To calculate the project-specific discount rate for Alpha Co. when entering the new industry, we need to use the weighted average cost of capital (WACC) formula.
First, we calculate the cost of equity for Alpha Co. using the Capital Asset Pricing Model (CAPM):
Cost of Equity = Risk-Free Rate + Beta * (Market Return - Risk-Free Rate)
Cost of Equity = 6% + 1.05 * (14% - 6%)
Cost of Equity = 6% + 1.05 * 8%
Cost of Equity = 6% + 8.4%
Cost of Equity = 14.4%
Next, we calculate the cost of equity for Horizon Co.:
Cost of Equity = Risk-Free Rate + Beta * (Market Return - Risk-Free Rate)
Cost of Equity = 6% + 1.24 * (14% - 6%)
Cost of Equity = 6% + 1.24 * 8%
Cost of Equity = 6% + 9.92%
Cost of Equity = 15.92%
Now, we calculate the weights of debt and equity for Alpha Co. and Horizon Co. based on their debt-to-equity ratios:
Weight of Debt for Alpha Co. = 1 / (1 + 4) = 1/5 = 0.2
Weight of Equity for Alpha Co. = 4 / (1 + 4) = 4/5 = 0.8
Weight of Debt for Horizon Co. = 1 / (1 + 3) = 1/4 = 0.25
Weight of Equity for Horizon Co. = 3 / (1 + 3) = 3/4 = 0.75
Now, we can calculate the project-specific discount rate (WACC) for Alpha Co.:
WACC = (Weight of Debt * Cost of Debt) + (Weight of Equity * Cost of Equity)
WACC = (0.2 * 0.06) + (0.8 * 0.144)
WACC = 0.012 + 0.1152
WACC = 0.1272
Finally, we convert the WACC into a percentage to get the project-specific discount rate:
Project-Specific Discount Rate = WACC * 100
Project-Specific Discount Rate = 0.1272 * 100
Project-Specific Discount Rate = 12.72%
Therefore, the correct option is A. 16.23% (rounded to two decimal places).
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Practicing the marketing concept can be described as all activities in the business are done keeping the customers
needs/wants in mind while ignoring company goals, true or false?
what refers to actions by franchisors to void the contracts of franchisees in order to sell the franchise to someone else and collect an additional fee?
The term that refers to actions by franchisers to void the contracts of franchisees in order to sell the franchise to someone else and collect an additional fee is "churning."
Churning occurs when a franchisor intentionally terminates or forces franchisees out of their contracts in order to resell the franchise to new individuals, often with the goal of generating additional fees or royalties. This practice is generally considered unethical and can lead to legal disputes between the franchisor and franchisee.. This practice is generally considered unethical and unfair to the franchisees involved. It can disrupt the business operations of existing franchisees and undermine the trust and stability of the franchising relationship.
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which type of firm invests in lean manufacturing programs in order to improve customer service levels for a given inventory investment?
make-to-stock type of firm invests in lean manufacturing programs in order to improve customer service levels for a given inventory investment.
A concept known as "lean manufacturing" aims to increase productivity while eliminating waste in industrial systems. Anything that buyers do not think adds value to and are not prepared to pay for is considered waste. Lean manufacturing has many advantages, some of which include shorter lead times, lower operational expenses, and better product quality.
Organizations from a variety of industries can enable the practice of lean manufacturing, commonly referred to as lean production or lean. Toyota, Intel, John Deere, Nike, and other well-known corporations all employ lean techniques. The strategy is still employed by numerous other businesses and is based on the Toyota Production System. A lean production system might be advantageous for businesses that use enterprise resource planning (ERP).
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Erin's weekly health deduction from her check is $5.35. If his employer pays 80% of the premium, how much is her annual premium?
Answer:
Explanation:
I assume they are asking for the total premium paid per year, but I will also show just the amount she pays per year.
To figure out the total annual premium:
If the employer pays 80%, then the employee pays 20% (100%-80%).
Total Premium x .20% = 5.35
Total Premium = 5.35/.2 (20%)
Total Premium = 26.75 per week
Total annual premium is 26.75 x 52 weeks = 1,391
‘The employee only pays 20% or 5.35 per weekly paycheck. Her annual costs is 5.35 x 52 weeks=278.20
This table can be used to organize Gigi’s credit card balances and payments over 6 months. The annual percentage rate on the credit card is 14%. Gigi’s Credit Card Payments Month Balance Payment Interest Rate Interest Charged 1 $650 $300 0.01167 $4.08 2 $354.08 $50 0.01167 3 $307.63 $50 0.01167 4 $260.64 $50 0.01167 5 $213.10 $50 0.01167 6 $165 $50 0.01167 What is the amount of interest charged for the first 6 months? $
Answer:
-16.34
Explanation:
Disclaimer: I am not sure, sorry. It might be -16.34, 16.34, or 15.75. Once again, sorry.Answer:
$16.34
Explanation:
HAVE A GOOD DAY!!!!
Calculate the GDP using the table and choose the correct answer.
A) $602
B) $584
C) 298
Which is true of payment history and it’s relation to credit reports
Your payment history shows creditors your reliability in paying what you owe, so if you have a bad payment history, then your credit report will show that.
I hope this helps! :)
what's the language spoken in Egypt?
Answer:
Modern Standard Arabic
Explanation:
Answer:
Arabic thats the language of egypt because most them are Islamic
which statement is true about registering a marketing officer of an investment adviser as an investment adviser representative (iar) with the state? a the marketing officer of an investment adviser is not registered as an iar b the marketing officer of an investment adviser will be automatically registered when the investment adviser registration is filed in the state c the marketing officer of an investment adviser is only required to register if the firm is a federal covered adviser d the marketing officer of an iar must file a registration application that is independent of the investment adviser registration application
The statement "The marketing officer of an Investment Adviser will be automatically registered when the Investment Adviser registration is filed in the State." is true.
Give a brief account on Investment Adviser.A financial adviser or advisor is a specialist who offers clients financial services based on their financial circumstances. In many nations, in order to give advice, financial advisors must undergo particular training and register with a regulatory organization. A financial adviser in the US must pass the Series 7 and Series 66 or Series 65 qualifying exams. the United States Qualification classifications, compliance concerns, and Financial Industry Regulatory Authority (FINRA) must be disclosed to the public. Information about official compliance issues is available on the Investment Adviser Public Disclosure (IAPD) website, and information about informal compliance issues is available on Onesta. Brokers, investment advisers, private bankers, accountants, attorneys, insurance agents, and financial planners are among the groups allowed to use the phrase "financial advisor," according to FINRA. The complete picture of the client's financial status must be taken into consideration by financial counselors.
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a qualified retirement plan that provides most individuals with a deferred federal income tax benefit.
A qualified retirement plan that provides most individuals with a deferred federal income tax benefit is typically an employer-sponsored retirement plan, such as a 401(k), 403(b), or 457 plan.
These plans allow employees to make contributions to their retirement accounts on a pre-tax basis, which means that the contributions are deducted from their gross income before taxes are calculated. This reduces the amount of taxable income and therefore lowers the amount of federal income tax owed in the current tax year.
The contributions and any investment earnings in the retirement account grow tax-deferred, meaning that taxes are not owed on them until they are withdrawn from the account in retirement. This provides individuals with a significant long-term tax benefit, as the money in the account has the potential to grow and compound over time without being subject to annual taxation.
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Х
A(n)
strategy addresses organizational weaknesses, helps stabilize operations, and revitalizes organizational resources and capabilities.
O A. unrelated diversification
o B. horizontal integration
C. vertical integration
D. retrenchment
Penny Cassidy is considering forming her own pool service and supply company, Penny's Pool Service & Supply, Inc. (PPSS). She has decided to incorporate the business to limit her legal liability. She expects to invest $ 20,000 of her own savings and receive 1,000 shares of common stock. Her plan for the first year of operations forecasts the following amounts at December 31, the end of the current year: Cash in bank, $ 2,900 ; amounts due from customers for services rendered, $ 2,300 ; pool supplies inventory, $ 4,600 ; equipment, $ 28,000 ; amounts owed to Pool Corporation, Inc. , a pool supply wholesaler, $ 3,500 ; note payable to the bank, $ 5,000. Penny forecasts first-year sales of $ 60,000 , wages of $ 24,000 , cost of supplies used of $ 8,200 , other administrative expenses of \,500 , and income tax expense of $ 4,000. She expects to pay herself a $ 10,000 dividend as the sole stockholder of the company.
Required: If Penny's estimates are correct, what would the following first-year financial statements look like for Penny's Pool Service & Supply (use Exhibits 1. 2,1. 3 , and 1. 4 as models)?
(c) Balance sheet
Based on Penny's estimates, the first-year financial statements would look like the following for Penny's Pool Service & Supply and show retained earnings of $9,300.
a) Penny's Pool Service & Supply
Income StatementFor the first year ended December 31
Sales $60,000
Wages $24,000
Supplies Expense 8,200
Administrative Expense 4,500 $36,700
Operating Income $23,300
Income tax expenses 4,000
Net Income $19,300
b) Penny's Pool Service & Supply
Statement of Retained EarningsFor the first year ended December 31
Net Income $19,300
Dividends $10,000
Retained earning $9,300
c) Penny's Pool Service & Supply
Balance SheetAs of December 31
AssetsCurrent Assets:
Cash $2,900
Accounts Receivable 2,300
Supplies Inventory 4,600
Total current assets $9,800
Equipment $28,000
Total assets $37,800
Liabilities and EquityCurrent liabilities:
Accounts Payable $3,500
Long-term liabilities:
Note Payable $5,000 $8,500
Equity:
Common Stock $20,000
Retained Earnings 9,300 $29,300
Total liabilities and equity $37,800
Data and Calculations:Cash $20,000 Common Stock $20,000
Forecasts at December 31:
Cash $2,900
Accounts Receivable $2,300
Supplies Inventory $4,600
Equipment $28,000
Accounts Payable $3,500
Note Payable $5,000
Sales $60,000
Wages $24,000
Supplies Expense $8,200
Administrative Expense $4,500
Income tax expenses $4,000
Dividends $10,000
Thus, the Retained Earnings for the forecast first year would be $9,300.
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how do you find your claimant id number for unemployment
Answer:
The Claimant ID can be found in the upper-right of the UI Finding letter, as well as other letters received from IDES. Fraud victims can use the information from a fraudulent UI Finding letter to report the case to IDES.
Explanation:
hope this helps you if it does please mark brainliest
PESTEL analysis of the Chinese South-North Water Transfer
Project. Especially in light of its failure:
Can you assist me with 450 words for this
PESTEL analysis of the Chinese South-North Water Transfer Project:
The Chinese South-North Water Transfer Project, aimed at addressing China's water scarcity issues, has faced significant challenges and can be analyzed using the PESTEL framework.
The PESTEL analysis examines the project's political, economic, social, technological, environmental, and legal factors. Politically, the project faced issues of governance, as different levels of government and stakeholders had varying interests and responsibilities. Economically, the project incurred massive costs and resource allocation challenges. Socially, it caused displacement of communities and cultural impacts. Technologically, the project required advanced engineering solutions. Environmentally, it led to ecological disruptions and water quality concerns. Legally, the project faced issues of water rights and environmental regulations. These combined factors contributed to the project's failure in achieving its desired outcomes.
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Best Coffee Enterprises is dealing in a variety of coffee like Expresso, Cappuccino, and Caffe latte etc. It has several outlets in the city. It has a good financial standing and enjoys a good reputation in the market. It purchases high-quality coffee beans from Global Traders and pays them at a future date. Briefly explain the source of finance given by Global Traders to Best Coffee Enterprises.
Different sources of finance exist operated by various companies. Global Traders exist offering Trade Credit as a source of finance to the Best Coffee enterprises. Trade credit exists as a business-to-business (B2B) arrangement in which a customer can buy goods without spending cash up front, and delivering the supplier at the latest scheduled date.
What are the features of trade credit?It exists referred to as the payment holds authorized by the creditor for a specified period for their raw material.It exists usually comprehended as an instant source of finance.It usually occurs in B2B businesses where the payees exist and desired to pay within their established deadline.Trade credit exists as a business-to-business (B2B) arrangement in which a consumer can buy goods without spending cash up front, and paying the supplier at a later scheduled date. Usually, companies that work with trade credits will give customers 30, 60, or 90 days to pay, with the transaction recorded through an invoice.
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The Gap purchases dress shirts for $23 and sells them for $38. The dollar markup is:
A)$23
B)$61
C)$15
D)$38
The dollar markup for the Gap on dress shirts can be calculated by subtracting the cost of the shirt from the selling price. In this case, the cost of the shirt is $23 and the selling price is $38. Therefore, the dollar markup is $38 - $23 = $15.
This means that for each dress shirt sold, the Gap is making a profit of $15. The percentage markup can also be calculated by dividing the dollar markup by the cost of the shirt and multiplying by 100. In this case, the percentage markup would be ($15 / $23) x 100 = 65.2%.It is important to note that while the dollar markup is an important factor in determining profit, other expenses such as overhead costs, labor costs, and marketing expenses must also be considered in order to determine overall profitability.In conclusion, the Gap's dollar markup on dress shirts is $15. This indicates the profit the Gap makes on each shirt sold, and helps to determine overall profitability.
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Michael and Sandy purchased a home for $100,000 five years ago. If it appreciated 6% annually, what is it worth today
Based on an annual appreciation rate of 6%, Michael and Sandy's home would have appreciated by 33.18% over the course of five years. To calculate the current value of the home, you can multiply its original purchase price by the appreciation factor: $100,000 x 1.3318 = $133,180
Therefore, Michael and Sandy's home is worth $133,180 today.
1. Identify the initial value of the home: $100,000
2. Determine the annual appreciation rate: 6% (or 0.06 as a decimal)
3. Identify the number of years that have passed: 5 years
4. Use the formula for compound interest to calculate the worth today: Future Value = Initial Value × (1 + Appreciation Rate) ^ Number of Years
Now, let's plug in the values:
Future Value = $100,000 × (1 + 0.06) ^ 5
Solving this:
Future Value = $100,000 × (1.06) ^ 5
Future Value = $100,000 × 1.3382255776
Future Value ≈ $133,822.56
So, after five years of 6% annual appreciation, Michael and Sandy's home is worth approximately $133,822.56 today.
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Disadvantages of choosing a job that is extremely popular or in demand
The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.
What is a high demand job?This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.
The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.
The number of qualified persons may become more than the job that is available for the people to do in the long run.
Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.
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_________ involves system developers writing a business case to justify funding one or more specific applications or projects._________ involves system developers writing a business case to justify funding one or more specific applications or projects.
Answer:
The question is incomplete, the options are missing. The options are the following:
a) Breakeven analysis
b) The business case approach
c) NPV
d) ROI
And the correct answer is the option B: The business case approach.
Explanation:
To begin with, the concept known as "Business case approach" is a type of approach that mainly focuses in the supporting of certain topics for the company in order improve the processes of the organization and its work. Moreover, it gives support to the planning and investing process against outcomes that could harm the company. This type of concept is used mainly by the organizations in the transport sector so that they could use it as a guidance in order to seek for investment.
explain reasons for NGO's and CBOs to be part of the market environment
Answer:
explain reasons for NGO's and CBOs to be part of the market environment
Explanation:
explain reasons for NGO's and CBOs to be part of the market environment
Explanation:
NGOs exist for a variety of purposes, usually to further the political or social goals of their members. Examples include improving the state of the natural environment, encouraging the observance of human rights, improving the welfare of the disadvantaged, or representing a corporate agenda.
Imagine you are a training and development specialist.
You are tasked with creating a training workshop about strong meeting facilitation. Create an outline for this workshop.
Include:
Medium: Is your training in-person, webinar, online, or some other method? Objectives: What are your intended outcomes?
Outline: What information topics will you deliver on? What activities will you ask the people in the training to do, individually and in groups? How will the content be organized?
Deliverables: What will you have attendees produce or accomplish by the end of the training to show that they have absorbed the information?
Evaluation: What can you do at the end to measure participants' feelings about the training?
The goal of training session is to provide attendees with knowledge, skills, and understanding that they can apply in their work or personal lives.
What is training?Training is the process of teaching or learning a particular skill, knowledge, or behavior through practice and instruction. In the context of machine learning, training refers to the process of teaching a computer algorithm to recognize patterns and make predictions based on input data. During training, the algorithm is fed a large amount of data, along with the correct outputs, and it adjusts its parameters to minimize the difference between the predicted output and the actual output. This process is repeated over many iterations until the algorithm can accurately make predictions on new, unseen data. Training is a crucial step in developing effective machine learning models and is essential for a wide range of applications, from image recognition and natural language processing to self-driving cars and fraud detection.
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a state government borrows $2,000,000 at simple annual interest. some of the money is borrowed at 6%, some at 7.5%, and some at 8.5%. use a system of linear equations to determine how much (in dollars) is borrowed at each rate given that the total annual interest is $141,250 and the amount borrowed at 7.5% is four times the amount borrowed at 8.5%. solve the system of linear equations using matrices. at 6% $ at 7.5% $ at 8.5% $
If the total annual interest is $141,250 and the amount borrowed at 7.5% is four times the amount borrowed at 8.5%. amount borrowed at 6% is $750,000, at 7.5% is $1,000,000 at 8.5% is $250,000.
Amount borrowedLet the amount borrowed at 8.5% be x.
at 8.5% = x
at 7.5% = 4x
at 6% = 2,000,000 - 5x
0.085x + 0.075(4x) + 0.06(2,000,000-5x) = 141,250
0.085x + 0.30x + 120,000 - 0.30x = 141,250
Collect like terms
0.085x = 21,250
Divide both side by 0.085
x = 21,250 / 0.085
x = 250,000
So the museum borrowed:
At 8.5% = 250,000
At 7.5% = 250×4 = 1,000,000
At 6% = 2,000,000 - 5(250,000) = 750,000
Check:
Total borrowed
250,000 + 1,000,000 + 750,000 = 2,000,000
Interest paid:
0.085(250,000) + 0.075(1,000,000) + 0.06(750,000) = 141,250
21,250 + 75,000 + 45,000 = 141,250
Therefore the at 6% is $750,000, at 7.5% is $1,000,000 and at 8.5% is $250,000.
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The FHA was designed to pay off mortgage insurance for homes that were going into foreclosure.
True
False
Answer:
TRUE FHA meaning federal housing administration
If the two countries engage in international trade, what will taiwan produce and how many?
A. The opportunity cost of 1 unit of radios in terms of telephones in Vietnam is 0.5 telephones per radio. BI. False II. True III. False. C. Taiwan will produce radios.
D. In Taiwan, the real wage in terms of radios is 12.5 radios per worker. In V.i.e.t.n.a.m., the real wage in terms of telephones is 0.625 telephones per worker. E. Both Taiwan and V.i.e.t.n.a.m. would have an incentive to trade telephones and radios due to their comparative advantages and the international relative price of telephones.
How did we get these values?To answer the questions, let's analyze the information provided in the table:
Taiwan Vietnam
Absolute Advantage
No. of Telephones produced per hour: 10 5
No. of Radios produced per hour: 50 10
Comparative Advantage: ? ?
a. The opportunity cost of 1 unit of radios in terms of telephones in Taiwan can be calculated by dividing the number of telephones produced per hour by the number of radios produced per hour. In this case, the opportunity cost in Taiwan is 10/50 = 0.2 telephones per radio.
The opportunity cost of 1 unit of radios in terms of telephones in V.i.e.t.n.a.m. is 5/10 = 0.5 telephones per radio.
b. Let's evaluate the given statements:
I. Taiwan has an absolute advantage in the production of both telephones and radios. - False
Taiwan has an absolute advantage in the production of radios, as it can produce 50 radios per hour compared to V.i.e.t.n.a.m.'s 10 radios. However, Taiwan does not have an absolute advantage in the production of telephones since V.i.e.t.n.a.m. can produce 5 telephones per hour compared to Taiwan's 10 telephones.
II. V.i.e.t.n.a.m. has a comparative advantage in the production of telephones. - True
Vietnam has a lower opportunity cost of producing telephones (0.5 telephones per radio) compared to Taiwan's opportunity cost (0.2 telephones per radio). Therefore, V.i.e.t.n.a.m. has a comparative advantage in the production of telephones.
III. One possible production combination for Vietnam is 40 units of telephones and 80 units of radios per hour. - False
Given the labor supply in V.i.e.t.n.a.m. is 8, it is not possible for V.i.e.t.n.a.m. to produce 40 telephones and 80 radios per hour, as it would require a total labor input of 120 units (40 + 80 = 120), which exceeds the labor supply.
c. If the two countries engage in international trade, they will specialize in the production of goods in which they have a comparative advantage. Since V.i.e.t.n.a.m. has a comparative advantage in the production of telephones, it will produce telephones. Taiwan, on the other hand, has a comparative advantage in the production of radios, so it will produce radios.
d. The real wage is the amount of output (goods) a worker can earn for an hour of work. To calculate the real wage, we need to compare the number of goods produced per hour to the labor supply in each country.
In Taiwan, the real wage in terms of radios is calculated by dividing the number of radios produced per hour by the labor supply, which is 50/4 = 12.5 radios per worker.
In Vietnam, the real wage in terms of telephones is calculated by dividing the number of telephones produced per hour by the labor supply, which is 5/8 = 0.625 telephones per worker.
e. To determine whether Taiwan and V.i.e.t.n.a.m. will trade if the international relative price of telephones is 3, we need to compare it to the opportunity cost of producing telephones in each country.
In Taiwan, the opportunity cost of 1 telephone in terms of radios is 0.2 telephones per radio. If the international relative price of telephones is 3, which means 1 telephone is worth 3 radios, Taiwan has a lower opportunity cost of producing telephones (0.2 telephones per radio) than the relative price (3 telephones per radio). Thus, Taiwan would benefit from trading telephones.
In V.i.e.t.n.a.m., the opportunity cost of 1 telephone in terms of radios is 0.5 telephones per radio. If the international relative price of telephones is 3, which means 1 telephone is worth 3 radios, V.i.e.t.n.a.m. has a higher opportunity cost of producing telephones (0.5 telephones per radio) than the relative price (3 telephones per radio). Thus, Vietnam would benefit from trading radios.
Therefore, based on the given information, both Taiwan and V.i.e.t.n.a.m. would have an incentive to trade telephones and radios due to their comparative advantages and the international relative price of telephones.
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The complete question goes thus:
Refer to the following table and assume that the total labor supply in Taiwan is 4 and the total labor supply in V.i.e.t.n.a.m is 8.
Taiwan V.i.e.t.n.a.m
Absolute Advantage
No. of Telephones produced per hr
10 5 ?
No. of Radios produced per hr
50 10 ?
Comparative Advantage
? ?
a. What is the opportunity cost of 1 unit of radios in terms of telephones in Taiwan? In V.i.e.t.n.a.m?
If firm U is unlevered and firm Lis levered, then which of the following is true? I)VU = EU II) VL = EL + DL III) VL = EU + DL.
Multiple Choice :
I ,II and III
Ill only
I and II only
If firm U is unlevered and firm Lis levered, then I)VU = EU III) VL = EU + DL are true.
Explanation:
I) VU = EU
In an unlevered firm (firm U), the value of the firm (VU) is equal to the value of the equity (EU) since there is no debt. So, this statement is true.
II) VL = EL + DL
This statement suggests that the value of the levered firm (firm L) is equal to the value of the equity (EL) plus the value of the debt (DL). However, this may not always be true due to the presence of taxes and bankruptcy costs, which can affect the value of the levered firm. Therefore, this statement is not always true.
III) VL = EU + DL
In a levered firm (firm L), the value of the firm (VL) can be seen as the sum of the unlevered equity (EU) and the value of the debt (DL). This statement is true, assuming that there are no taxes or bankruptcy costs affecting the value of the levered firm.
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Exercise 5-4 On June 10, Sunland Company purchased $7,800 of merchandise from Blossom Company, terms 4/10, n/30. Sunland Company pays the freight costs of $370 on June 11. Goods totaling $800 are returned to Blossom Company for credit on June 12. On June 19, Sunland Company pays Blossom Company in full, less the purchase discount. Both companies use a perpetual inventory system Prepare separate entries for each transaction on the books of Sunland Company. (If no entry is required, select "No Entry" for the account titles and enter 0 for the amounts. Credit account titles are automatically Indented when amount is entered. Do not indent manually. Record journal entries in the order presented in the problem.) Date Account Titles and Explanation Debit Credit
Let's prepare separate entries for each transaction on the books of Sunland Company:
On June 10, Sunland Company purchased $7,800 of merchandise from Blossom Company, terms 4/10, n/30.
Date Account Titles and Explanation Debit Credit
Jun 10 Merchandise Inventory $7,800
| Accounts Payable - Blossom Company | | $7,800
2. On June 11, Sunland Company pays the freight costs of $370.
Date Account Titles and Explanation Debit Credit
Jun 11 Freight Expense $370
| Cash | | $370
3. On June 12, goods totaling $800 are returned to Blossom Company for credit.
Date Account Titles and Explanation Debit Credit
Jun 12 Accounts Payable - Blossom Company $800
| Merchandise Inventory | | $800
4. On June 19, Sunland Company pays Blossom Company in full, less the purchase discount.
Date Account Titles and Explanation Debit Credit
Jun 19 Accounts Payable - Blossom Company $6,960
| Cash | | $6,960
Note: The purchase discount is calculated as 4% of the original purchase amount of $7,800, which is $312. The payment made on June 19 is the remaining amount after deducting the purchase discount ($7,800 - $312 = $6,960).
These are the separate entries for each transaction on the books of Sunland Company.
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Using any approach you wish (e.g., trial and error), develop a loading chart for resource electrical engineers (EE), and resource, mechanical engineers (ME). Assume only one of each resource exists. Given your resource schedule, compute the early, late, and slack times for your project. What is the project duration now
To develop a loading chart for the electrical engineers (EE) and mechanical engineers (ME), we first need to identify the tasks that require their specific skill set. Once we have identified these tasks, we can allocate the EE and ME resources accordingly. We can use trial and error to adjust the resource allocation until we have a loading chart that allows us to complete the project as efficiently as possible.
Once we have developed our loading chart, we can compute the early, late, and slack times for each task. The early time is the earliest possible start time for a task, assuming all predecessor tasks have been completed. The late time is the latest possible start time for a task, without delaying the project completion date. Slack time is the amount of time a task can be delayed without delaying the project completion date.
By calculating the early, late, and slack times for each task, we can determine the critical path of the project. The critical path is the sequence of tasks that must be completed on time in order to meet the project deadline. Any delay in a task on the critical path will delay the project completion date.
Once we have determined the critical path, we can calculate the project duration by adding up the duration of all tasks on the critical path. This will give us the minimum amount of time required to complete the project.
In summary, to develop a loading chart for the EE and ME resources, we need to identify the tasks that require their specific skill set and allocate the resources accordingly. We can then calculate the early, late, and slack times for each task, determine the critical path, and calculate the project duration.
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ABC Ltd. has provided the following information for the year ended March 2010: (i) Cash sales during the year $1,10,000. (ii) Credit sales during the year $50,000. (iii) Cost of goods sold was 75% of total sales. (iv) Collection from Debtors and Accounts receivable $35,000. (v) Payment to creditors/bills payable $25,000. (vi) Salaries and rent expenses paid totaling $ 15,000 (vii) Salaries outstanding $5,000. Calculate Cash from Operating Activities using Direct method and comment on its operational efficiency, if the corresponding figures of the year ended March 2007, March 2008 & March 2009 were $3,00,000, $2,50,000 and $2,55,000 respectively.
Based on the information provided, the company has achieved zero cash from operating activities. This suggests that the cash inflows from customers (collections) are equal to the cash outflows to suppliers (payments) and expenses.
To calculate the Cash from Operating Activities using the Direct method, we need to adjust the given information to focus on cash flows related to operating activities.
Step 1: Calculate Net Sales
Net Sales = Cash Sales + Credit Sales
Net Sales = $1,10,000 + $50,000 = $1,60,000
Step 2: Calculate Cost of Goods Sold
Cost of Goods Sold = 75% of Net Sales
Cost of Goods Sold = 0.75 * $1,60,000 = $1,20,000
Step 3: Calculate Cash from Operating Activities
Cash from Operating Activities = Cash Collections from Customers - Cash Payments to Suppliers - Cash Payments for Expenses
Cash Collections from Customers = Collection from Debtors and Accounts Receivable = $35,000
Cash Payments to Suppliers = Payment to Creditors/Bills Payable = $25,000
Cash Payments for Expenses = Salaries and Rent Expenses Paid - Salaries Outstanding
= $15,000 - $5,000 = $10,000
Cash from Operating Activities = $35,000 - $25,000 - $10,000 = $0
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The difference between the LPM model and the logit and probit models is that: the LPM assumes constant marginal effects for all the independent variables, while the logit and probit models imply diminishing magnitudes of the partial effects. the LPM assumes constant marginal effects for some of the independent variables, while the logit and probit models imply diminishing magnitudes of the partial effects. the LPM assumes constant marginal effects for the dependent variable, while the logit and probit models imply diminishing magnitudes of the partial effects. the LPM assumes different marginal effects for all independent variables, while the logit and probit models imply diminishing magnitudes of the marginal effects..l
The difference between the LPM model and the logit and probit models is that the LPM assumes constant marginal effects for all the independent variables, while the logit and probit models imply diminishing magnitudes of the partial effects.
LPM model and the logit and probit modelsIn the LPM model, the impact of each independent variable on the dependent variable remains constant regardless of the level of the other variables.
On the other hand, in the logit and probit models, the partial effects of each independent variable diminish as the level of the other variables increases. It is important to note that this difference only applies to the marginal effects of the independent variables and not the dependent variable.
Additionally, the LPM assumes constant marginal effects for all independent variables, while the logit and probit models imply diminishing magnitudes of the partial effects.
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The major features of the U.S. free enterprise system include:
A. restrictions on the types of available consumer goods.
B. economic decisions made mainly to promote fairness.
C. limited competition between a small number of companies.
D. limits on the government's role in the economy.
ASAP !!!
Answer:
D. limits on the government's role in the economy.
Explanation:
Free market enterprise refers to the economic model where demand and supply forces determine the products and services in the market and their prices. In this model, sellers have the freedom to select what business they want to start. Buyers have the option of picking their preferred products or services from many competing suppliers.
In a free market enterprise like the USA economy, the government's role is limited to regulation. The government may get involved in the provision of essential services and public goods. To a large extent, the free market economy is in the profit-motivated, private sector.
Answer: D. Limits on the governments role in the economy
Explanation: I just took the test on a pe x