compute a price-weighted stock price index for the beginning of the year and the end of the year. what is the percentage change?

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Answer 1

The percentage change in the price-weighted stock price index is approximately 57.4%.

To compute a price-weighted stock price index, we need to find the sum of the prices of all the stocks at the beginning of the year and the end of the year, and then divide by the total number of stocks.

At the beginning of the year, the sum of the prices of all the stocks is

(100 shares x $100/share) + (1000 shares x $20/share) + (10,000 shares x $3/share) = $10000 + $20000 + $30000 = $60000

Dividing by the total number of shares, we get the price-weighted index at the beginning of the year

($60000 / 11,100 shares) ≈ $5.4/share

At the end of the year, the sum of the prices of all the stocks is

(100 shares x $94/share) + (1000 shares x $25/share) + (10,000 shares x $6/share) = $9400 + $25000 + $60000 = $94400

Dividing by the total number of shares, we get the price-weighted index at the end of the year

($94400 / 11,100 shares) ≈ $8.5/share

The percentage change in the price-weighted index is

[(End of year index - Beginning of year index) / Beginning of year index] x 100%

= [(8.5 - 5.4) / 5.4] x 100%

≈ 57.4%

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The given question is incomplete, the complete question is:

Consider the following information on the stock market in a small economy.a. Compute a price-weighted stock price index for the beginning of the year and the end of the year. What is the percentage change?

Compute A Price-weighted Stock Price Index For The Beginning Of The Year And The End Of The Year. What

Related Questions

How does a business cover its transportation and accessorial charges?

Answers

Answer: 1. Add the cost to the price of goods

2. Negotiate with carriers.

3. By using the cost allocation method

4. By implementing cost-cutting measures

Explanation:

john blakemore's home is located in columbus, ohio, where the rate of assessment is 35% of market value. the tax rate is $61.23 per $1,000 of assessed value. his home has a market value of $275,000. what is the property tax in dollars. round it to the nearest hundredth.

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John Blakemore's property tax is $5,891.94.

Property tax is a tax that homeowners pay to the local government based on the value of their property.

In John Blakemore's case, his home is located in Columbus, Ohio, where the rate of assessment is 35% of market value. This means that the local government assesses his home to be worth 35% of its market value, which is $275,000 in this case.

To calculate the assessed value of John Blakemore's home, we need to multiply the market value by the assessment rate:

Assessed value = market value x assessment rate

Assessed value = $275,000 x 0.35

Assessed value = $96,250

Now that we have the assessed value of the property, we can calculate the property tax. The tax rate in Columbus, Ohio, is $61.23 per $1,000 of assessed value. To calculate the property tax, we need to multiply the assessed value by the tax rate and then divide by 1,000:

Property tax = (assessed value x tax rate) / 1,000

Property tax = ($96,250 x $61.23) / 1,000

Property tax = $5,891.94

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choose the incorrect answer. in completing a 2021 form w-4, employees may claim additional deductions in step 4: a.if they have deductible ira contributions. b.if they expect to have large amounts of itemized deductions. c.if they are paying deductible alimony. d.if they have high levels of interest and dividend income.

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The incorrect answer. in completing a 2021 form w-4, employees may claim additional deductions in step d. if they have high levels of interest and dividend income.

When completing a 2021 form W-4, employees may claim additional deductions in step 4, and they can claim additional allowances if they expect to have large amounts of itemized deductions, deductible IRA contributions, or they are paying deductible alimony. However, they cannot claim additional allowances if they have high levels of interest and dividend income.Step 4 of the 2021 Form W-4 is used to adjust for deductions, and it has three sections, each of which corresponds to a specific tax credit or deduction.

Employees should fill out step 4 if they expect to claim tax credits or deductions other than the standard deduction.To sum up, employees may claim additional deductions in step 4 of a 2021 form W-4 if they have deductible IRA contributions, if they expect to have large amounts of itemized deductions, or if they are paying deductible alimony. They cannot claim additional deductions if they have high levels of interest and dividend income. The incorrect answer. in completing a 2021 form w-4, employees may claim additional deductions in step d. if they have high levels of interest and dividend income.

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one-year treasury bills currently earn 4.15% and you expect that one year from now, one-year treasury bill rates will increase to 4.95%; if the liquidity premium on two-year securities is 0.55%and the liquidity theory is correct, what should the current rate be on two-year treasury securities?

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The current rate on two-year Treasury securities should be 4.7%.

The formula to compute the current rate on two-year Treasury securities is given as follows:

R2 = R1 + LP2Here, R2 represents the rate on two-year Treasury securities, R1 represents the one-year Treasury bill rate, and LP2 represents the liquidity premium on two-year securities. We are given that the one-year Treasury bill rate is 4.15%, and it will increase to 4.95% in one year. Therefore, R1 = 4.15%, and R1' = 4.95%.

We have to find the rate on two-year Treasury securities, R2. The liquidity premium on two-year securities is 0.55%, which means LP2 = 0.55%.Now we can plug in the values in the formula to get R2 as follows:R2 = R1 + LP2 = 4.15% + 0.55% = 4.7%.

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suppose that the minimum wage has increased from the current level to $25 per hour. employment of people previously earning less than $25 per hour will . the availability of on-the-job training for low-skilled workers will .

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The impact of an increase in the minimum wage to $25 per hour on the employment of people previously earning less than $25 per hour and the availability of on-the-job training for low-skilled workers will depend on a variety of factors, including the specific labor market conditions and the elasticity of demand for labor.

In general, when the minimum wage is increased, it is expected that some employers will respond by reducing their demand for low-skilled workers, as the cost of labor has increased. This could lead to a decrease in employment opportunities for people who were previously earning less than $25 per hour. However, the magnitude of this effect will depend on how elastic the demand for labor is in the affected industries, as well as the availability of substitutes for low-skilled labor (such as automation or outsourcing).

On the other hand, an increase in the minimum wage could also lead to an increase in the availability of on-the-job training for low-skilled workers. This is because when the cost of labor increases, employers may have a greater incentive to invest in their workers' skills and productivity, in order to maximize the return on their labor costs. This could lead to more opportunities for low-skilled workers to receive training and develop new skills, which could ultimately lead to higher wages and greater job security in the long run.

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a consultant found that an area's economic base was heavily diversified with a mix of different types of

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The area's economic base is heavily diversified, which means it has a mix of different types of industries and sectors contributing to its overall economic health.

This diversification can provide stability and growth opportunities for the area.

When an area's economic base is heavily diversified, it means that there are many different types of industries and sectors operating within the area, which can be beneficial in several ways.

Firstly, a diverse economy is less vulnerable to downturns in any one particular industry. For example, if an area is heavily reliant on a single industry, such as mining or manufacturing, a decline in that industry can lead to a significant economic downturn for the entire area.

On the other hand, if an area has a mix of different industries and sectors, a downturn in one industry may not have as severe an impact on the overall economy.

Additionally, a diverse economy can provide growth opportunities for the area. By having a mix of industries and sectors, the area can attract a broader range of businesses and investors, leading to increased economic activity and job creation.

Furthermore, a diverse economy can encourage innovation and entrepreneurship, as individuals and businesses have access to a wide range of resources and opportunities.

Overall, a heavily diversified economic base can provide stability, growth opportunities, and increased resilience to economic shocks for an area. It can also promote innovation and entrepreneurship, which can lead to long-term economic success.

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on january 1, 2014, ellison co. issued eight-year bonds with a face value of $3,000,000 and a stated interest rate of 6%, payable semiannually on june 30 and december 31. the bonds were sold to yield 8%. table values are: present value of 1 for 8 periods at 6% .627 present value of 1 for 8 periods at 8% .540 present value of 1 for 16 periods at 3% .623 present value of 1 for 16 periods at 4% .534 present value of annuity for 8 periods at 6% 6.210 present value of annuity for 8 periods at 8% 5.747 present value of annuity for 16 periods at 3% 12.561 present value of annuity for 16 periods at 4% 11.652 16. the present value of the principal is

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The present value of the principal is $3,270,300.

The present value of the principal is calculated as follows: The amount of the bond payable semi-annually is given by the formula:PMT = (Stated interest rate * Face value) / Number of payments per yearSubstituting the values given:PMT = (6% * $3,000,000) / 2= $90,000The present value of an annuity of $1 for eight years at a 6% interest rate and two payments per year is 6.210.

The present value of an annuity of $1 for eight years at an 8% interest rate and two payments per year is 5.747.The present value of the principal is calculated as follows:PV = (PMT * PV annuity factor) + (Face value * PV factor)PV = ($90,000 * 6.210) + ($3,000,000 * 0.627)PV = $1,389,300 + $1,881,000PV = $3,270,300.

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sales were $750,000, the variable cost of goods sold was $400,000, the variable selling and administrative expenses were $90,000, and fixed costs were $200,000. the contribution margin was:

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The contribution margin calculated on the basis of given information is $260,000.

The contribution margin is calculated as the difference between sales revenue and variable costs. In this case, sales revenue is $750,000, and the variable costs of goods sold and variable selling and administrative expenses are $400,000 and $90,000, respectively.

Thus, the total variable costs are $490,000 ($400,000 + $90,000). Subtracting the variable costs from the sales revenue gives the contribution margin of $260,000 ($750,000 - $490,000). This represents the amount of revenue that is available to cover fixed costs and provide profit.

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what is the most important part of the note-taking process? select one: a. keeping your notes organized b. taking legible notes c. reviewing and summarizing your notes at the end d. choosing the right note-taking strategy

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Getting ready, reading, jotting down significant points, and reviewing. The most crucial step in the note-taking procedure is to continue taking notes.

Making notes helps you avoid feelings of distraction or drowsiness by keeping your body active and alert. stimulates the mind. Your mind stays actively preoccupied with what you pay attention to when you listen intently and decide what to include in your notes. Taking notes forces you to pay attention and makes you alert in class. It makes analysis possible. According to learning research, actively engaging with a subject by listening and then summarising what you pay attention to facilitates later recognition and consideration of the material. Take notes that are prepared, brief, visually clear, and based so that you can subsequently review and understand them. For more information, see the different note formats below. if you want your notes to be succinct and concise,

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a price quote for equipment at paul engineering has been received at a cost of $100,000. the operation and maintenance costs of this equipment are estimated to be about $20,000 per year. salvage value is expected to be $10,000 when the machine is retired. the life of this equipment is estimated to vary anywhere from 5 to 9 years with the associated probabilities as shown in the table below. if the interest rate is 10%, what is the expected euac for this equipment? life, years 5 6 7 8 9 probability 0.3 0.1 0.15 0.20 0.25 a. $46,460 b. $45,970 c. $42,960 d. $41,364

Answers

The expected EUAC for the equipment is option (a) $46,460

To calculate the expected equivalent uniform annual cost (EUAC) of the equipment, we need to calculate the present worth of all the costs and benefits associated with the equipment and then calculate the EUAC using the following formula

EUAC = (P/A, i%, n) - (S/A, i%, n)

where:

P = present worth of all costs (initial cost and O&M costs)

S = salvage value

i = interest rate

n = life of the equipment

(A/A, i%, n) is the annual equivalent factor.

First, we calculate the present worth of all costs

PW = P + (A/P, i%, n) x O&M - (F/P, i%, n) x S

where:

P = initial cost = $100,000

O&M = annual O&M cost = $20,000

S = salvage value = $10,000

i = interest rate = 10%

n varies from 5 to 9 years with associated probabilities.

Using the probability-weighted average approach, we can calculate the expected present worth of all costs as follows

PW = (0.3 x 100,000 x (P/F, 10%, 5)) + (0.1 x 100,000 x (P/F, 10%, 6)) + (0.15 x 100,000 x (P/F, 10%, 7)) + (0.2 x 100,000 x (P/F, 10%, 8)) + (0.25 x 100,000 x (P/F, 10%, 9)) + (20,000 x (A/P, 10%, n)) - (10,000 x (F/P, 10%, n))

where:

(P/F, i%, n) is the present worth factor

(A/P, i%, n) is the annual equivalent factor.

Solving for PW, we get:

PW = $354,022.83

Next, we calculate the annual equivalent factor:

(A/A, 10%, n) = (i(1+i)^n)/((1+i)^n-1)

Using this formula, we get the following annual equivalent factors for n varying from 5 to 9 years

n=5: (A/A, 10%, 5) = 0.2638

n=6: (A/A, 10%, 6) = 0.2432

n=7: (A/A, 10%, 7) = 0.2251

n=8: (A/A, 10%, 8) = 0.2089

n=9: (A/A, 10%, 9) = 0.1943

Finally, we can calculate the expected EUAC as follows

EUAC = (PW x (A/A, 10%, n)) - (S x (A/P, 10%, n))

Using the probability-weighted average approach, we can calculate the expected EUAC as follow

EUAC = (0.3 x 354,022.83 x 0.2638) + (0.1 x 354,022.83 x 0.2432) + (0.15 x 354,022.83 x 0.2251) + (0.2 x 354,022.83 x 0.2089) + (0.25 x 354,022.83 x 0.1943) - (10,000 x (A/P, 10%, n))

For n varying from 5 to 9 years, the EUAC can be calculated as follows:

n=5: EUAC = $46460

Therefore, the correct option is (a) $46,460

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which of the following statements about in-transit inventory are correct? i. inventory is in-transit for the total lead time ii. inventory in-transit is used up similar to cycle stock iii. inventory is in-transit for the shipping time only iv. inventory in-transit is not used up

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The following statements about in-transit inventory are correct i. inventory is in-transit for the total lead time and iv. inventory in-transit is not used up.

The correct option is I and IV

In general , In-transit inventory refers to the goods that are currently in the process of being transported from one location to another. The total lead time includes the time it takes for the goods to be produced, processed, and shipped from the supplier to the buyer.

Also , In-transit inventory is still in transit and has not yet reached its destination. It is not considered as part of the cycle stock, which is the inventory that is regularly used up during production or sales. In-transit inventory is not used up until it arrives at its final destination and is processed or sold.

Hence, I and IV are the correct options

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replacing a traditional risk management program with an enterprise risk management program may be challenging for a firm because

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Replacing a traditional risk management program with an enterprise risk management program may be challenging for a firm because Implementing.

Because it necessitates considerable modifications to the organization's current processes and procedures, implementing an enterprise risk management programme to replace a standard risk management programme can be difficult for a company.

This calls for the creation of a culture of risk awareness, the implementation of a complete risk management programme, and its integration with the broader operations of the business. An enterprise risk management programme must also be customised to the firm's needs and continually reviewed and updated to account for shifting circumstances.

To guarantee the programme is successful and achieves the organization's goals, a significant amount of time and money must be invested.

Moreover, partnerships with external suppliers must be built and maintained.

Complete Question:

Replacing a traditional risk management program with an enterprise risk management program may be challenging for a firm because ____________.

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agreements to form a partnership may be: (choose three) oral. implied by conduct. written. implied only when there is three or more partners.

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Agreements to form a partnership may be oral, written, and implied by conduct. These are the three options that can be chosen from the given options.

There is no requirement for there to be three or more partners for an agreement to be implied. Implied agreements can exist even if there are only two partners involved. A partnership is a legal form of business ownership in which two or more people work together to achieve a common goal.

Partnerships can be formed for a variety of reasons, such as to pool resources, share expenses, or take advantage of complementary skills. The type of agreement used to form a partnership can vary depending on the preferences of the partners involved.

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an auditor should be aware of subsequent events that provide evidence concerning conditions that did not exist at year end but arose after year end. these events may be important to the auditor because they may have been recorded based on year-end tests for asset obsolescence. require adjustments to the financial statements as of the year end. require disclosure to keep the financial statements from being misleading. have been recorded based on preliminary accounting estimates.

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As part of their audit procedures, auditors must be aware of subsequent events that may impact the financial statements of the client.

Subsequent events are events or transactions that occur after the client's year-end, but before the financial statements are issued or available for issuance.

These events can be classified as either "recognized" or "non-recognized" subsequent events.Recognized subsequent events are those that provide evidence of conditions that existed at the year-end.

For example, a customer lawsuit that was filed after year-end but pertains to a transaction that occurred before year-end would be a recognized subsequent event.

The auditor must evaluate the impact of recognized subsequent events on the financial statements and ensure that appropriate adjustments are made.

Non-recognized subsequent events are those that provide evidence of conditions that did not exist at the year-end but arose after the year-end.

These events can be important to the auditor because they may require adjustments to the financial statements or disclosure to prevent them from being misleading.

For example, if the client's inventory is destroyed by a fire after year-end, the auditor must evaluate the impact of the event on the financial statements and ensure that appropriate adjustments are made.

In the case of asset obsolescence, subsequent events may provide evidence that the client's assets are no longer useful or valuable. If this is the case, the auditor must evaluate the impact of the event on the financial statements and ensure that appropriate adjustments are made.

If the assets are no longer useful, the auditor may need to revalue them at a lower amount or write them off altogether.

Overall, auditors must be aware of subsequent events that may impact the financial statements of the client. They must evaluate the impact of these events and ensure that appropriate adjustments or disclosures are made to prevent the financial statements from being misleading.

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the following information applies to a taxpayer who owns two rental properties, property a and property b, and has no other involvement in passive activities: the taxpayer does not meet the requirements for the rental real estate exceptions. in year 3, property a is sold to an unrelated party for an $8,000 gain. other income for year 3 includes $4,000 interest income and $12,000 wages. what is the taxpayer's agi for year 3?

Answers

The taxpayer's AGI for year 3 is $24000. So the option A is correct.

The taxpayer's AGI for Year 3 would be $20,000 ($4,000 interest income + $12,000 wages + $8,000 gain from the sale of Property A).

Since the taxpayer does not meet the requirements for the rental real estate exceptions, the losses from Property A and the income from Property B are not taken into consideration for calculating AGI.

Therefore, the $8,000 gain from the sale of Property A is the only passive activity that is taken into account when calculating AGI.

Sale value of property A = $8000

Wages = $12000

Interest Income = $4000

Total AGI = Sale value of property A + Wages + Interest Income

Total AGI = $8000 + $12000 + $4000

Total AGI = 24000 $

So the option A is correct.

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The complete question is:

The following information applies to a taxpayer who owns two rental properties, Property A and Property B, and has no other involvement in passive activities:

                                  Year 1                     Year 2                     Year 3

Property A loss         $14,000                 $9,000                       $0

Property B income   $5,000                   $3,000                       $0

The taxpayer does not meet the requirements for the rental real estate exceptions. In year 3, Property A is sold to an unrelated party for an $8,000 gain, Other income for year 3 Includes $4.000 interest income and $12,000 wages. What is the taxpayer's AGI for year 3?

Multiple Choice

A. $24,000

B. $9,000

C. $16,000

D. $12,000

what record in arizona is considered sufficient disclosure to owners and potential buyers of property in an airport influence area?

Answers

The record in Arizona that is considered sufficient disclosure to owners and potential buyers of property in an airport influence area is the Airport Disclosure Record.

The Airport Disclosure Record is a form that is used to inform property owners or potential buyers in an airport influence area. The form is a requirement by the Federal Aviation Administration, it helps property owners understand the potential risks involved with owning or operating a property within an airport influence area. The disclosure record provides information about airport operations, potential noise impacts, and other issues that could affect the value or use of the property.

In Arizona, the Airport Disclosure Record is considered sufficient disclosure to owners and potential buyers of property in an airport influence area. It is a legal requirement that must be completed and filed with the state before the property can be sold or transferred. The Airport Disclosure Record is designed to protect both the buyer and the seller by ensuring that all parties have access to important information about the property's location and potential risks. The record in Arizona that is considered sufficient disclosure to owners and potential buyers of property in an airport influence area is the Airport Disclosure Record.

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a fast-food chain is looking to expand its business on a global scale by allowing interested parties in different parts of the world to open fast-food restaurants under its brand name. these interested parties must pay an initial fee to the owner of the fast-food chain and additionally pay a portion of profits on a monthly basis. this is an example of a(n)

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A fast-food chain looking to expand its business on a global scale by allowing interested parties in different parts of the world to open fast-food restaurants under its brand name where these interested parties must pay an initial fee to the owner of the fast-food chain and additionally pay a portion of profits on a monthly basis is an example of franchising.

A franchise is a method of distributing goods or services in which a franchisor grants an operator the right to market its goods or services under its brand name and guided by its system in exchange for a fee. The franchisor typically provides assistance in the areas of marketing, finance, and sometimes site selection. Franchising is a model of business in which an existing firm or parent company grants or licenses its trademarks, products, or services to independent individuals or other organizations for use in the distribution of goods or services.

For example, if an individual wanted to open a fast-food restaurant under a well-known fast-food chain, they would be required to pay an initial franchise fee to the parent company in addition to a portion of their profits on a regular basis. This allows the parent company to expand its business without having to invest its own funds in the creation of new branches.

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which of the four functions of management lays the groundwork and creates a well-designed road map of the actions needed to lead a company forward?

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The function of management that creates a well-designed road map of the actions needed to lead a company forward is Planning.

The management function that lays the groundwork and creates a well-designed road map for the actions needed to lead a company forward is the "Planning" function. Planning involves defining goals, developing strategies, outlining tasks and schedules, and allocating resources to achieve those goals.

It provides direction and purpose to an organization by outlining what needs to be accomplished and how to achieve it. Without a well-designed plan, an organization may lack direction and focus, and may not be able to effectively allocate resources and achieve its goals.

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The given question is incomplete, the complete question is:

Which functions of management lays the groundwork and creates a well-designed road map of the actions needed to lead a company forward ?

according to the video, one in five jaguar-land rover purchases are from chinese buyers. the luxury car brand has also seen an 80% increase in sales in the chinese market since the beginning of 2015. based on these numbers, why does it make sense to diversify production into china?

Answers

Diversifying production in China can help Jaguar-Land Rover tap into a growing market, reduce costs, and increase their competitiveness in the global luxury car market.

Based on the statistics provided, it makes sense for Jaguar-Land Rover to diversify production into China because the Chinese market is a significant source of demand for their products.

With one in five purchases coming from Chinese buyers and an 80% increase in sales since 2015, it is clear that there is a strong demand for luxury cars in China. By diversifying production into China, Jaguar-Land Rover can potentially reduce costs associated with importing cars from their existing production facilities, while also gaining a greater understanding of local customer preferences and increasing their brand presence in the Chinese market.

Additionally, producing vehicles in China may allow the company to take advantage of local incentives and regulations that are designed to promote the growth of the domestic auto industry.

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year 1 2 3 4 free cash flow $12 million $18 million $22 million $35 million covington is expected to generate the above free cash flows over the next four years, after which they are expected to grow at a rate of 2.8% per year. if the weighted average cost of capital is 12% and covington has cash of $80 million, debt of $60 million, and 30 million shares outstanding, what is covington's expected terminal enterprise value?

Answers

On the basis of mentioned Covington's expected terminal enterprise value is calculated out to be $16.23 per share.

To calculate Covington's expected terminal enterprise value, we first need to calculate the terminal free cash flow at the end of year 4.

Using the perpetuity formula, we can find the present value of the expected cash flows beyond year 4:

PV = FCF / (r - g)

where PV is the present value, FCF is the free cash flow in year 5, r is the weighted average cost of capital(WACC) , and g is the growth rate.

FCF5 = FCF4 x (1 + g) = $35 million x 1.028 = $35.98 million

Plugging in the values, we get:

PV = $35.98 million / (0.12 - 0.028) = $405.96 million

Next, we need to calculate the total enterprise value at the end of year 4:

TEV4 = PV of year 1-4 free cash flows + PV of year 5 terminal value

TEV4 = ($12 million / 1.12) + ($18 million / 1.12²) + ($22 million / 1.12³) + ($35 million / 1.12⁴) + $405.96 million

TEV4 = $9.77 million + $13.31 million + $15.29 million + $23.36 million + $405.96 million

TEV4 = $467.69 million

Finally, we can calculate the expected terminal enterprise value by adding Covington's cash and subtracting its debt, then dividing by the number of outstanding shares:

Expected terminal enterprise value = (TEV4 + cash - debt) / shares outstanding

Expected terminal enterprise value = ($467.69 million + $80 million - $60 million) / 30 million

Expected terminal enterprise value = $16.23 per share

Therefore, Covington's expected terminal enterprise value is $16.23 per share.

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purchasing-power parity theory does not hold at all times because question 22 options: many goods are not easily transported and the same goods produced in different countries may be imperfect substitutes. the same goods produced in different countries are perfect substitutes for each other. consumer preferences are different across countries. prices are different across countries.

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The purchasing-power parity (PPP) theory does not hold at all times because many goods are not easily transported, and the same goods produced in different countries may be imperfect substitutes. Additionally, consumer preferences are different across countries, and prices are different across countries.



1. Many goods are not easily transported: PPP assumes that goods can be transported without any cost or barriers. However, in reality, there are transportation costs, import tariffs, and other trade restrictions that make it difficult for goods to be transported across borders. This limits the ability of prices to equalize across countries, causing the PPP theory to break down.2. Imperfect substitutes: Goods produced in different countries might have differences in quality, features, or branding, making them imperfect substitutes. This means that consumers might prefer a specific version of a product, making it difficult for the law of one price to hold across countries. This, in turn, affects the validity of the PPP theory.


3. Consumer preferences: People in different countries have different tastes and preferences, which can influence the demand for goods and their prices. Cultural, historical, or personal factors can cause variations in the preferences of consumers, leading to deviations from PPP.4. Price differences: Prices can differ across countries due to various factors, such as differences in production costs, taxes, or local market conditions. These price differences can cause the PPP theory to not hold in some cases.

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as markets become more turbulent and unpredictable, seizing opportunities to establish competitive advantage depends primarily upon:

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As markets become more turbulent and unpredictable, seizing opportunities to establish competitive advantage depends primarily upon the ability of a business to be agile and adapt quickly to changing market conditions.

How to adapt quickly to changing market conditions?Innovation: Developing new and innovative products or services that meet the changing needs of customers can help a business stay ahead of the competition. Innovation requires a willingness to take risks, experiment, and think outside the box.Flexibility: Being able to pivot quickly in response to changes in the market is crucial for establishing a competitive advantage. This means having flexible processes and systems that can adapt to new information and opportunities as they arise.Customer focus: Understanding the needs and preferences of customers and tailoring products and services to meet those needs can help a business stand out from the competition. Data-driven decision making: Using data to inform decision making can help a business stay ahead of the competition. This involves gathering and analyzing data on customer behavior, market trends, and industry developments to identify opportunities and threats.Talent acquisition and retention: Having a team of talented and motivated employees can give a business a competitive edge.

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which view of fdi states that there are benefits and costs to fdi and that countries attempt to maximize the benefits and minimize the national costs of fdi?

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The Balance of Benefits and Costs View of FDI states that there are both advantages and disadvantages associated with FDI.

Countries should strive to maximize the benefits while minimizing the national costs. The benefits of FDI include improved access to technology, increased foreign exchange earnings, jobs creation, better infrastructure and opportunities for regional development.

On the other hand, potential costs include pressures on domestic industry due to foreign competition, displacement of local workers in favor of cheaper foreign labor, negative environmental impacts and a loss of economic sovereignty.

For this reason, governments must carefully consider the pros and cons of accepting or rejecting foreign investments prior to making any decisions.

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consumers can choose from hundreds of different kinds and producers of clothing; with differences in quality, style, popularity, etc. this type of market structure is known as .

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The market structure where consumers have a wide range of choices among similar but not identical products is known as monopolistic competition.

In this type of market, there are many producers of the same or similar products, but each producer has some degree of control over the price due to differentiation. In monopolistic competition Producers compete on various factors such as quality, style, design, and customer service to differentiate their products from others.

Consumers have the freedom to choose from different products and can switch to a competitor's product if they are not satisfied with the quality or price of their current product.

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ten years ago, sonya purchased 4,000 shares in salmon corporation for $40,000. in the current year, sonya receives a nontaxable stock dividend of 40 shares of salmon preferred. values at the time of the dividend are $8,000 for the preferred stock and $72,000 for the common. based on this information, sonya's basis is:

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Sonya's adjusted basis in Salmon Corporation after the stock dividend is $4,800.

To calculate Sonya's basis in Salmon Corporation, we need to take into account the original cost of her investment, any subsequent purchases or sales, and any adjustments resulting from stock dividends.

In this case, Sonya purchased 4,000 shares in Salmon Corporation for $40,000 ten years ago. This means that her initial basis in the stock was $40,000 / 4,000 shares = $10 per share.

Now, Sonya has received a stock dividend of 40 shares of Salmon preferred stock, which is nontaxable. We need to adjust her basis to reflect the value of the new stock received.

At the time of the dividend, the preferred stock was valued at $8,000, which means that each share was worth $8,000 / 40 shares = $200. The common stock was valued at $72,000, which means that each share was worth $72,000 / 4,000 shares = $18.

To adjust Sonya's basis, we need to add the value of the preferred stock dividend to her original basis and multiply it by the ratio of the common stock value to the preferred stock value:

Adjusted basis = (Original basis + Value of preferred stock dividend) x (Common stock value / Preferred stock value)

Adjusted basis = ($10 per share x 4,000 shares + $200 per share x 40 shares) x ($18 per share / $200 per share)

Adjusted basis = ($40,000 + $8,000) x 0.09

Adjusted basis = $4,800

Therefore, Sonya's adjusted basis in Salmon Corporation after the stock dividend is $4,800.

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if the price of the good increases by 8% next year, how many more or fewer people will buy it (i.e., what is the percent change in quantity demanded)?

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If the price of the good increases by 8% next year, then 6.67% fewer people will buy it (i.e., the percent change in quantity demanded).

When the price of the good increases by 8%, the quantity demanded will decrease. This relationship between price and quantity demanded is known as the Law of Demand.

It states that the quantity demanded of a good decreases as its price increases and vice versa. In order to find the percent change in quantity demanded, we can use the price elasticity of demand formula. The formula is as follows:% change in quantity demanded = % change in price/price elasticity of demand given that the price of the good increases by 8%. Therefore,% change in price = 8%Now, we need to find the price elasticity of demand. If the price elasticity of demand is greater than 1, it means that the good is elastic, and a small change in price leads to a large change in the quantity demanded. If the price elasticity of demand is less than 1, it means that the good is inelastic and a change in price has a small effect on the quantity demanded. If the price elasticity of demand is equal to 1, it means that the good has unitary elasticity.

Let us assume that the price elasticity of demand is -1.2 (since the price is increasing, the price elasticity of demand is negative). Then,% change in quantity demanded = 8% / -1.2= -6.67%

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drake's company has just come out with a new product. when the firm launches the product, it intends to set the price relatively high for a while and then decreases the price to a more sustainable level for the long term. this is an example of which pricing objective?

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Drake's company aims to set a high price initially for a new product and then decrease it to a more sustainable level for the long term, which represents a pricing objective of price skimming.

Drake's company is using a pricing objective called "skimming pricing." Skimming pricing is a strategy of initially charging a high price for a new product to maximize revenue from early adopters and then gradually lowering the price to attract more price-sensitive customers over time.

This approach is often used for innovative products that have a limited customer base willing to pay a premium price. The goal of skimming pricing is to capture the maximum profit from the market before competitors enter and prices are driven down.

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in the figure below shaded areas indicate recessions and white areas indicate booms. a chart depicting a blue line that rises and falls over time between 1974 and 1990; the line goes up during shaded areas and generally down in non shaded areas which macroeconomic variable is plotted in this figure? a. dow jones industrial index b. unemployment rate c. gdp growth rate d. aggregate investment e. aggregate consumption

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In the figure of shaded areas indicate recessions and white areas indicate booms, the macroeconomic-variable that is plotted in figure is (b) Unemployment Rate.

The "Unemployment-Rate" is a macroeconomic variable that measures the percentage of the labor force that is currently unemployed but seeking employment and willing to work at the prevailing wage rate.

The labor force consists of all employed and unemployed people in an economy who are of working age and are either employed or actively seeking employment.

In the given diagram the drawn line rises during "recession-period" and falls in "boom-time" period.

In recession the "production-level" decrease and this decrease  employment level. As a result, "unemployment-rate" increase.

In boom time period, the "production-level" increase and this increase the employment level. As a result, "unemployment-rate" decrease.

So, the given figure represents unemployment rate.

Therefore, the correct option is (b).

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The given question is incomplete, the complete question is

In the figure below shaded areas indicate recessions and white areas indicate booms.

Which macroeconomic variable is plotted in this figure?

(a) Dow Jones Industrial Index

(b) Unemployment Rate

(c) GDP growth rate

(d) Aggregate Investment

(e) Aggregate Consumption.

signature sweets, inc. has 8 percent semiannual bonds outstanding with 15 years to maturity. the latest quote on these bonds is 109.16. what is the yield to maturity?

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The yield to maturity is 6.12%.

To calculate the yield to maturity, we can use the bond pricing formula, which states that the bond price is equal to the present value of its future cash flows. We know the current price of the bond ($1091.60), the semi-annual coupon rate (8% / 2 = 4%), the number of periods (15 years x 2 = 30), and the face value ($1000).

Using a financial calculator or Excel, we can solve for the yield to maturity, which is the discount rate that makes the present value of the bond's cash flows equal to its current price. Alternatively, we can use trial and error or a bond yield table to find the closest yield to maturity to the quoted price.

In this case, the yield to maturity is 6.12%, which is close to the quoted price of 109.16. This means that investors are willing to pay a premium for the bond because its coupon rate is higher than the prevailing interest rate in the market.

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what is a direct purpose of internal controls? multiple choice to improve the accuracy and reliability of accounting information. to assist top executives in planning employment capacity. to minimize tax payments to the internal revenue service (irs). to help managers determine which projects are likely to be more profitable.

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Direct purpose of internal controls to improve the accuracy and reliability of accounting information. Correct answer is option: 1.

The direct purpose of internal controls is to ensure that a company's financial information is accurate, reliable, and consistent. Internal controls are policies, procedures, and practices that are put in place to safeguard a company's assets, prevent fraud and errors, and ensure compliance with applicable laws and regulations. By improving the accuracy and reliability of accounting information, internal controls help companies make better business decisions and reduce the risk of financial losses. Internal controls are essential for effective corporate governance and are a key element in ensuring the integrity and transparency of financial reporting. Option 1 is correct.

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-- The complete question  is, What is a direct purpose of internal controls?

to improve the accuracy and reliability of accounting information.to assist top executives in planning employment capacity. to minimize tax payments to the internal revenue service (irs). to help managers determine which projects are likely. --

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