Sunrise, Incorporated, is trying to determine its cost of debt. The firm has a debt issue outstanding with 25 years to maturity that is quoted at 103 percent of face value. The issue makes semiannual payments and has an embedded cost of 8 percent annually.
a. What is the company's pretax cost of debt? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)
b. If the tax rate is 21 percent, what is the aftertax cost of debt? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.)

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Answer 1

(a) The pretax cost of debt is 8.39%. (b)  If the tax rate is 21 percent, the aftertax cost of debt is  6.61%.

a. The pretax cost of debt is calculated using the following formula:

Pretax cost of debt = (Coupon payment ÷ Bond price) + Embedded cost of debt

First, we need to calculate the coupon payment. Since the bond makes semiannual payments, we can use the following formula to calculate the semiannual coupon payment:

Coupon payment = (Face value of bond × Coupon rate) ÷ 2

The face value of the bond is not given, but we know that the bond is quoted at 103 percent of face value, which implies that the bond price is 1.03 times the face value. Therefore, we can assume a face value of $100 and calculate the bond price as $1030.

The coupon rate can be calculated as follows:

Coupon rate = (Coupon payment ÷ Face value of bond) × 2

We can rearrange the formula to solve for the coupon payment:

Coupon payment = (Coupon rate ÷ 2) × Face value of bond

Since the bond has an embedded cost of 8 percent annually, we can plug in the values into the formula to get:

Coupon payment = ($4 ÷ $100) × $100 = $4

Therefore, the pretax cost of debt is:

Pretax cost of debt = ($4 ÷ $1030) + 8% = 8.39%

b. The aftertax cost of debt is calculated as follows:

Aftertax cost of debt = Pretax cost of debt × (1 − Tax rate)

Substituting the values, we get:

Aftertax cost of debt = 8.39% × (1 − 21%) = 6.61%

Therefore, the aftertax cost of debt is 6.61%.

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with homogeneous shopping products, consumers typically look for the lowest priced brand that has the desired features. true or false?

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True. In the case of homogeneous shopping products, consumers generally seek the brand that offers the desired features at the lowest price.

When shopping for homogeneous products, which are essentially identical or very similar across different brands, consumers typically prioritize finding the lowest priced option that meets their desired specifications. Since the products are virtually the same in terms of features and quality, the primary differentiating factor becomes the price.

Consumers aim to maximize their utility by minimizing their expenditure on these products. However, it is worth noting that other factors such as brand reputation, customer service, or personal preferences may still influence some consumers' decisions, but overall, the emphasis is on finding the lowest priced brand with the desired features.

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Monty Corp. had the following transactions during the current period. Mar. 2 Issued 4,900 shares of $5 par value common stock to attorneys in payment of a bill for $30,400 for services performed in helping the company to incorporate June 12 Issued 59,500 shares of $5 par value common stock for cash of $362,500. July 11 Issued 2.500 shares of $120 par value preferred stock for cash at $140 per share. Nov. 28 Purchased 2.290 shares of treasury stock for $76,000. Journalize the transactions.

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To journalize the transactions for Monty Corp., we need to record each of them in the company's accounting books. Here are the entries:


Mar. 2: To record the issuance of shares of common stock to attorneys in payment of a bill for services:
Common Stock (4,900 shares x $5)           24,500
   Accounts Payable                                             30,400
       Paid the attorneys with shares of common stock.
June 12: To record the issuance of shares of common stock for cash:
Cash                                                                 362,500
   Common Stock (59,500 shares x $5)                297,500
       Received cash from the sale of common shares.
July 11: To record the issuance of shares of preferred stock for cash:
Cash (2,500 shares x $140)                              350,000
   Preferred Stock (2,500 shares x $120)             300,000
   Additional Paid-In Capital                                      50,000
       Received cash from the sale of preferred shares.
Nov. 28: To record the purchase of treasury stock:
Treasury Stock                                                      76,000
   Cash                                                                     76,000
       Purchased shares of common stock as treasury stock.
These entries ensure that the company's transactions are accurately recorded in its books. By issuing more shares, the company raises capital for its business activities. By purchasing treasury stock, it reduces the number of shares outstanding, which can increase the earnings per share. Overall, the journal entries help to keep track of the company's financial health and operations.

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assume that a country experiences a reduction in productivity that shifts the labor demand curve downward and to the left. if the real wage were rigid, this would lead to:

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If a country experiences a reduction in productivity that shifts the labor demand curve downward and to the left, and if the real wage were rigid, this would lead to a decrease in the quantity of labor supplied and an increase in the price of labor, also known as the real wage.

In this scenario, the labor demand curve represents the relationship between the quantity of labor supplied and the real wage rate. When productivity decreases, the cost of producing goods and services increases, which means that firms require more labor to produce the same amount of output. However, if the real wage is rigid, firms cannot adjust the wage rate to reflect the increase in the cost of labor.

Since the real wage is rigid, firms are not able to adjust their wage rates to reflect the change in the labor demand curve. This means that the quantity of labor supplied decreases, while the price of labor (the real wage) increases. This can lead to unemployment, as firms are unable to find enough workers willing to work at the higher real wage rate.

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The measurement of impairment loss in step 2 is the difference between a. the asset's estimated future cash flows and its fair value. b. the asset's book value and its net present value. c. the asset's book value and its fair value. d. the asset's fair value and its lower-of-cost-or-market value.

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The correct answer is c. The measurement of impairment loss in step 2 is the difference between the asset's book value and its fair value.

This means that the asset's carrying value is compared to its market value or the value that it could be sold for in the current market. If the fair value is lower than the carrying value, an impairment loss needs to be recognized. Impairment is when the value of an asset is decreased due to certain factors such as obsolescence, physical damage, or changes in market conditions. By recognizing an impairment loss, the company is able to adjust the asset's value on the balance sheet to reflect its true value.

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when you present a check for payment, you warrant that the check has not been altered. in this situation, if the check has been altered, then the bank may demand that you repay the sum it paid to you. true or false

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when you present a check for payment, you warrant that the check has not been altered. in this situation, if the check has been altered, then the bank may demand that you repay the sum it paid to you is true.

Can the bank ask for repayment if a check has been altered?

When you present a check for payment, you are essentially guaranteeing that the check has not been tampered with or altered in any way. This means that if the bank discovers that the check has indeed been altered, they have the right to demand that you repay the amount they paid to you. Altering a check can include changing the payee's name, the amount, or any other crucial details. Banks have strict policies and procedures in place to detect alterations, and they take such cases seriously to ensure the integrity of the payment system.

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TRUE/FALSE.It is possible to establish a corporation by a simple verbal agreement.

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The statement 'It is possible to establish a corporation by a simple verbal agreement' is false establishing a corporation requires compliance with specific legal requirements and formalities.

To form a corporation, individuals must typically follow a formal process that includes filing the necessary documents with the appropriate government authorities, such as the state's Secretary of State office.

This process usually involves preparing and filing articles of incorporation, which outline the company's name, purpose, structure, and other key details.

Additionally, corporations are separate legal entities from their owners, known as shareholders. They are subject to various legal and regulatory obligations, such as maintaining corporate records, holding regular shareholder meetings, and complying with tax and reporting requirements.

Verbal agreements may be sufficient for some types of contracts, but when it comes to establishing a corporation, adhering to the formal legal procedures and documentation is necessary to create a legally recognized entity with the appropriate rights and protections.

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Crafting a strategy is largely a _____driven and ______driven activity, whereas executing the strategy is a(n) _________driven activity revolving around the management of people and business processes.
A.tactical, market, operations
B. tactical, financial, operations
C. market, resource, operations
D. market, resource, financial
E. competitively, resource, industry

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Crafting a strategy is largely a market-driven and resource-driven activity, whereas executing the strategy is a resource- and financial-driven activity revolving around the management of people and business processes.

The process of designing a company's long-term plan to fulfil its goals and objectives is known as strategy development. It entails analysing the internal and external environments of the firm, recognising opportunities and risks, and developing a competitive edge. Market and resource factors drive much of this process.

Market-driven activities are concerned with gaining an understanding of customers, rivals, and market trends. Resource-driven operations are concerned with evaluating the company's internal strengths and limitations, such as human capital, financial resources, and technology capabilities.

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D. Market-driven and resource-driven activity, whereas executing the strategy is a resource-driven activity revolving around the management of people and business processes.

Crafting a strategy is largely a market-driven and resource-driven activity because it involves analyzing the external environment (market) and the internal resources (resource) of the organization to develop a strategy that aligns with the organization's goals and objectives. This process includes identifying opportunities and threats in the market, assessing the strengths and weaknesses of the organization, and leveraging the available resources to develop a strategy that is competitive and sustainable.

Executing the strategy, on the other hand, is a resource-driven activity that revolves around the management of people and business processes. This involves deploying resources and aligning them with the strategy, setting goals and objectives, developing plans and budgets, monitoring performance, and making adjustments as necessary to achieve the desired outcomes.

Tactical and financial activities are also important in both strategy formulation and execution, but they are not the primary drivers. Tactical activities involve implementing specific actions to achieve objectives, while financial activities involve managing financial resources to support the strategy.

Competitive industry is also an important factor in strategy formulation, but it is not one of the primary drivers. A market-driven approach involves understanding the external environment, including the competitive landscape, and adapting to it to achieve competitive advantage.

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The Great Recession lasted from December 2007 to June 2009. Consider the two primary causes:
1) Widespread problems in financial markets and financial regulations, which affected the ability of financial institutions to lend funds.
2) A decrease in household wealth that was due to the collapse of the housing market.
Assume that at the start of the recession in 2017, real GDP was $16 trillion, and $12 trillion by 2018, but that the price level remained the same. On the aggregate demand-aggregate supply diagram below, use the drag tool to illustrate what occurred during the Great Recession given the two causes listed above. To refer to the graphing tutorial for this question type, please click here. AD?AS Price level 16 15 AD2 LRAS2 SRAS2 13 12 11 10 9 8 7 5 4 3 2 1 0 real GDP (In trillions)

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The Great Recession, also known as the global financial crisis, was a severe economic downturn that began in the United States in 2007 and spread globally, lasting until 2009. The recession had two primary causes: the housing market bubble and the banking crisis.

The housing market bubble was fueled by a combination of low interest rates, easy credit, and speculation in the housing market. Many people purchased homes they could not afford, often with subprime mortgages that had low initial interest rates that eventually skyrocketed. When home prices began to fall, many homeowners found themselves unable to sell or refinance their homes and were forced into foreclosure, leading to a sharp decline in housing prices and an increase in mortgage defaults.The banking crisis was caused by the widespread use of complex financial instruments, such as mortgage-backed securities, that were sold to investors around the world. These securities were backed by subprime mortgages that were becoming increasingly risky as more homeowners defaulted. When the housing market collapsed, these securities lost their value, causing widespread losses for investors and leading to the failure of several large financial institutions.Together, the housing market bubble and banking crisis created a global recession that led to widespread job losses, reduced economic growth, and a decline in consumer confidence. It took several years for the global economy to fully recover from the effects of the Great Recession.

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1. List one communication tool businesses might use. For that communication tool, identify how the tool can improve efficiency for a business

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IM can improve efficiency by enabling real-time communication, collaboration, and reducing the need for lengthy email exchanges.

Instant messaging is a communication tool that allows individuals to exchange messages in real-time through a digital platform. It offers several benefits that can enhance efficiency within a business. Firstly, IM enables instant communication, allowing employees to quickly share information, ask questions, and receive immediate responses. This eliminates the delays associated with traditional forms of communication like email or phone calls, leading to faster decision-making and problem-solving.

Furthermore, IM supports collaboration among team members, especially in remote or geographically dispersed settings. It provides a convenient platform for sharing files, discussing ideas, and coordinating tasks, fostering effective teamwork and enhancing productivity. Team members can easily communicate with each other, seek clarifications, and stay updated on project progress, leading to streamlined workflows and efficient project management.

Moreover, IM can reduce the reliance on lengthy email exchanges by offering a more concise and informal mode of communication. This helps in avoiding the clutter of overflowing inboxes and allows employees to focus on essential tasks. By utilizing IM as a communication tool, businesses can promote efficiency, improve internal communication, and foster a more agile and collaborative work environment.

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A large p-value implies A) rejection of the null hypothesis. B) a large t-statistic. C) a large Yac, D) that the observed value Yact is consistent with the null hypothesis.

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The answer is d. A large p-value implies that the observed value Yact is consistent with the null hypothesis. A p-value is the probability of obtaining a test statistic as extreme as or more extreme than the observed value, assuming the null hypothesis is true.

If the p-value is large, it means that the observed value is not very extreme and could easily have occurred by chance under the null hypothesis. This means that we do not have enough evidence to reject the null hypothesis. On the other hand, a small p-value (less than the chosen significance level, usually 0.05) indicates that the observed value is unlikely to have occurred by chance under the null hypothesis. This means that we have strong evidence to reject the null hypothesis and accept the alternative hypothesis.

A large t-statistic is not directly related to the p-value. The t-statistic is a measure of how far the observed sample mean is from the hypothesized population mean in units of the standard error. The p-value is calculated from the t-statistic and indicates the probability of observing a t-statistic as extreme as or more extreme than the observed value, assuming the null hypothesis is true.

The Yac and p-value are also not directly related. Yac (actual value of the dependent variable) is used to calculate the test statistic and the p-value. The p-value tells us the likelihood of observing a test statistic as extreme or more extreme than what was observed, given the null hypothesis is true. In summary, a large p-value implies that we do not have enough evidence to reject the null hypothesis, meaning that the observed value is consistent with the null hypothesis.

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an investment project has multiple irrs. what must be true about this project?

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If an investment project has multiple internal rates of return (IRRs), it means that the cash flows of the project are such that there are multiple discount rates that could make the net present value (NPV) of the project equal to zero. This situation arises when the project has non-normal cash flows, i.e., when there are more than one sign change in the cash flows.

For example, if a project has an initial investment of $100,000, followed by cash inflows of $50,000, $60,000, and $70,000 in consecutive years, then there are multiple IRRs. The IRRs could be calculated by solving the following equation for r:
-$100,000 + $50,000/(1+r) + $60,000/(1+r)^2 + $70,000/(1+r)^3 = 0
The equation would have multiple roots because of the multiple sign changes in the cash flows. In this case, the IRRs would be around 22.9%, 57.1%, and 300%, which implies that the project is highly risky and unstable.
In general, if a project has multiple IRRs, it implies that the project has non-normal cash flows and is risky. It also implies that the traditional method of using IRR to evaluate the project may not be appropriate, as it does not provide a unique solution. Instead, other methods such as the modified internal rate of return (MIRR) or the net present value (NPV) should be used to evaluate the project. These methods provide a unique solution and take into account the time value of money and the cost of capital.

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The entity holds earnings and profits (AAA for an S corporation) of $900,000 at the beginning of the year. A distribution of $200,000 is made to the owners. a. Determine the income for each entity type below (1) If the entity is a C corporation then the taxable income is (2) If the entity is an S-corporation then the ordinary income of the corporation is $ b. Determine the effect of the distribution on the shareholders for the entity. (1) c corporation: Shareholders have $200,000 (2) S corporation: Shareholders have $200,000

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Based on the given information, if the entity is a C corporation, the taxable income is reduced by the $200,000 distribution, and if the entity is an S corporation, the ordinary income of the corporation is reduced by the $200,000 distribution.

If the entity is a C corporation, the taxable income would be calculated as follows:

Taxable income = Earnings and profits - Distributions

Taxable income = $900,000 - $200,000

Taxable income = $700,000

Therefore, the taxable income for a C corporation would be $700,000.

If the entity is an S corporation, the ordinary income of the corporation would be equal to the taxable income calculated for a C corporation, which is $700,000.

For a C corporation, the distribution of $200,000 would reduce the retained earnings and earnings and profits of the corporation by the same amount. Therefore, the shareholders would receive $200,000 in cash, but the value of their stock would be reduced by the same amount.

For an S corporation, the distribution of $200,000 would reduce the accumulated adjustments account (AAA) by the same amount. The shareholders would receive $200,000 in cash, and their basis in their S corporation stock would be reduced by the same amount.

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DA bank’s return on assets (ROA) could be lower than desired because of all of the following except
a. the bank has experienced heavy loan losses. b. the bank was locked into fixed-rate loans prior to a rise in market interest rates. c. the bank is receiving a relatively small amount of noninterest income. d. the bank has reduced its noninterest expenses.

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The bank's return on assets (ROA) could be lower than desired because of all the listed factors except d) the bank has reduced its noninterest expenses.

A lower ROA indicates that the bank is generating lower profits relative to its total assets. Factors that can contribute to a lower ROA include heavy loan losses (option a), being locked into fixed-rate loans prior to a rise in market interest rates (option b), and receiving a relatively small amount of noninterest income (option c). These factors can impact the bank's profitability and decrease its ROA.

However, reducing noninterest expenses (option d) is typically seen as a positive step towards improving profitability and increasing the ROA. By reducing expenses, the bank can enhance its operational efficiency and potentially increase its net income, resulting in a higher ROA. Therefore, reducing noninterest expenses would not be a reason for a lower ROA.

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a company pays dividends to its shareholders. record this transaction in the accounting equation by decreasing the (cash/dividends) account and (increasing/decreasing) the dividends account.

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The transaction of a company paying dividends to its shareholders is recorded in the accounting equation by decreasing the cash account and increasing the dividends account.

When a company pays dividends, it decreases its cash account as it pays out cash to its shareholders. At the same time, it increases the dividends account to show that it has distributed profits to its shareholders. The accounting equation remains balanced as the decrease in the cash account is offset by the increase in the dividends account. It is important for companies to keep track of their dividend payments to shareholders as it affects their financial position and profitability. In conclusion, recording the transaction of a company paying dividends involves decreasing the cash account and increasing the dividends account, and this helps to maintain the balance of the accounting equation.

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production and exchange depend on an reliable infrastructure of

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The production and exchange of goods and services heavily rely on a reliable infrastructure to facilitate transportation, communication, and other essential functions.

A reliable infrastructure plays a crucial role in supporting and enabling the production and exchange of goods and services. Infrastructure refers to the physical and organizational structures necessary for the functioning of a society or economy.

Transportation infrastructure, including roads, railways, airports, and ports, is essential for the movement of raw materials, finished products, and resources between different locations. It ensures efficient supply chains and facilitates the exchange of goods and services on a regional, national, and international scale.

Communication infrastructure, such as telecommunication networks and internet connectivity, is vital for transmitting information, conducting transactions, and coordinating business activities. Moreover, reliable infrastructure supports water supply, electricity grids, and waste management systems.

A dependable infrastructure in place helps in the smooth operation of businesses by solving logistical challenges, delays, and disruptions. Therefore, a reliable infrastructure serves as a foundation for economic development and enables efficient production, distribution, and exchange of goods and services.

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______ are tests conducted after an advertisement has been shown to the target audience to determine whether it accomplished its intended purpose.

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Post-tests are conducted after an advertisement has been shown to the target audience to determine whether it accomplished its intended purpose.

Post-tests are a type of research conducted after an advertisement has been aired or displayed to the target audience. The purpose of post-tests is to evaluate the effectiveness and impact of the advertisement and determine whether it achieved its intended objectives.

Post-tests are designed to measure various aspects of the advertisement's performance, such as its ability to capture attention, generate brand awareness, convey key messages, influence attitudes, or drive desired consumer behaviors. These tests help advertisers and marketers assess the overall effectiveness of their advertising campaigns and make informed decisions about future strategies.

Common methods used in post-testing include surveys, interviews, focus groups, and online analytics. These techniques gather feedback from the target audience to gauge their perception, recall, recognition, and response to the advertisement.

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virtue ethicists like sandel reject pollution permits on the grounds that they remove the moral stigma that is properly associated with polluting. group of answer choices true false

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True, virtue ethicists like Sandel reject pollution permits on the grounds that they remove the moral stigma that is properly associated with polluting.

Virtue ethics is an ethical framework that emphasizes the development of moral character and virtues in individuals.

It focuses on cultivating virtues such as honesty, compassion, justice, and integrity, and it places importance on the moral character of the agent rather than solely focusing on actions or consequences.

Michael Sandel, a prominent philosopher and ethicist, has indeed expressed concerns about pollution permits from a virtue ethics perspective.

Pollution permits, also known as emissions trading or cap-and-trade systems, are a market-based approach used to regulate pollution by assigning permits that allow companies to emit a certain amount of pollutants.

One of Sandel's arguments against pollution permits is that they undermine the moral responsibility and the moral stigma associated with polluting.

Sandel argues that polluting the environment is morally wrong, and by allowing companies to trade pollution permits, it diminishes the negative moral judgment or stigma that should be attached to polluting activities.

According to virtue ethics, an action is not solely evaluated based on its consequences or adherence to rules, but also on the character and virtues of the agent performing the action.

Virtue ethicists believe that certain actions, such as polluting the environment, are intrinsically wrong and should be accompanied by a moral stigma to discourage such behavior.

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the amount of sales tax collected by a retailer is recorded in the a. sales revenue account. b. sales taxes payable account. c. sales tax expense account. d. sales tax revenue account.

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The amount of sales tax collected by a retailer is recorded in the **sales taxes payable account**.

Sales tax is a tax imposed on the sale of goods and services by the government. It is typically a percentage of the purchase price and is collected by the seller from the buyer at the time of sale. This account represents the liability that the retailer owes to the tax authorities for the sales tax collected from customers. The retailer collects the sales tax on behalf of the government and is responsible for remitting it to the appropriate tax authority. The sales taxes payable account is a liability account on the retailer's balance sheet and is used to track the amount of sales tax collected but not yet remitted.

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Vijay owns land (adjusted basis of $81,400) that he uses in his business. He exchanges the land and $40,700 in cash for a different parcel of land worth $97,680. a. Vijay has a realized loss of b. Can Vijay avoid like kind exchange treatment and recognize his realized loss? because the $1031 like-kind exchange provision Therefore, Vijay the loss,

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Vijay has a realized loss of $24,420, but he cannot recognize it due to the Section 1031 like-kind exchange provision.

Vijay has engaged in a like-kind exchange under Section 1031 of the Internal Revenue Code. In this transaction, he exchanged his land (adjusted basis of $81,400) and cash ($40,700) for a different parcel of land worth $97,680.

To determine if there's a realized loss, we need to compare the fair market value (FMV) of the property received to the adjusted basis of the property given up. The FMV of the received property is $97,680, while the adjusted basis of the given up property is $81,400, plus the cash given ($40,700), totaling $122,100.

Vijay's realized loss is calculated as the difference between the adjusted basis of the property given up and the FMV of the property received: $122,100 - $97,680 = $24,420.

However, due to the Section 1031 like-kind exchange provision, Vijay cannot recognize this realized loss. This is because Section 1031 allows taxpayers to defer recognition of gains and losses when exchanging like-kind properties used in a trade or business. Since both properties involved in this exchange are like-kind, Vijay is not allowed to recognize the loss for tax purposes. Instead, the basis of the new property will be adjusted to account for the deferred loss.

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supernormal gmr inc expects to pay the following dividends over the next three years $4.00 4.40 and 4.84 after that supernormal gmr dividends will grow at a constant rate

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The intrinsic price of one share of Supernormal GMR's stock is approximately $45.36.

To calculate the intrinsic price of one share of Supernormal GMR's stock, we can use the dividend discount model (DDM) formula. The DDM calculates the present value of all future dividends to determine the stock's intrinsic value. In this case, since the dividends are expected to grow at a constant rate of 3% after the third year, we can use the Gordon growth model.

The formula for the Gordon growth model is as follows

Intrinsic Price = (D₁/ (r - g))

Where

D₁ = Dividend expected in the next year

r = Required rate of return

g = Growth rate

First, let's calculate the value of the dividends for the first three years

Year 1 dividend: $4.00

Year 2 dividend: $4.40

Year 3 dividend: $4.84

Next, we calculate the dividend expected in the next year

D₁ = Year 3 dividend × (1 + g) = $4.84 × (1 + 0.03) = $4.99

Now we can substitute the values into the Gordon growth model formula

Intrinsic Price = ($4.99 / (0.14 - 0.03))

= ($4.99 / 0.11)

= $45.36

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-- The given question is incomplete, the complete question is

"Supernormal GMR Inc. expects to pay the following dividends over the next three years: $4.00, $4.40, and $4.84. After that, Supernormal GMR's dividends will grow at a constant rate of 3% thereafter (to infinity and beyond). If Supernormal GMR's shareholders require a return of 14%, what is the intrinsic price of one share of Supernormal GMR's stock?" --

Mention FOUR financing opyions that you may consider to assist you to start your own business

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Starting your own business is an exciting yet challenging endeavor. One of the most significant challenges aspiring entrepreneurs face is finding financing options to help them get their business up and running.

There are several financing options available for small business owners, each with its own advantages and disadvantages. In this answer, I will discuss four financing options that you may consider to assist you in starting your own business.Borrowing from Friends and Family One financing option for starting a business is to borrow from friends and family. This option may be the easiest to access and may not require an in-depth analysis of the business's financials. However, it is essential to have clear documentation of the loan terms to avoid disputes later on. This financing option can also strain relationships if things go wrong, so it's vital to tread carefully when considering this option.

Crowdfunding is another financing option to consider when starting a business. This option involves raising funds through a collective effort from a large number of people. It involves creating a compelling pitch that can attract investors. The benefits of crowdfunding include creating buzz and visibility around your business idea while raising funds at the same time.Small Business Loans Small business loans are loans specifically designed to help start-ups and small businesses. These loans can be obtained from banks or financial institutions, and they typically offer lower interest rates than other loans. However, these loans can be challenging to obtain because they require extensive documentation and a good credit score.

Venture Capital Venture capital is another financing option to consider. This type of financing involves selling a portion of your business to a venture capitalist in exchange for funding. Venture capitalists are professional investors who provide financing to start-ups and small businesses in exchange for equity in the business. However, this option may be challenging to obtain, as venture capitalists typically invest in businesses that have a high potential for growth and a solid business plan. In conclusion, these are four financing options you may consider when starting your own business: borrowing from friends and family, crowdfunding, small business loans, and venture capital. Each financing option has its own advantages and disadvantages, and it's crucial to research each option thoroughly before making a decision.

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The formula for the cross elasticity of demand is written as the percentage change in the quantity demanded of one product ______ by the percentage change in the price of another product.

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The formula for the cross elasticity of demand is written as the percentage change in the quantity demanded of one product divided by the percentage change in the price of another product.

The cross elasticity of demand is a measure used to determine the relationship between two products and how changes in the price of one product affect the quantity demanded of another product. The formula for cross elasticity of demand compares the percentage change in the quantity demanded of one product to the percentage change in the price of another product.

Mathematically, the formula for cross elasticity of demand can be expressed as:

Cross elasticity of demand = (% change in quantity demanded of Product A) / (% change in price of Product B)

By using this formula, we can analyze the responsiveness of consumers to changes in the price of one product with respect to the quantity demanded of another product. A positive cross elasticity of demand indicates that the two products are substitutes, meaning that an increase in the price of one product leads to an increase in the demand for the other product. On the other hand, a negative cross elasticity of demand suggests that the two products are complements, indicating that an increase in the price of one product results in a decrease in the demand for the other product.

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Dave borrowed $1,400 on January 1, 2019, and paid it all back at once on December 31, 2019. The bank charged him a $11.50 service charge and interest was $87.90. What was the APR?

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The APR for Dave's loan was approximately 7.1%.

To determine the APR (Annual Percentage Rate) for Dave's loan, we'll consider the principal amount, interest, and the service charge. Dave borrowed $1,400 on January 1, 2019, and repaid it on December 31, 2019. The bank charged a service fee of $11.50 and interest of $87.90.

First, let's calculate the total cost of the loan. Total cost = principal + interest + service charge = $1,400 + $87.90 + $11.50 = $1,499.40. The total amount Dave repaid was $1,499.40.

Next, we need to find the difference between the total repayment and the principal amount, which represents the actual finance charge. Finance charge = $1,499.40 - $1,400 = $99.40.

Now, we'll calculate the APR. To do this, we'll divide the finance charge by the principal amount, and then multiply the result by 100 to get a percentage:

APR = (finance charge / principal) * 100
APR = ($99.40 / $1,400) * 100
APR ≈ 7.1%

So, the APR for Dave's loan was approximately 7.1%.

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An investor has exchange-traded put options to sell 100 shares for $20. There is 25% stock dividend. Which of the following is the position of the investor after the stock dividend?
a. Put options to sell 100 shares for $20,
b. Put options to sell 95 shares for $15,
c. Put options to sell 125 shares for $16,
d. Put options to sell 75 shares for $25.

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The position of the investor after the stock dividend is: c. Put options to sell 125 shares for $16.

After a stock dividend, the number of shares held by the investor increases, but the strike price of the put options remains the same. In this case, since there is a 25% stock dividend, the investor will receive an additional 25 shares (25% of 100 shares) without any change in the strike price of the put options. Therefore, the investor will have put options to sell a total of 125 shares (100 original shares + 25 additional shares) for $20.

The stock dividend does not affect the terms of the put options, such as the strike price or the number of shares covered by each option. It only increases the total number of shares held by the investor. Thus, the investor's position after the stock dividend is still defined by the original put options, but now they have the right to sell 125 shares (rather than the original 100 shares) for the same strike price of $20. Therefore, the correct answer is c. Put options to sell 125 shares for $16.

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at a fast-food restaurant we might observe the law of diminishing marginal returns because

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At a fast-food restaurant, we might observe the law of diminishing marginal returns because of the following reasons:1.

Production Capacity: Fast-food restaurants have a finite production capacity, including limited kitchen space, staff, and equipment. As more workers or resources are added to the production process, there is initially an increase in output. However, beyond a certain point, adding more workers or resources may lead to overcrowding, congestion, or inefficiencies, resulting in diminishing returns. For example, adding too many employees to a small kitchen can lead to reduced productivity and slower service.

2. Time Constraints: Fast-food restaurants typically aim to provide quick service to meet customer demands. There is a limited amount of time available to prepare and serve each order. Initially, as more workers or resources are allocated to the production process, the output may increase. However, beyond a certain point, adding more resources may not significantly speed up the production process, leading to diminishing marginal returns

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Select the aspect of accounting associated with the following activities. Aspects of Accounting Recording Activities 1. Measuring shipping costs. 2. Reporting the profitability of a product line. 3. Presenting financial information. 4. Observing sales transactions. 5. Acquiring knowledge of events with business implications. 6. Reporting debt owed to lenders 17. Preparing an internal report for management. 8. Observing transactions and events.

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The aspect of accounting associated with recording activities is known as financial accounting. This aspect involves the systematic recording and reporting of financial transactions, including measuring shipping costs, observing sales transactions, reporting the profitability of a product line, and presenting financial information.  So the correct option is (3) Presenting financial information.

Financial accounting is important for providing accurate and reliable financial statements that can be used by investors, creditors, and other stakeholders to make informed decisions about a business.

Additionally, financial accounting involves reporting debt owed to lenders and preparing internal reports for management to help them make strategic decisions based on financial data.

Overall, financial accounting plays a critical role in ensuring the financial health and success of a business.

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Break-even analysis is useful because it allows managers to.

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Break-even analysis is useful because it allows managers to determine how much content is required to break even.

The break-even point is the point at which a business's revenue equals its expenses, indicating that it has no profit or loss. A company will need to generate more revenue than its expenses to make a profit, and break-even analysis is used to determine the amount of revenue that must be generated to accomplish this.

The following are some reasons why break-even analysis is important to managers:

It enables managers to calculate how much material needs to be loaded to break evenIt assists managers in determining the amount of revenue required to cover their costsIt allows managers to assess their company's profitability by analyzing its fixed and variable expensesIt enables managers to assess the impact of pricing changes on their company's profitability.

Therefore, we can say that Break-even analysis is useful because it allows managers to determine how much content is required to break even.

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An economist seeks to estimate the magnitude of the price elasticity of demand of alcohol, which economic theory asserts is negative. This scenario most closely aligns with which of the following goals of data analysis? O Quantifying relationships Describing the economy O Testing hypotheses Predicting the future

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The scenario described in the question aligns with the goal of testing hypotheses in data analysis. In this case, the economist wants to test the hypothesis that the price elasticity of demand of alcohol is negative, which is a fundamental concept in economic theory.

To do this, the economist will need to collect data on the prices and quantities of alcohol sold, and use statistical methods to estimate the price elasticity of demand. The goal of testing hypotheses in data analysis is to determine the validity of a particular hypothesis or theory, and to provide evidence to support or reject it.

In this case, the economist's findings will contribute to our understanding of the relationship between price and demand for alcohol, which has important implications for public health and policy. Overall, the goal of testing hypotheses in data analysis is critical for advancing knowledge and making informed decisions based on evidence.

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The economist seeks to estimate the magnitude of the price elasticity of demand of alcohol, which economic theory asserts is negative, which aligns with the goal of data analysis to quantify relationships.

Quantifying relationships involves measuring the strength and direction of the relationship between variables, such as the relationship between the price of alcohol and the quantity demanded. In this case, the economist is seeking to estimate the price elasticity of demand, which measures the responsiveness of quantity demanded to changes in price. By quantifying this relationship, the economist can better understand how changes in price may affect the demand for alcohol and make informed decisions about policy or pricing strategies.

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identify two benefits of free trade due to increased competition

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Two benefits of free trade resulting from increased competition are lower prices for consumers and increased efficiency and innovation in domestic industries.

Free trade promotes competition by allowing businesses from different countries to compete in the global marketplace. This competition brings several benefits. Firstly, it leads to lower prices for consumers. When domestic industries face competition from foreign producers, they are compelled to offer their goods and services at competitive prices. This benefits consumers by providing them with a wider range of choices at lower prices, enhancing their purchasing power.

Secondly, increased competition fosters efficiency and innovation in domestic industries. When domestic companies face competition from foreign firms, they are motivated to improve their productivity, efficiency, and quality to remain competitive. This drive for efficiency leads to cost savings, streamlined operations, and enhanced productivity. Furthermore, competition encourages innovation as firms seek to differentiate themselves from competitors and develop new products or processes to gain a competitive edge. In summary, increased competition resulting from free trade benefits consumers through lower prices and promotes efficiency and innovation within domestic industries. These outcomes contribute to economic growth and overall welfare in countries engaged in free trade.

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which trade strategy is least vunlerable to an increase in trade barriers: A. transnational B. multidomestic C. global standardization

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The trade strategy least vulnerable to an increase in trade barriers is the global standardization strategy. Transnational and multidomestic strategies are more susceptible to disruptions caused by trade barriers.

The global standardization strategy involves offering standardized products or services worldwide, with minimal customization for local markets. This strategy reduces dependence on individual markets and is less vulnerable to trade barriers. It allows companies to maintain a consistent approach across different countries, which can mitigate the impact of trade restrictions or barriers. In contrast, the transnational strategy involves combining global coordination with local responsiveness, while the multidomestic strategy focuses on tailoring products and marketing to specific local markets. Both of these strategies may be more susceptible to disruptions caused by increased trade barriers, as they rely on market-specific customization or coordination across borders.

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