outperform the market, which helps to reduce fees.
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To remodel a restaurant, Two Brothers Pizza signs a 250-day note with proceeds of $63,159.72 and a maturity value of $68,000. Find the APR.
The annual percentage rate is 11.19%.
Annual percentage rate is the yearly interest generated on the loan granted to borrowers or paid to investors.
.
The formulae for APR is (Maturity Value / Net Proceed - 1) * (365 / Period of Note).,Given data
Net Proceed = $63,159.72
Maturity Value = $68,000
Period of Note = 250 days
APR = ($68,000 / $63,159.72 - 1) * (365 / 250)
APR = 0.076636 * 1.46
APR = 0.1119
APR = 11.19%
Therefore, the annual percentage rate is 11.19%.
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Which of the following budgeting options increases the marketing budget by the rate of the company's inflation?
rule of thumb budgeting
objective and task budgeting
competitive budgeting
arbitrary budgeting
Answer:
D. objective and task budgeting I believe
Explanation:
Really difficult, but not impossible, to determine the tasks necessary to reach goals and estimating the costs associated with tasks
Which franchise model do automobile dealerships usually follow?
(plato)
I want That user reported
Answer:
kk I'll report them! :)
Answer:
Ok I'll report him tho kdheineje
Supervisor: "If you increase your current quality score of 85% by 7%, you will have a
score of
Answer:
90.95% (if you need to round it up, then its 91%)
Explanation:
7% of 85% is 5.95%. You add that to the 85%, and you get 90.95%! :]
Hope this helped!! :]
I am better at my job than most of the other people who have the same job title agree or disagree
Disagreed. You cannot say that you are better at your job than others who have the same job title.
How to answer questionnaire questions?While providing the answer to a questionnaire, it is very important that a person would try to be as truthful as possible.
The reason they have to be truthful is so that they would be able to give the best answer that would be useful for the research.
In a question like this, I used disagreed because it is not possible that you have met all of the persons that have the same job description as you do.
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you just won the lottery! as your prize you will receive $1,500 a month for ten years. if you can earn 9.3% on your money, what is this prize worth to you today
The prize of receiving $1,500 a month for ten years, with a 9.3% annual interest rate, is worth approximately $79,576.50 today.
How to solveTo calculate the present value of this lottery prize, we can use the Present Value of Annuity formula, which is:
PV = P * [(1 - (1 + r)^-n) / r]
Where:
PV = Present Value
P = Payment per period ($1,500 per month)
r = Interest rate per period (9.3% per year, but we'll need to convert it to a monthly rate)
n = Number of periods (10 years, but we'll need to convert it to months)
First, let's convert the interest rate and number of years to monthly values:
There are 12 months in a year, so there will be a total of 10 years * 12 months/year = 120 months.
To convert the annual interest rate to a monthly interest rate, we'll divide it by 12. This gives us a monthly interest rate of 0.093 / 12 = 0.00775.
Now, we can plug these values into the Present Value of Annuity formula:
PV = $1,500 * [(1 - (1 + 0.00775)^(-120)) / 0.00775]
Calculating the present value:
PV ≈ $1,500 * [(1 - (1.00775)^(-120)) / 0.00775] ≈ $1,500 * [53.051]
PV ≈ $79,576.50
So, the prize of receiving $1,500 a month for ten years, with a 9.3% annual interest rate, is worth approximately $79,576.50 today.
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selected transactions for sandhill corporation during its first month in business are presented below
Answer:
I'm sorry, but I cannot provide an answer to your question as there is no further context or information on what you are looking for regarding the "selected transactions for Sandhill Corporation." Can you please provide more details or clarify your question?
briefly describe and note any errors you see in the a/p aging summary report as of march 30 2016
Your AR ageing report contains information about the credit you grant customers who make purchases from you.
What is AR ageing?Accounts receivable ageing is a recurring report that classifies a company's receivables based on how long an invoice has been unpaid. It serves as a yardstick for evaluating the stability and financial standing of a company's clientele. If an organization's receivables are being collected much more slowly than usual, this may indicate that business is slowing down or that the organisation is taking on more credit risk in its sales operations. As a management tool, accounts receivable ageing can show whether customers are developing credit concerns and whether the company should continue doing business with those who are frequently late with payments.
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A news headline reads, "Time for change: let free market forces determine the money supply." Which statement offers a valid claim in direct support of this headline?
Congress affects the economy through fiscal policy; controlling the money supply is unnecessary.
Congress should lose its role in fiscal policy; it often fails to influence the money supply.
The Fed is just as important as Congress, as monetary policy works differently in the economy.
The Fed should be controlled by Congress, and monetary policy should be publicly voted upon.
The statement "Congress should lose its role in fiscal policy; it often fails to influence the money supply" offers a valid claim in direct support of the headline "Time for change: let free market forces determine the money supply."
What are market forces?
Market forces refer to the complex interactions between buyers and sellers in a market, which determine the prices and quantities of goods and services that are traded. These forces include supply and demand, as well as other factors such as competition, the cost of production, and the availability of substitutes.
The headline suggests that the current system of having Congress and the Federal Reserve (the Fed) control the money supply is not effective, and that allowing free market forces to determine the money supply might be a better approach. The statement supports this idea by arguing that Congress has not been successful in influencing the money supply, and therefore should not have a role in fiscal policy.
It's worth noting that the other statements do not directly support the headline. The first statement (Congress affects the economy through fiscal policy; controlling the money supply is unnecessary) does not address the headline's suggestion that free market forces should determine the money supply. The third statement (The Fed is just as important as Congress, as monetary policy works differently in the economy) does not address the issue of whether free market forces should be allowed to determine the money supply. The fourth statement (The Fed should be controlled by Congress, and monetary policy should be publicly voted upon) suggests a different approach to determining the money supply, rather than letting free market forces determine it.
Hence, the 2nd statement offers a valid claim on the statement, "Time for change: let free market forces determine the money supply."
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Population and it’s distribution constitutes the target market for goods and services. This can be linked with ____________
A. Financial environment
B. Social environment
C. Political environment
D. Demographic environment
Population and it’s distribution constitutes the target market for goods and services. This can be linked with social environment.
Entries into T Accounts and Trial Balance Connie Young, an architect, opened an office on October 1, 2019. During the month, she completed the following transactions connected with her professional practice: Transferred cash from a personal bank account to an account to be used for the business, $28,600. Paid October rent for office and workroom, $2,900. Purchased used automobile for $19,000, paying $4,300 cash and giving a note payable for the remainder. Purchased office and computer equipment on account, $5,700. Paid cash for supplies, $1,370. Paid cash for annual insurance policies, $1,900. Received cash from client for plans delivered, $7,200. Paid cash for miscellaneous expenses, $770. Paid cash to creditors on account, $1,660. Paid $230 on note payable. Received invoice for blueprint service, due in November, $900. Recorded fees earned on plans delivered, payment to be received in November, $4,900. Paid salary of assistants, $1,500. Paid gas, oil, and repairs on automobile for October, $370. Required: 1. Record the above transactions (in chronological order) directly into the T accounts. To the left of the amount entered in the accounts, select the appropriate letter to identify the transaction. 2. Determine account balances of the T accounts. Accounts containing a single entry only (such as Prepaid Insurance) do not need a balance.
Answer:
Cash Capital
debit credit debit credit
1. 28,600 1. 28,600
2. 2,900
3. 4,300
4. 1,370
5. 1,900
6. 7,200
7. 770
8. 1,660
9. 230
12. 1,500
13. 370
20,800
Rent expense Vehicles
debit credit debit credit
2. 2,900 3. 19,000
Notes payable Service revenue
debit credit debit credit
3. 14,700 6. 7,200
9. 230 11. 4,900
14,470 12,100
Accounts payable Equipment
debit credit debit credit
4. 5,700 4. 5,700
8. 1,660
10. 900
4,940
Supplies Prepaid insurance
debit credit debit credit
4. 1,370 5. 1,900
Misc. expenses Blueprint services expense
debit credit debit credit
7. 770 10. 900
Accounts receivable Wages and salaries expense
debit credit debit credit
11. 4,900 12. 1,500
Vehicle maintenance expenses
debit credit
13. 370
Assume that at the end of 2017, Crane used $2,460 cash to pay off $2,460 of accounts payable. How would the current ratio and working capital have changed? (
There will be a decrease in the current ratio and no change in working capital when the cash is paid for the accounts payable.
What is current ratio?The current ratio is the ratio analytical tool that determines the position of an organization to fulfill the demands of its short-term capital and fund requirements during the current financial year or period.
The current ratio is negatively affected by the use of cash to pay the liabilities like payables and short term loans. However, there is no such effect on the working capital when cash is used for the same.
Hence, option A holds true regarding the effect on current ratio and the working capital of Crane is aforementioned. The complete question has been attached as an image for better reference.
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How can we avoid water pollution
Answer:
Pick up litter and throw it away in a garbage can.Blow or sweep fertilizer back onto the grass if it gets onto paved areas. ...Mulch or compost grass or yard waste. ...Wash your car or outdoor equipment where it can flow to a gravel or grassed area instead of a street.Don't pour your motor oil down the storm drain.hope it helps you
please mark me as brainlist
Munoz Company operates three segments. Income statements for the segments imply that profitability could be improved if Segment A were eliminated.
MUNOZ COMPANY
Income Statements for Year 2
Segment A B C
Sales $ 163,000 $252,000 $249,000
Cost of goods sold (129,000) (90,000) (84,000)
Sales commissions (22,000) (25,000) (28,000)
Contribution margin 12,000 137,000 137,000
General fixed operating expenses (allocation of president’s salary) (37,000) (49,000) (38,000)
Advertising expense (specific to individual divisions. (3,000) (17,000) 0
Net income (loss) $(28,000) $71,000 $99,000
Required
A. Prepare a schedule of relevant sales and costs for Segment A.
B. Prepare comparative income statements for the company as a whole under two alternatives: (1) the retention of Segment A and (2) the elimination of Segment A.
Answer:??
Explanation:
Case: A manufacturing company was experiencing a high rate of defects in their production process, resulting in increased costs and decreased customer satisfaction
A manufacturing company was experiencing a high rate of defects in their production process, resulting in increased costs and decreased customer satisfaction and various steps can be taken to address this problem.
Multiple actions can be taken by a manufacturing company to address the problem of a high rate of defects in their production process. By looking at production records, performing quality control and speaking with employees, they should be able to determine what caused the defects in the first place.
A strategy for resolving the issue should be created once the root cause has been located. The production process may need to be altered, new technology or equipment may need to be purchased or employee training may need to be improved. In order to assess the plan's success in lowering the rate of defects, it should be put into action and monitored.
Continuous improvement should be a priority for the business and this can be done by conducting regular audits, getting input from staff and customers and investing in development. These actions will enable the manufacturing company to lower costs and boost customer satisfaction.
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ALOT OF POINTS MARKING PEOPLE AS BRAINLIST
You've been watching a stock that currently trades at $85 per share. You'd buy it if it were less expensive, say $75 per share. You think that by year-end, the stock will go to $130 and then level off or decline. You place a limit order to buy 100 shares at $ 75 and a limit order to sell at $130. It turns out that you were right about the direction of the price move and it goes straight to $140. What is your position?
Answer:
Stock portfolio is weighted in $$ not shares.
weight = 100% * (position value) / (portfolio value)
Stock A
155 * $88 = $13,640
Stock B
130 * $98 = $12,740
if these are the only two positions in the portfolio then the total portfolio value is:
$13,640 + $12,740 = $26,380
weight A = 100% * $13,640 / $26,380
= 51.7%
then, since there's only two positions the weight of B is: 100% - 51.7% = 48.3%
Explanation:
6) When you were leading your in-house team, you displayed optimism by your demeanor each day. How can you best instill a spirit of optimism with your new remote team?
A) Frame challenges as opportunities and provide the tools to meet those opportunities.
B) Frame challenges as a part of business life and encourage your team to find ways to overcome them.
C) Display your same optimistic attitude when you are on video calls with your remote team.
One can best instill a spirit of optimism in your new remote team by displaying the same optimistic attitude when you are on video calls with your remote team. Thus the correct option is D.
As a leader, your approach and attitude can have a huge impact on the well-being and drive of your team, especially while working remotely.
Encouraging your team to solve difficulties and emphasizing the opportunities that challenges bring can also assist to build an optimistic and resilient attitude.
By regularly demonstrating an upbeat attitude during video calls and other contacts with your team, you can help to establish a sense of optimism and enthusiasm among your team members.
Therefore, option D is appropriate.
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Martha runs a small travel and tourism business. She, along with her staff, organizes vacations for her clients. Recently, Martha opened a new branch of her business in a different city. She has decided to print new brochures and catalogs that give information about her business. She also plans to mail these brochures to various homes in a location that attracts customers. Which type of promotion does Martha plan to use?
A.
sales promotion
B.
direct marketing
C.
personal selling
D.
advertising
E.
public relations
Answer:
c
i can't ghshjdhnsjsggsbdn
Answer:
B - Direct Marketing
Explanation:
1. Plato
2. personal selling is meeting face to face. Direct marketing does not invlove interaction with customers. (:
The more productive a company can be, the greater its return on that investment and the higher the profit.
True
False
Answer: true
Explanation: