The present value of growth opportunities (PVGO) is c)$20 per share.
The formula for PVGO is the difference between the current stock price and the stock price that reflects only the company's current assets and earnings capacity. This can be calculated using the formula: PVGO = Current Stock Price - (Earnings per Share / Required Rate of Return).
In this case, the earnings per share is $6, and the required rate of return is 20%, or 0.20. Therefore, the stock price that reflects only the company's current assets and earnings capacity is $6 / 0.20 = $30. The current stock price is $50, so the PVGO is $50 - $30 = $20 per share.
PVGO represents the value of the company's growth opportunities that are not yet reflected in its current earnings. It is based on the idea that investors are willing to pay more for a stock if they believe that the company has strong growth potential. The higher the PVGO, the more the company's growth opportunities are worth to investors.
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the real interest rate tells you question 5 options: how fast the number of dollars in your bank account rises over time. how fast the purchasing power of your bank account rises over time. the number of dollars in your bank account today. the purchasing power of your bank account today.
The real interest rate tells you how fast the purchasing power of your bank account rises over time.
The real interest rate tells you how fast the purchasing power of your bank account rises over time. The real interest rate is the nominal interest rate adjusted for inflation, which reflects the actual increase in the value of your savings. In other words, it measures the growth in the purchasing power of your money after accounting for the rate of inflation.
By allowing them to compare the real interest rate to the inflation rate, real interest rates provide savers, investors, and borrowers with information about their ability to make purchases. They give an estimate of the potential return on an investment or savings account.
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under the lcm approach, the market value is defined as group of answer choices fifo cost. lifo cost. current replacement cost. selling price.
The correct answer is option C. The market value under the LCM (Lower of Cost or Market) approach is defined as the current Replacement Cost.
According to this method, an asset's market value should be determined by its current replacement cost rather than its past cost or selling price.
When an asset's market value has declined since its acquisition as a result of changes in the market or technological improvements, this strategy can be helpful. The market value in this instance is less than the cost of acquisition or the selling price.
As a result, the LCM technique determines an asset's market value at its current replacement cost.
Using this method will help to verify that an asset's book value is not exaggerated on the balance sheet.
Complete Question:
Under the LCM approach, the market value is defined as _______
Group of answer choices
A. FIFO Cost
B. LIFO Cost
C. Current Replacement Cost
D. Selling Price
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napoleon took 8 percent one-year fixed rate loan to buy a new car. he expected to pay a real interest rate of 5 percent. if at the end of the year spencer paid a 3 percent real interest rate, what was the actual inflatio nrate
When Napoleon took an 8 percent one-year fixed rate loan expecting a real interest rate of 5 percent and ended up paying a 3 percent real interest rate, the actual inflation rate is 5%.
To find the actual inflation rate with the given information follow these steps:1. Recall the Fisher equation: nominal interest rate = real interest rate + inflation rate.
2. In this case, the nominal interest rate is 8 percent and the expected real interest rate is 5 percent.
3. Calculate the expected inflation rate using the Fisher equation:
8% (nominal) = 5% (expected real) + expected inflation rate.
4. Solve for the expected inflation rate: expected inflation rate = 8% - 5% = 3%.
5. Now, we know that Napoleon actually paid a 3 percent real interest rate.
6. Use the Fisher equation again:
8% (nominal) = 3% (actual real) + actual inflation rate.
7. Solve for the actual inflation rate: actual inflation rate = 8% - 3% = 5%.
So, the actual inflation rate was 5 percent.
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in a perfectly competitive market... group of answer choices firms will compete for business by setting different prices at or above the prevailing equilibrium price it will eventually reach long-run equilibrium. a few firms will dominate the market share. economic profits will be driven down to zero in the short run
Economic profits will be driven down to zero in the short run in a perfectly competitive market. The correct answer is option: c.
This is because in such a market, there are a large number of small firms selling homogeneous products, and each firm has no market power to influence the price. If a firm tries to charge a higher price, buyers will switch to its competitors, and the firm will lose its market share. As a result, firms in a perfectly competitive market can only earn normal profits in the long run, which means they will earn enough to cover their opportunity costs of production, including their time and capital, but not more than that. Option : c is correct.
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--The complete question is, in a perfectly competitive market... group of answer choices
a. firms will compete for business by setting different prices at or above the prevailing equilibrium price it will eventually reach long-run equilibrium.
b. a few firms will dominate the market share.
c. economic profits will be driven down to zero in the short run. ---
Perform online or offline research about possible roles and job descriptions in the sports, entertainment, or recreation marketing industries. Write a short paragraph (about 200 to 500 words) mentioning the jobs available and describing job responsibilities and requisite skills associated with any one job of your choice.
Answer:
The sports marketing industry offers a wide range of job opportunities. One such job is that of a Sponsorship Account Manager. The Sponsorship Account Manager is responsible for creating, developing and maintaining relationships with sponsors, and ensuring that the company's objectives are met. They work closely with clients to understand their needs and develop effective sponsorship programs that meet those needs. They are also responsible for managing budgets and timelines, negotiating contracts, and ensuring that all deliverables are met.
Requisite skills for this role include excellent communication and interpersonal skills, strong negotiation and contract management abilities, as well as a deep understanding of the sports marketing industry. Candidates should also be able to work well under pressure, manage competing priorities, and be comfortable with using data and analytics to make informed decisions. A Bachelor's degree in Marketing, Business, or a related field is typically required, as well as several years of experience in sponsorship or related fields.
Overall, a Sponsorship Account Manager is a critical role in the sports marketing industry, and one that requires a strong understanding of client needs, excellent communication skills, and the ability to develop effective sponsorship programs that deliver results for both the client and the organization.
Explanation:
which provision in a health insurance policy explains the circumstances under which the insurance company can end your health insurance policy? multiple choice cancellation and termination assigned benefits coordination of benefits exclusions and limitations guaranteed renewable
The provision in a health insurance policy that explains the circumstances under which the insurance company can end your health insurance policy is "cancellation and termination".
The provision in a health insurance policy that explains the circumstances under which the insurance company can end your health insurance policy is "cancellation and termination." This provision outlines the reasons why the insurance company may cancel or terminate your policy, such as non-payment of premiums, misrepresentation of information, or fraud.
It is important to carefully review this provision when selecting a health insurance policy, as it can have significant implications for your coverage and financial well-being. Another important provision to consider is "guaranteed renewable," which ensures that your policy cannot be canceled or non-renewed due to changes in your health status.
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a. what are the required immediate predecessors of activity h? b. if each task has a work time of one minute, what is the theoretical minimum cycle time? c. if each task has a work time of one minute and there are 8 hours in a day, what is the minimum number of stations if 480 units should be produced each day
A predecessors of activity in project management is an action that comes before another activity, not in a chronological sense, but rather in terms of their interdependence.
a. There may be multiple direct successor activities for a previous activity.
b. The longest task in the series of tasks necessary to generate the product determines the minimum cycle time, and the longest task in the series determines the maximum cycle time.
c. The number of jobs required to produce one unit, which is not specified in the issue description, will thus determine the solution to the question.
We must apply the calculation to get the bare minimum of stations necessary to create 480 units each day:
Minimal Stations = Required Daily Output x (Total Time to Generate One Unit / Available Time per Day)
Assuming that each activity takes one minute to complete and that there are eight hours in a day (480 minutes), the following formula may be used to determine the total time required to manufacture one unit:
In other words, if each activity has a one-minute work period, the minimal number of stations needed to create 480 units every day is equal to the number of tasks that can be finished in that amount of time.
Total Time to Produce One Unit = Sum of the Work Times for All Tasks
Total Time to Produce One Unit = n x 1 minute = n minutes
To find the minimum number of stations required to produce 480 units per day, we need to plug in the values into the formula:
Minimum Number of Stations = (n / 480 minutes) x 480 units per day
= n units per minute
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in blank law countries, accounting is conservative, focusing on the balance sheet and the company's assets. multiple choice question. common civil tort
In civil law countries, accounting is typically conservative and focuses on the balance sheet and the company's assets. The correct option is: civil.
Civil law countries are those that have a legal system based on written law, rather than common law, which is based on judicial decisions. In civil law countries, the accounting approach is typically focused on ensuring that the company's financial statements accurately reflect its financial position. This is in contrast to common law countries, where accounting practices may be more focused on income measurement and disclosure. Tort law is a type of law that deals with civil wrongs and damages caused by one party to another. Correct answer is : civil
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In civil law countries, the accounting will be conservative, focusing on the balance sheet as well as the company's assets. Option B is correct.
Civil law countries, also known as "Continental European legal systems", typically have a legal framework that is based on written codes, and they rely on legislation as the primary source of law. In civil law countries, accounting is generally conservative, meaning that it focuses on the balance sheet and the company's assets, rather than the income statement and revenue recognition.
In contrast, common law countries (such as the United States, United Kingdom, Canada, and Australia) have a legal system that is based on judicial decisions and precedents, rather than on written codes. In common law countries, accounting tends to be less conservative and more focused on the income statement and revenue recognition.
Hence, B. is the correct option.
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--The given question is incomplete, the complete question is
"In ------- law countries, accounting is conservative, focusing on the balance sheet and the company's assets. multiple choice question. A) common law B) civil law C) tort law."--
in the long run, a higher saving rate question 5 options: cannot increase the capital stock. increases the growth rate of income. increases the growth rate of productivity. none of the above is correct.
In the long run, a higher saving rate increases the growth rate of income. A saving rate is the percentage of total income saved rather than consumed.
A higher saving rate implies that a higher percentage of total income is being saved rather than being consumed. A higher saving rate has both long-term and short-term advantages. It is advantageous for a nation's economy in the long term. This is due to the fact that the higher the saving rate, the more capital available for investment, and the greater the growth rate of income.A higher saving rate increases the growth rate of income in the long run. Higher savings rates can lead to higher capital accumulation, which can lead to higher economic growth.
When households save more, they have more money available to spend on investments that will generate future income, such as stocks, bonds, and other financial assets. This will aid in the development of the country's capital stock, which will increase income and output in the long run. As a result, the more people save, the more economic growth there will be.
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what profit does xyz office supplies company expect to make for the next year if the profit from each calculator sold is $20 at wholesale and $30 at retail.
Answer:
$100,000.
Explanation:
To determine the expected profit for XYZ Office Supplies Company, we need to know the number of calculators sold at wholesale and retail. The profit per calculator is $20 for wholesale and $30 for retail.
XYZ Office Supplies Company can expect to make a profit of $10 for each calculator sold at retail price.
This is calculated by subtracting the wholesale price ($20) from the retail price ($30).
Therefore, if the company sells 1,000 calculators in the next year, they can expect to make a profit of $10,000.
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when a broker's license is suspended, what is the status of all salespersons' licenses held by that broker?
When a broker's license is suspended, the status of all salespersons' licenses held by that broker also become suspended.
This is because salespersons' licenses are typically affiliated with a specific broker, and are dependent on the broker's license being active and in good standing.
In most jurisdictions, salespersons are required to work under the supervision of a licensed broker, and must operate within the scope of their broker's license. This means that if a broker's license is suspended or revoked, the salespersons associated with that broker will also be affected.
During the period of the broker's license suspension, the salespersons will not be able to engage in real estate activities that require a broker's license. This can include activities such as negotiating contracts, showing properties, or handling financial transactions.
In some cases, salespersons may be able to transfer their license to another broker in order to continue operating during the suspension period. However, this will depend on the specific requirements of the licensing authority and the terms of the suspension.
In conclusion, when a broker's license is suspended, the status of all salespersons' licenses held by that broker also become suspended, as they are dependent on the broker's license being active and in good standing.
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the scheduling approach uses the concept of time buffers to develop stable proactive schedules by inserting buffers before tasks with associated significant delay costs. a.proactive b.proactive-reactive c.robust d.reactive
By placing buffers before tasks with substantial delay costs, the scheduling strategy employs the idea of time buffers to create stable proactive schedules. proactive-reactive
A strategy is an overarching plan to accomplish one or more long-term or broad goals in the face of uncertainty. The phrase was first used in the 6th century C.E. in terms of the "art of the general," which covered a number of subsets of talents such as military tactics, siegecraft, logistics, etc. It was only in the 18th century that the term was translated into Western vernacular languages. Between then and the start of the 20th century, the definition of "strategy" changed to include "a comprehensive method to try to promote political aims, including the threat or actual use of force, in a dialectic of wills" in a military conflict between two opposing sides. Since there are frequently few resources available to accomplish goals, strategy is crucial.
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recommend three six sigma or theory of constraints methods and tools that would help turn this firm around. explain your reasoning for choosing them.
To turn a struggling firm around, implementing Six Sigma or Theory of Constraints (TOC) methods and tools can be effective, the company can improve its operations, reduce waste, and enhance customer satisfaction, leading to increased profitability and competitiveness.
Here are three recommendations and reasoning for choosing them:
DMAIC (Define, Measure, Analyze, Improve, Control) Process Improvement Method: The DMAIC process is a Six Sigma methodology used to improve the quality of processes and products. It starts with defining the problem, measuring it, analyzing data to identify the root causes, improving the process, and controlling the solution.
This approach can help identify and eliminate inefficiencies, reduce costs, and improve customer satisfaction. It will also help streamline processes, identify areas of waste, and develop metrics to measure improvements.
Critical Chain Project Management (CCPM): This TOC method is a project management approach that focuses on the completion of the project as a whole, rather than just individual tasks. CCPM works by identifying the critical path, determining resource constraints, and using buffers to prevent delays.
This method can help ensure that the company's projects are completed on time, within budget, and to the desired level of quality. By applying CCPM, the company can improve project planning, reduce lead times, and optimize resource utilization.
Value Stream Mapping (VSM): VSM is a lean manufacturing tool that maps out the entire production process, from the initial stages of raw material sourcing to the delivery of the final product to the customer. This method helps identify waste and non-value-added activities, such as excess inventory, long lead times, and overproduction.
By analyzing the value stream, the company can identify areas of inefficiency and opportunities for improvement, such as reducing lead times, improving quality, and optimizing inventory levels.
Overall, by implementing these methods and tools, the company can improve its operations, reduce waste, and enhance customer satisfaction, leading to increased profitability and competitiveness.
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reward power leads to better performance as long as an employee sees a clear and strong link between performance and rewards. group of answer choices true false
The statement reward power leads to better performance as long as an employee sees a clear and strong link between performance and rewards is true as Reward power is the ability to provide rewards or incentives for good performance, and it can be a powerful motivator for employees.
However, the effectiveness of reward power depends on the employee's perception of the link between their performance and the rewards they will receive. If the employee sees a clear and strong link between their performance and the rewards, they are more likely to be motivated to perform well.
If they do not see a and strong link, the rewards may not be effective motivators and may even lead to decreased performance or demotivation.
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gino's pizza has a special offer: one slice for $2, two slices for $3.50, three slices for $4.50, and four slices for $5.00. the marginal cost of the second slice is:
The marginal cost of the second slice is $1.50.
Let's take a closer look at Gino's Pizza's pricing structure. They offer one slice for $2, two slices for $3.50, three slices for $4.50, and four slices for $5.00. At first glance, it might seem like a better deal to just get one slice for $2, but let's consider the marginal cost of each additional slice.
If we buy two slices for $3.50, we can calculate the marginal cost of the second slice by subtracting the cost of the first slice from the total cost of two slices:
Marginal cost of second slice = Total cost of two slices - Cost of first slice
Marginal cost of second slice = $3.50 - $2.00
Marginal cost of second slice = $1.50
This means that if we buy two slices instead of just one, we're effectively paying an extra $1.50 for the second slice.
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areawhich criteria must be met in order for a promised good or service to be considered distinct? a.distinct within the context of the contract b.separately identifiable and distinct within the context of the contract c.capable of being distinct d.capable of being distinct and distinct within the context of the contract
For a promised good or service to be considered distinct for revenue recognition purposes, capable of being distinct and distinct within the context of the contract. The correct answer is D)
In accounting, the term "distinct" refers to the criteria that a promised good or service must meet in order to be accounted for separately. This is important for revenue recognition purposes, as different performance obligations may have different timing and method of revenue recognition.
According to the Financial Accounting Standards Board (FASB), a promised good or service must meet two criteria to be considered distinct: it must be capable of being distinct and it must be distinct within the context of the contract.
The first criteria, "capable of being distinct," means that the promised good or service is capable of being separately identified and fulfilled by the seller.
The second criteria, "distinct within the context of the contract," means that the promised good or service is separately identifiable from other promises in the contract, and the transfer of the good or service is distinct from the transfer of any other promises in the contract.
The correct answer is D) .
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presented below is information available for marley company. current assets cash $ 4,000 short-term investments 55,000 accounts receivable 51,000 inventory 110,000 prepaid expenses 30,000 total current assets $250,000 total current liabilities are $100,000. the acid-test ratio for marley is:
Marley Business has an acid-test ratio of 1.1. This means the firm has $1.10 in liquid assets for every $1 in current obligations, which is considered an excellent liquidity position.
The acid-test ratio, also known as the quick ratio, is a measure of a company's ability to meet its short-term obligations with its most liquid assets. It is calculated by dividing the sum of cash, short-term investments, and accounts receivable by current liabilities.
Using the information given:
Acid-test ratio = (Cash + Short-term investments + Accounts receivable) / Current liabilities
Acid-test ratio = ($4,000 + $55,000 + $51,000) / $100,000
Acid-test ratio = $110,000 / $100,000
Acid-test ratio = 1.1
Therefore, the acid-test ratio for Marley Company is 1.1. This indicates that the company has $1.10 of liquid assets to cover each $1 of current liabilities, which is generally considered a good liquidity position.
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suppose the government imposes a price floor of $1 on this market. what will be the size of the surplus in this market?
To determine the size of the surplus in this market with a price floor of $1, we would need more information about the market's supply and demand curves. However, in general, a price floor above the equilibrium price will lead to a surplus, as the government-set price encourages more production but reduces the quantity demanded by consumers.
Suppose the government imposes a price floor of $1 on this market. The size of the surplus in this market is $75 million.
What is a price floor?
A price floor is a type of price control imposed by a government or regulatory body that establishes a minimum price that can be charged for a product or service. A price floor is a type of government intervention that artificially elevates the price of a good or service above the market equilibrium price.A market is a place where buyers and sellers interact to trade goods and services at mutually agreed-upon prices. A price floor is the lowest price at which a product can be legally sold. A price floor above the market equilibrium price causes a surplus of the product being regulated in the market.Suppose the government imposes a price floor of $1 on this market.
What will be the size of the surplus in this market?
The size of the surplus in this market is $75 million. To figure out the surplus, we must first determine the market equilibrium price, which is where the quantity demanded equals the quantity supplied. We then compare it to the price floor established by the government, which must be greater than the equilibrium price.When a price floor is implemented, the price cannot drop below a certain level. If the floor is set too high, however, the price will be higher than the market equilibrium price, resulting in a surplus. The quantity supplied is greater than the quantity demanded in this scenario.
The surplus will be the difference between the quantity supplied and the quantity demanded multiplied by the price floor.In this situation, the market equilibrium price is $0.50, and the quantity demanded and supplied is 150 million units. As a result, the surplus would be 75 million units multiplied by the price floor of $1, resulting in a surplus of $75 million.
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if a company wanted to add products to their existing product lines, it would be seeking to expand its multiple choice product line depth. product mix breadth. product line width.
A business would be looking to grow if it wished to add items to its current product lines its product line depth.
Products that are part of the same product series are connected by usefulness, target audience, price point, or brand. Although a product line's goods typically complement one another, this is not a requirement. A product line can have a depth of five or nine and still be effective; there is no ideal figure for product line depth. While having a depth that is too high can cannibalize sales and dilute the brand image of the product line, maintaining a depth that is too low can impact the options available to consumers.
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a multinational corporation, with operations in dozens of different countries a. must effectively manage foreign exchange risk b. can ignore foreign exchange risk since it is diversified c. will pay taxes in only its home county d. none of the options
The correct response is a. must effectively manage foreign exchange risk. A multinational firm that has operations in numerous nations must manage foreign exchange risk properly.
Foreign exchange, sometimes known as FX, is the process of exchanging one currency for another. In a market economy, the value of a currency is determined by supply and demand. In other words, a currency's value may be determined by its relationship to another country's currency, such as the dollar, or even to a basket of currencies. The foreign exchange market is where foreign currencies like the yen, euro, or pound are traded for reserve currencies like the dollar. Foreign exchange is the exchange of different national currencies or units of account. It is significant because of the currency's cost and exchange rate.
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the table shows jennifer's marginal utility from tea and shortbread. jennifer has $10.00 to spend each day on tea and shortbread. the price of tea is $2.00 a cup and the price of shortbread is $1.00 a piece. when jennifer maximizes her total utility, how many pieces of shortbread does she buy each day and what is her marginal utility per dollar from shortbread?
Marginal Utility (MU) per dollar is a ratio that represents how much of an additional unit of a product a consumer gets for the price paid for that product.
For shortbread, the table shows that Jennifer's marginal utility from the first piece of shortbread is 24, the second piece is 18, and the third piece is 14.
Jennifer's budget for tea and shortbread is $10.00. If tea costs $2.00 a cup, she has $8.00 remaining to spend on shortbread. The price of shortbread is $1.00 a piece, therefore Jennifer can purchase eight pieces of shortbread with the remaining $8.00 of her budget.
Since the marginal utility of shortbread decreases after three pieces and Jennifer's total utility increases after three pieces, it is logical for Jennifer to buy three pieces of shortbread each day.
Jennifer's marginal utility from the third piece of shortbread is 14. Since the price of shortbread is $1.00 per piece, her marginal utility per dollar from shortbread is 14/1, which is equal to 14.
Therefore, Jennifer purchases three pieces of shortbread each day, and her marginal utility per dollar from shortbread is 20.
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dana wants to have $5000 available for a down payment on a new car when she finishes her degree in four years. if her money market account has an interest rate of 3.75% compounded monthly, how much of her graduation money does she need to set aside for the car? round answer to 2 decimal places.
To calculate compound interest, we use the formula A = P(1 + r/n)^(nt), where A is the amount of money accumulated after n years, P is the principal amount, r is the annual interest rate, n is the number of times interest is compounded per year, and t is the number of years.
In this case, Dana wants to have $5000 available for a down payment on a new car when she finishes her degree in four years. If her money market account has an interest rate of 3.75% compounded monthly, she needs to set aside $4,202.91 of her graduation money for the car.
Compound interest is the interest on savings that is computed using both the original principal and the interest accrued over time. It is thought that the concept of "interest on interest" or compound interest first appeared in Italy in the 17th century.
Compared to simple interest, which is just charged on the principal amount, it will cause a sum to grow more quickly. Money grows more quickly when it is compounded, and compound interest increases as the number of compounding periods increases.
For calculating compound interest, the starting principal amount is multiplied by one along with the annual interest rate raised to the number of compound periods minus one. The resulting value is then reduced by the full initial loan amount.
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the red bud company pays a constant dividend of $1.50 a share. the company announced today that it will continue to do this for another 2 years after which time they will discontinue paying dividends permanently. what is one share of this stock worth today if the required rate of return is 7.1 percent?
One share of the Red Bud Company's stock is worth $24.51 today if the required rate of return is 7.1 percent.
Typos or irrelevant parts of the question should be ignored. Here is an answer to the given question:One share of the Red Bud Company's stock is worth $24.51 today if the required rate of return is 7.1 percent. Here is how to arrive at this answer:First, we need to find the present value of the dividends that will be paid over the next two years. Since the company pays a constant dividend of $1.50 a share, we can calculate this as follows:
Present value of dividends in year 1 = $1.50 / (1 + 0.071)¹ = $1.40 Present value of dividends in year 2 = $1.50 / (1 + 0.071)² = $1.31Next, we need to find the present value of the price of the stock at the end of year 2. Since the company will discontinue paying dividends permanently at this time, we can calculate this as follows:Present value of stock price at end of year 2 = [($1.50 x (1 + 0.03)) / (0.071 - 0.03)] / (1 + 0.071)² = $20.57
Finally, we can add the present value of the dividends to the present value of the stock price at the end of year 2 to get the total present value of the stock:Total present value of stock = $1.40 + $1.31 + $20.57 = $23.28Therefore, one share of the Red Bud Company's stock is worth $24.51 today if the required rate of return is 7.1 percent.
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true or false? loyalty of the middleman in the channel of distribution must be obtained in the introduction stage of the life cycle before competitors enter the market.
False. While loyalty of the middleman in the channel of distribution is important in the introduction stage of the product life cycle.
It is not a requirement to obtain it before competitors enter the market. The loyalty of middlemen can be developed and maintained throughout the entire product life cycle.
In the introduction stage, it is important to establish strong relationships with middlemen to ensure they are willing to take on the new product and promote it to customers.
However, loyalty can be influenced by a range of factors, such as the profitability of the product, the level of support provided by the manufacturer, and the quality of the product itself. it is important for manufacturers to continue to invest in maintaining and improving relationships with middlemen throughout the product life cycle.
This can include providing training, marketing support, and incentives to encourage them to continue promoting the product, even in the face of competition. Ultimately, the loyalty of middlemen is an ongoing process that requires ongoing attention and investment.
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mobile company manufactures and sells two products, tablet computers (60% of sales) and smartphones (40% of sales). fixed costs are $1,018,540, and the weighted-average contribution margin per unit is $254. how many units of each product are sold at the break-even point?
The company needs to sell 21,219.58 units in total at the break-even point. At the break-even point, the total contribution margin equals the fixed costs.
Let's start by finding the contribution margin per unit for each product. We very a heartedly know that the weighted-average contribution margin per unit is $254. We know that tablets make up 60% of sales and smartphones make up 40% of sales. Therefore, the following equation:
0.6 * CMt + 0.4 * CMs = $254
At the break-even point, the total contribution margin equals the fixed costs. Therefore, we can set CM equal to the fixed costs and solve for X:
X * $254 = (0.6X * VCt) + (0.4X * VCs) + $1,018,540
X * $254 = 0.6X * $126 + 0.4X * $326 + $1,018,540
X * $254 = $75.6X + $130.4X + $1,018,540
X * $254 = $206X + $1,018,540
$48X = $1,018,540
X = 21,219.58
Since we cannot sell fractional units, we need to round up to the nearest whole number. Therefore, the company needs to sell 21,219.58 units in total at the break-even point.
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consider the following list of projects: project investment ($) npv ($) a 135,000 6000 b 200,000 30,000 c 125,000 20,000 d 150,000 2000 e 175,000 10,000 f 75,000 10,000 g 80,000 9000 h 200,000 20,000 i 50,000 4000 assume that your capital is constrained, so that you only have $500,000 available to invest in projects. if you invest in the optimal combination of projects given your capital constraint, then the total npv for all the projects you invest in will be closest to:
If you invest in the optimal combination of projects given your capital constraint, the total NPV for all the projects invested in would be closest to $50,000.
To maximize the total net present value (NPV) of projects while working with a capital constraint, the projects should be ranked based on their profitability index (PI). The profitability index is calculated as the NPV divided by the investment cost of the project.
Sorting the projects based on their PI, we get the following list:
project b (PI=1.15), project c (PI=1.16), project h (PI=1.1), project e (PI=0.57), project g (PI=0.5), project f (PI=0.43), project i (PI=0.08), project a (PI=0.04), project d (PI=0.01)
Investing in the projects with the highest PI first, we can invest in projects b, c, h, and e, which have a total investment cost of $660,000 and a total NPV of $60,000.
Since our capital is constrained to $500,000, we cannot invest in all these projects. Therefore, we have to decide which projects to invest in based on their PI and our capital constraint.
One possible approach would be to invest in projects b, c, and h, which have a total investment cost of $525,000 and a total NPV of $50,000. This combination of projects yields the highest total NPV while remaining within the capital constraint.
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landon developed two vr games. however, he didn't do it all on his own. he hired two programmers and a marketing specialist, and created a small company. he considers himself a pioneer and wants to position his company the same way. he solicits your advice as to how he should structure his organization as he moves forward, and you suggest that he hire a few potential customers to join his team of employees as beta testers. and, you suggest, maybe he should solicit globally. the structure you have described would simulate a line-and-staff organization. true false
True, you suggest that he hire a few potential customers to join his team of employees as beta testers. and, You say he ought to advertise internationally. The arrangement you've outlined would resemble a line-and-staff organization.
Tasks that support line groups are carried out by staff groups. They are made up of management (accounting), service (human resources), or advisory (law) units. Staff groups provide assistance to individuals engaged on the company's primary productive project. As a result, staff groups build the group's framework. The organizing of line staff, for instance, could be used in a department store. The store manager, who keeps track of sales goals and schedules work for every employee, in addition to the department supervisors, who oversee its shoe, jewelry, and clothing sections, are examples of line managers. Several sorts of management structure are known to as staff and line, accordingly.
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which is a risk when direct reports are asked to provide performance feedback about a manager they like?
A risk when direct reports provide performance feedback about a liked manager is the potential for biased or overly positive feedback, which may not accurately reflect the manager's true performance.
Direct reports are often asked to provide performance feedback about their managers as part of the performance management process. While this feedback can be valuable for the manager's growth and development, it can also be subject to biases and other potential risks.
One risk is the potential for biased or overly positive feedback from direct reports who like their manager. This is often referred to as the "halo effect." This occurs when a person's positive feelings toward someone or something influences their judgment of that person or thing.
In the context of performance feedback, direct reports who like their manager may be more likely to provide overly positive feedback that does not accurately reflect the manager's true performance.
The problem with biased or overly positive feedback is that it can lead to inaccurate assessments of the manager's performance. This can have negative consequences for both the manager and the organization.
For example, if the manager receives positive feedback that is not based on their actual performance, they may be less motivated to improve or may not address areas of weakness.
In addition, if the organization makes decisions based on inaccurate performance feedback, it may lead to poor business outcomes or ineffective management practices.
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for january, sales revenue is $700,000; sales commissions are 5% of sales; the sales manager's salary is $96,000; advertising expenses are $90,000; shipping expenses total 2% of sales; and miscellaneous selling expenses are $2,100 plus 1/2 of 1% of sales. total selling expenses for the month of january are:
The total selling expenses for the month of January are $240,600. This question is related to accounting and financial analysis, specifically the calculation of selling expenses for a company.
To calculate the total selling expenses for the month of January, we need to add up all the expenses related to selling.
These include sales commissions, sales manager's salary, advertising expenses, shipping expenses, and miscellaneous selling expenses.
First, let's calculate the sales commissions:
Sales commissions = 5% of $700,000 = $35,000
Next, let's calculate the shipping expenses:
Shipping expenses = 2% of $700,000 = $14,000
Finally, let's calculate the miscellaneous selling expenses:
Miscellaneous selling expenses = $2,100 + 0.5% of $700,000 = $2,100 + $3,500 = $5,600
Now we can add up all the expenses to get the total selling expenses:
Total selling expenses = Sales commissions + Sales manager's salary + Advertising expenses + Shipping expenses + Miscellaneous selling expenses
Total selling expenses = $35,000 + $96,000 + $90,000 + $14,000 + $5,600
Total selling expenses = $240,600
Therefore, the total selling expenses for the month of January are $240,600.
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you want to buy a $31,000 car. you can make a 10% down payment, and will finance the balance with a 2% interest rate for 48 months (4 years). what will your monthly payments be? brianly
To calculate your monthly car payments, you need to determine the total amount being financed and the interest rate.
Total amount being financed:
$31,000 (total car price) - ($31,000 x 0.10) (10% down payment) = $27,900 (amount being financed) Interest rate: 2% per year / 12 months = 0.1667% per month Now, you can use the following formula to calculate the monthly payments (P) on a loan: where:r = monthly interest rateA = amount being financed n = number of months Plugging in the values, you get: P = (0.001667 * 27,900) / (1 - (1 + 0.001667)^(-48)) P = $601.32 (rounded to the nearest cent) Therefore, your monthly car payments would be approximately $601.32.
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