After Dan's EFN analysis for East Coast Yachts (see the Closing Case in Chapter 3), Larissa has decided to expand the company's operations. She has asked Dan to enlist an underwriter to help sell $45 million in new 30-year bonds to finance new construction. Dan has entered into discussions with Renata Harper, an underwriter from the firm of Crowe & Mallard, about which bond features East Coast Yachts should consider and also what coupon rate the issue will likely have. Although Dan is aware of bond features, he is uncertain as to the costs and benefits of some of them, so he isn't clear on how each feature would affect the coupon rate of the bond issue.
5.Are investors really made whole with a make-whole call provision?
6.After considering all the relevant factors, would you recommend a zero coupon issue or a regular coupon issue? Why? Would you recommend an ordinary call feature or a make-whole call feature? Why?

Answers

Answer 1

5. Make-whole call provision is designed to ensure that bond investors receive the entire interest income stream that they anticipated while investing in the bonds. Hence, investors are made whole by make-whole call provisions.

Make-whole call provisions compensate bondholders by paying them additional money as a penalty for early redemption of bonds. These provisions ensure that investors do not incur any loss if a bond is called before its maturity date. Hence, investors are made whole with a make-whole call provision. 6. A zero coupon issue would be more suitable than a regular coupon issue in the case of East Coast Yachts. This is because the company requires 45 million in new 30-year bonds to finance new construction.

An ordinary call feature should be recommended instead of a make-whole call feature. This is because an ordinary call feature allows the company to call the bond at any time after the call protection period, whereas the make-whole call feature would require the company to pay bondholders a penalty in case of an early redemption. An ordinary call feature would offer more flexibility to East Coast Yachts and would be less costly compared to the make-whole call feature. Hence, an ordinary call feature is recommended.

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Related Questions

The 1/1/20 balance in accumulated other comprehensive income for Jackson Hole Company was a positive balance of $415. During 2020, Jackson reported: Unrealized gains on available-for-sale investments of $74 Net income of $130 Paid dividends of $12 Realized gains from the sale of trading securities of $10 Foreign currency translation losses of $48. Calculate the following amounts: Total comprehensive income is

Answers

Total comprehensive income = Net income + Other comprehensive incomeTotal comprehensive income = $130 + $26Total comprehensive income = $156 Therefore, total comprehensive income for the year 2020 is $156.

The 1/1/20 balance in accumulated other comprehensive income for Jackson Hole Company was a positive balance of $415. During 2020, Jackson reported the following figures:

Unrealized gains on available-for-sale investments of $74Net income of $130 Paid dividends of $12 Realized gains from the sale of trading securities of $10Foreign currency translation losses of $48.

Calculate the following amounts:

Total comprehensive income Total comprehensive income is the sum of net income and other comprehensive income (OCI).

OCI is made up of the following items:

Unrecognized pension costs, gains or losses on derivatives that are not designated as hedges, foreign currency translation gains or losses, and unrealized gains or losses on available-for-sale securities.

The formula for calculating total comprehensive income is as follows:

Total comprehensive income = Net income + Other comprehensive income OCI = unrealized gains on available-for-sale investments + foreign currency translation losses OCI = $74 - $48OCI = $26

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Officals in charge of televising an international chess competition in South America want to defermine if the average time per move fot the fop players has remained at 5 minutes ovet the last two years. Video tapes of matehes which have been played oyer the fwoyear period are feviewed and a fandom sample of 49 moves afe timed. The sample mean is 4.5 mimutes. Assume the population standard deviation is 3.7 minutes. Usinig the confidence interval approach, fest the hypothesis that the average timse per move is different from 5 minutes at a 0.01 significance level. Step 1 of 2: Calculate a confidence interval for the average time per move. Round your answers to two decimal places.

Answers

The confidence interval for the average time per move can be calculated using the following formula:

Confidence Interval = sample mean ± (critical value * standard deviation / √n)

where:

- sample mean = 4.5 minutes (given)

- critical value corresponds to the desired confidence level and can be obtained from the t-distribution table for the given significance level (0.01 in this case)

- standard deviation = 3.7 minutes (given)

- n = sample size = 49 moves (given)

Since we are testing the hypothesis that the average time per move is different from 5 minutes, we need to calculate the two-sided confidence interval.

Step 1: Find the critical value for a two-sided 99% confidence level.

Using the t-distribution table with a significance level of 0.01 and 48 degrees of freedom (n-1), the critical value is approximately 2.69.

Step 2: Calculate the confidence interval.

Confidence Interval = 4.5 ± (2.69 * 3.7 / √49)

Confidence Interval ≈ 4.5 ± 1.06

The confidence interval for the average time per move is approximately (3.44, 5.56) minutes. Based on the sample data, we can be 99% confident that the true average time per move in the chess competition lies within the range of 3.44 to 5.56 minutes. If the value 5 minutes falls outside this interval, it would provide evidence to reject the null hypothesis and suggest that the average time per move is different from 5 minutes.

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As a global human resource manager, how can you prepare your employee to be successful in a role in a different culture?
2) Explain different factors that any organization should consider when making a decision about whether or not to expand into a particular geographical region?
One Page would be great! Double speaced

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You can prepare your employee to first exposing them to that culture, teach them about their history, customs, traditions. Any company should consider the demographic of the region, the political climate of the region, the economic climate of the region, and weather or not it is feasible to expand into that region.

Consider a Ricardian framework with two countries, A and B, and two products, G1 and G2. When country A opened up to trade, it experienced an increase in nominal wage. We can infer with certainty that The world trade relative price is different from country A's autarky relative price Country A has comparative advantage in G2 Real wage remained the same in country B Country A has comparative advantage in G1

Answers

In the Ricardian framework with two countries, A and B, and two goods, G1 and G2, when country A opened up to trade, it experienced an increase in nominal wages.

We can deduce with certainty that Country A has a comparative advantage in G2.In the context of the Ricardian model, when a country opens up to trade, the relative price of world trade differs from its autarky relative price. In other words, the world market price of goods varies from their domestic price. Following this law, when country A opened up to trade, it experienced an increase in nominal wages.

Thus, we can infer that the world trade relative price is different from country A's autarky relative price. The increase in nominal wages is due to the increase in production and the demand for more workers. In contrast, the real wage remained the same in country B.

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Assume an economy with population growth and technological progress. Their production function per effective worker is given by y=5k 0.5
. Their current capital stock per effective worker is 144 , depreciation rate is 7.5%, population growth is 3%, and they have labor-augmenting technological progress that grows at a rate of 1.5%. Evaluate the change in capital per effective worker at each savings rate. a. 20% savings rate b. 40% savings rate c. 60% savings rate

Answers

Given a production function of y=5k 0.5 and a current capital stock per effective worker of 144, depreciation rate of 7.5%, population growth of 3%, and labor-augmenting technological progress growing at a rate of 1.5%, we have to determine the change in capital per effective worker at each savings rate of 20%, 40%, and 60%.

Savings rate is the proportion of disposable income that is saved. In order to evaluate the change in capital per effective worker, we first need to calculate the steady-state capital stock per effective worker by setting the change in capital stock per effective worker equal to zero.

In steady state, capital stock per effective worker is given by (sf(k∗))^(1/(1−α)).

Here, s is the savings rate, α is the capital share in the production function, and k∗ is the steady-state capital per effective worker.α = 0.5, depreciation rate is 7.5%, population growth is 3%, and technological progress is 1.5%, so we have to find the value of k∗ using the given values.

At 20% savings rate:

k∗ = (0.2(5(144)0.5))^2/0.925 = 131.89

Change in capital per effective worker = (0.2(5(144)0.5) − 0.075 − 0.03 − 0.015)k∗ = (8.514 − 0.075 − 0.03 − 0.015) × 131.89 = 1.058

At 40% savings rate: k∗ = (0.4(5(144)0.5))^2/0.925 = 222.91

Change in capital per effective worker = (0.4(5(144)0.5) − 0.075 − 0.03 − 0.015)k∗ = (17.028 − 0.075 − 0.03 − 0.015) × 222.91 = 3.583

At 60% savings rate: k∗ = (0.6(5(144)0.5))^2/0.925 = 358.45

Change in capital per effective worker = (0.6(5(144)0.5) − 0.075 − 0.03 − 0.015)k∗ = (25.542 − 0.075 − 0.03 − 0.015) × 358.45 = 8.026

Hence, the change in capital per effective worker at 20% savings rate is 1.058, at 40% savings rate is 3.583, and at 60% savings rate is 8.026.

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which of the following types of unemployment is likely to exist in an economy that is at its potential output level?

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Structural unemployment is the primary type of unemployment that is likely to exist in an economy at its potential output level.

In an economy that is at its potential output level, the type of unemployment that is likely to exist is structural unemployment. Structural unemployment occurs when there is a mismatch between the skills and qualifications of the available workforce and the requirements of available jobs. It is typically a result of long-term changes in the structure of the economy, such as technological advancements, shifts in industries, or changes in consumer demand. At the potential output level, the economy is operating at its full capacity, and cyclical unemployment  is low. Frictional unemployment may still exist, but it is typically short-term and does not significantly impact the overall level of unemployment.

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What is an accounting cycle's most important output?
Does every business have to have an accounting?

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The accounting cycle is a series of processes that organizations use to collect, record, analyze, and report financial transactions. The accounting cycle produces a variety of essential outputs for businesses.

The most important output of the accounting cycle is the financial statements, which provide a snapshot of a company's financial health and performance over a specific period.

Financial statements are a collection of reports that summarize the financial transactions of a business, including the income statement, balance sheet, and cash flow statement. These statements provide vital information to investors, lenders, and other stakeholders about a company's profitability, liquidity, and solvency.

In addition to financial statements, the accounting cycle produces other essential outputs. One such output is the trial balance, which lists all of the accounts in the general ledger and their balances. The trial balance is a critical tool for detecting errors in accounting records.

Another important output of the accounting cycle is the adjusting entries, which are made at the end of an accounting period to ensure that financial statements accurately reflect a company's financial position. Adjusting entries include accruals, deferrals, and estimates.

Now, talking about the second part of your question: Does every business have to have an accounting? The answer is Yes. Every business, whether it's a small business or a multinational corporation, needs accounting to keep track of its financial transactions.

In conclusion, the most important output of the accounting cycle is financial statements, which provide stakeholders with critical information about a company's financial health. And, Yes, every business needs accounting to make informed decisions, secure financing, and comply with tax laws.

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Please answer the one question given above in the form of an
essay minimum 300 words and maximum 500 words. Also, please type
out the essay. Thank you
c. Non-Financial Performance Many city and county governments are discovering that you can control only what you measure. As a result, many municipal governments are introducing non-financial performa

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Municipal governments are introducing non-financial performance as a part of their annual reports, considering its significant impact on their operations.

Non-financial performance can be defined as the aspects of an organization's performance that are not monetary but contribute to its overall success, such as social responsibility, employee satisfaction, and customer satisfaction.

Non-financial performance is becoming increasingly popular among governments as it provides valuable information to decision-makers beyond the traditional financial reports. This essay will examine the significance of non-financial performance in municipal governments.

Firstly, measuring non-financial performance in municipal governments can help to identify areas that need improvement. A non-financial performance report can provide valuable insight into an organization's strengths and weaknesses. For example, if an organization measures employee satisfaction levels, it can pinpoint areas where employees are unhappy and make changes to improve overall morale and engagement. This information can also be used to motivate employees and create a more productive work environment.

Secondly, non-financial performance can help to ensure that municipal governments are achieving their goals. Measuring non-financial performance can help to track the progress of an organization and ensure that it is on track to meet its objectives. For example, a municipality that wants to reduce its carbon footprint can track its progress by measuring the amount of waste it produces and the amount of energy it consumes. If it is not meeting its targets, it can implement new policies or initiatives to get back on track.

Thirdly, non-financial performance can be used to communicate an organization's values and priorities to stakeholders. By measuring and reporting non-financial performance, municipal governments can demonstrate their commitment to social responsibility, environmental sustainability, and other values. This can help to build trust with stakeholders and enhance the organization's reputation.

In conclusion, non-financial performance is a valuable tool for municipal governments to measure their performance beyond traditional financial reports. By measuring non-financial aspects such as employee satisfaction, social responsibility, and customer satisfaction, municipal governments can identify areas that need improvement, ensure that they are achieving their goals, and communicate their values and priorities to stakeholders. Therefore, it is essential that municipal governments introduce non-financial performance as a part of their annual reports.

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Our society is evolving into a diverse society where we each have an almost infinite number of choices. This change makes it more critical than ever to identify distinct market segments and to develop specialized messages and products for those groups.

You will then identify three different segments of different group ages. For example, if your dimension was education, you may select the segments high school graduates, associate degrees, and doctorates.

Explain the difference in products they would buy and the marketers' different approaches to reach each segment. The five product categories are:


food

transportation

entertainment

clothing

housing

Answers

In a diverse society with infinite choices, it is crucial for marketers to identify distinct market segments and develop specialized messages and products for each group.

Let's explore three different segments based on group ages and discuss the difference in products they would buy and the marketers' different approaches to reach each segment.

1. High school graduates:

- Food: High school graduates may prefer affordable and convenient food options, such as fast food or ready-to-eat meals. Marketers could target them through social media platforms or mobile apps that offer discounts or promotions.

- Transportation: High school graduates might rely on public transportation or affordable car options. Marketers could use targeted online ads or partnerships with ride-sharing services to reach this segment.

- Entertainment: High school graduates might be interested in video games, movies, and music. Marketers could advertise through social media influencers or gaming platforms to reach this segment.

- Clothing: High school graduates might be attracted to trendy and budget-friendly clothing options. Marketers could utilize social media platforms or collaborations with popular influencers to showcase their products.

- Housing: High school graduates might be looking for affordable rental options or shared living spaces. Marketers could target this segment through online platforms or partnerships with real estate agencies that cater to young adults.

2. Associate degree holders:

- Food: Associate degree holders may have more disposable income and could prefer healthier and organic food options. Marketers could promote their products through health-conscious influencers or organic food stores.

- Transportation: Associate degree holders might prioritize convenience and sustainability. Marketers could focus on electric cars or public transportation options and advertise through environmentally conscious platforms or events.

- Entertainment: Associate degree holders might have diverse interests and could be interested in cultural events, museums, or live performances. Marketers could reach this segment through partnerships with local venues or targeted ads on cultural websites.

- Clothing: Associate degree holders might prefer brands that align with their values or provide a unique style. Marketers could utilize targeted online ads or collaborations with sustainable fashion influencers.

- Housing: Associate degree holders might be ready to invest in their own homes or move to urban areas. Marketers could advertise through real estate websites or collaborations with interior design influencers.

3. Doctorates:

- Food: Doctorate degree holders might prioritize quality and unique dining experiences. Marketers could target this segment through high-end restaurants, culinary events, or collaborations with renowned chefs.

- Transportation: Doctorate degree holders might prefer luxury or environmentally friendly transportation options. Marketers could focus on luxury car brands or electric vehicles and advertise through exclusive events or targeted online platforms.

- Entertainment: Doctorate degree holders might be interested in intellectual pursuits, such as literature, art, or classical music. Marketers could reach this segment through collaborations with renowned artists, advertisements in cultural magazines, or partnerships with intellectual events.

- Clothing: Doctorate degree holders might prefer high-end or designer brands that reflect their status and individuality. Marketers could advertise through luxury fashion magazines, collaborations with high-end retailers, or partnerships with influential fashion bloggers.

- Housing: Doctorate degree holders might prefer upscale homes or gated communities. Marketers could advertise through luxury real estate agencies, high-end home decor magazines, or partnerships with renowned architects.

It's important to note that these are generalizations and individuals within each segment may have different preferences. Additionally, marketers should conduct further research and adjust their approaches based on the specific characteristics and needs of each segment.

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A graph with price and quantity axes and MC, ATC, and AVC curves. MC has sections A, B, and C and is upward sloping. Section A starts at the beginning of the MC curve and ends when MC intersects AVC, Section B starts from that intersection and continues until MC intersects ATC, and Section C starts at the intersection of ATC and MC and continues until the end of the MC curve.
Which sections of the following firm’s marginal cost curve are also part of its supply curve?
1. A+B only
2. B+C only
3. C only
4. B only

Answers

A firm's supply curve includes only that part of the marginal cost curve that lies above the average variable cost curve.

It is the minimum price that a firm will accept to produce a certain quantity of goods or services in the short run.

Therefore, the answer to the question above is option 2 (B+C only).

The average total cost curve (ATC) and the marginal cost curve (MC) will intersect at the minimum point of the ATC curve because, at this point, MC will be equal to ATC.

When a firm sets its price, it compares its average total cost with its marginal cost.

If the average total cost is higher than the marginal cost, it will not be profitable to produce the goods, and the firm will shut down.

In the short run, a firm will only produce if the price is greater than the minimum average variable cost (AVC) because, in the short run, a firm must cover its variable costs to stay in business.

In other words, in the short run, a firm's supply curve will be part of the marginal cost curve that lies above the average variable cost curve (AVC).Sections B+C of the firm's marginal cost curve are also part of its supply curve.

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i) Calculate the present values of each cash flow for a 3% three-year bond with annual coupons (the RRR is 4% in all years). Present the corresponding calculation for a 3% three-year bond with semi-annual coupons. Calculate the difference between the total PVs of these two bonds. Explain in a couple of sentences why this difference comes about.
ii)For the annual coupon bond in part (i), calculate how the total PV will change if the RRR rises from 4% to 4.01%. Compare your PVs for these two different RRRs to derive an estimate of the duration of the bond.
iii) Now replace the 3% coupon bond with a three-year zero-coupon bond. Repeat your calculations from (ii) for RRR equals 4% and 4.01% and hence derive an estimate for the duration of this zero-coupon bond. Explain why this duration is different to what you calculated for the coupon bond in (ii).

Answers

The duration of the zero-coupon bond is less than that of the coupon bond because there are no coupon payments to receive earlier than the maturity of the bond.

i) For annual coupon bond

Present value of the coupon payment $= 3/1.04 + 3/1.04^2 + 103/1.04^3 = 98.93$

Present value of the principal payment $= 100/1.04^3 = 88.53$

Total present value of the bond $= 98.93 + 88.53 = 187.46$

For semi-annual coupon bond

Present value of the coupon payment $= 1.5/1.02 + 1.5/1.02^2 + 1.5/1.02^3 + 101.5/1.02^3 = 98.99$

Present value of the principal payment $= 100/1.02^6 = 88.02$

Total present value of the bond $= 98.99 + 88.02 = 187.01$

The difference between the total PVs of the two bonds = $187.46 - 187.01 = 0.45$.

The difference is due to the fact that the semi-annual coupon bond has more coupon payments than the annual coupon bond, and hence cash flows are discounted more frequently.

ii) For annual coupon bond

If RRR rises to 4.01%, the total present value will become $= 98.51 + 87.76 = 186.27$.

Hence, the change in total PV = $187.46 - 186.27 = 1.19$.

Therefore, the estimated duration of the bond is $\approx \frac{1.19}{187.46 \times 0.0001} = 0.63$ years.

iii) For the zero-coupon bond

Present value of the bond $= 100/1.04^3 = 88.53$.

If RRR rises to 4.01%, the total present value will become $= 100/1.0401^3 = 88.41$.

Hence, the change in total PV = $88.53 - 88.41 = 0.12$.

Therefore, the estimated duration of the bond is $\approx \frac{0.12}{88.53 \times 0.0001} = 0.136$ years.

The duration of the zero-coupon bond is less than that of the coupon bond because there are no coupon payments to receive earlier than the maturity of the bond.

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An excellent should be clear, compelling and differentiating: company strategy value proposition marketing campaign

Answers

An excellent company strategy includes a clear, compelling, and differentiating value proposition that is effectively communicated through a targeted marketing campaign.

A company strategy encompasses the overall plan and direction of the business, including how it aims to create value and differentiate itself from competitors. A key component of an excellent strategy is a compelling value proposition, which clearly articulates the unique benefits and value that the company offers to its customers. To effectively convey this value proposition and attract the target audience, a well-executed marketing campaign is crucial. The marketing campaign should align with the company's strategy and effectively communicate the value proposition through various channels, such as advertising, social media, content marketing, and public relations.

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As the project manager for the "Global Treps Project," you are expected to complete the project on time and within the budget allocated. The senior management team has indicated that project costs cannot exceed $120,000, and the project must be completed within 6 months. Assume that labor costs are the only costs associated with the project and that the following human resources are available to work full-time on the project at the established hourly labor rate. Note that the work week is 56 hours, as Saturdays and Sundays are workdays for this project.
Project Manager (you): $120 per hour
Website Developer (Bobby): $95 per hour
System Test Engineer and Event Runner: Vietnam (Kim): $55 per hour
Support Team Manager and Event Runner: India (Ashok): $55 per hour
Event Runner: Ethiopia (Alfreda): $45 per hour

Answers

Labor costs for the "Global Treps Project" exceed the budget of $120,000, requiring adjustments to stay within budget.

To determine if the project can be completed within the allocated budget and time frame, we need to consider the labor costs for each resource and their availability.

Given the hourly labor rates and assuming a work week of 56 hours, we can calculate the total labor cost per week for each resource as follows:

- Project Manager (you): $120/hour x 56 hours/week = $6,720/week

- Website Developer (Bobby): $95/hour x 56 hours/week = $5,320/week

- System Test Engineer and Event Runner: Vietnam (Kim): $55/hour x 56 hours/week = $3,080/week

- Support Team Manager and Event Runner: India (Ashok): $55/hour x 56 hours/week = $3,080/week

- Event Runner: Ethiopia (Alfreda): $45/hour x 56 hours/week = $2,520/week

Now, let's calculate the total labor cost for the entire project duration of 6 months (approximately 26 weeks):

- Project Manager: $6,720/week x 26 weeks = $174,720

- Website Developer: $5,320/week x 26 weeks = $138,320

- System Test Engineer and Event Runner: Vietnam: $3,080/week x 26 weeks = $80,080

- Support Team Manager and Event Runner: India: $3,080/week x 26 weeks = $80,080

- Event Runner: Ethiopia: $2,520/week x 26 weeks = $65,520

The total labor cost for all resources combined is:

$174,720 + $138,320 + $80,080 + $80,080 + $65,520 = $538,720

Based on these calculations, the total labor cost for the project exceeds the allocated budget of $120,000. Therefore, adjustments need to be made, such as reducing the number of hours worked per week or negotiating lower labor rates, to bring the project within the budget.

Regarding the project duration, since it is stated that the project must be completed within 6 months, which is approximately 26 weeks, we have considered this timeframe in the calculations above.

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Dilution decision. Omega Inc. currently has 4,600,000 shares of stock outstanding and will report earnings of $3,500,000 in the current year. The company is considering the issuance of 1,300,000 additional shares that will net $24 per share to the corporation. Assume the Omega can earn 11.0% on the proceeds of the stock Issue in time to include it in the current year's results. a. What is the immediate dilution potential for this new stock issue? 3 Round yout answer to sthe nearest cent. b. Should the new Issue be undertaken based on earnings per share? No, because the final EPS =$1.67 is smailer than the beginning EPS −$3.41 Yes, because the final EPS =$3.74 is smaller than the beginand EPS =$4.78 Yes, because the final EPS =$1.17 is farger than the begining EPS = SD 76 No, because the final EPS =$130 is smaller than the begining EPS =$336

Answers

Dilution decision is a choice made by a company when considering the issuance of new stock, which will increase the total shares outstanding. The dilution effect is the reduction in each share's value and the total earnings per share (EPS) when the shares are divided among a greater number of shareholders. Here is how to answer the question:

A) What is the immediate dilution potential for this new stock issue?

To determine the immediate dilution potential, we must first calculate the EPS before the new shares are issued:

EPS = Earnings / Shares Outstanding

EPS = $3,500,000 / 4,600,000

EPS = $0.76 per share

We can then calculate the additional earnings generated by the new shares:

New Earnings = New Shares * Net Proceeds

New Earnings = 1,300,000 * $24

New Earnings = $31,200,000

Now we can calculate the diluted EPS:

Diluted EPS = (Earnings + New Earnings) / (Shares Outstanding + New Shares)

Diluted EPS = ($3,500,000 + $31,200,000) / (4,600,000 + 1,300,000)

Diluted EPS = $34,700,000 / 5,900,000

Diluted EPS = $5.88 per share

The dilution potential is the reduction in EPS that occurs when new shares are issued, and it is calculated as follows:

Dilution Potential = (Immediate Diluted EPS - EPS) / Immediate Diluted EPS

Dilution Potential = ($5.88 - $0.76) / $5.88

Dilution Potential = 87.75%

The dilution potential for this new stock issue is 87.75%.

B) Should the new Issue be undertaken based on earnings per share? No, because the final EPS = $1.67 is smaller than the beginning EPS = $3.41.The answer is No, because the final EPS = $1.67 is smaller than the beginning EPS = $3.41.

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Suppose you plan to visit Japan in December. You think you will
need 150,000 yen for your trip. How many dollars do you need if one
Japanese Yen is worth $0.0088?

Answers

Suppose that you are planning a trip to Japan in December, and youb that you will need [tex]¥150,000[/tex]for your trip. If one Japanese Yen is worth 0.0088, you will need to determine how many dollars you will need for your trip.

The easiest way to calculate this is to multiply the number of yen you need by the exchange rate in dollars. In this case, ¥150,000 multiplied by 0.0088 per yen would be approximately 1320.Keep in mind that exchange rates can fluctuate over time, so it's always a good idea to double-check the current exchange rate before making any financial decisions.

Additionally, when traveling abroad, it's important to budget for unexpected expenses or emergencies that may arise during your trip. Therefore, it is recommended to have some extra money or a travel credit card for emergencies.

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Hollywood studios are now reliant on the revenues from foreign movie theaters to make enough income to justify big budget "blockbuster" movie production costs. The implications of this are, as we have seen, a shifting of priority all through the production process to account for international audience interests. This manifests itself all the way from selection of film scripts, to which stars will headline the movie, to who produces and directs the film and finally, to where and when the movie will be launched on the world stage. (Total: 7 points)
Q.1 What are the Opportunities and Threats facing Hollywood? Q. 2 What strategic actions would you recommend to US film-makers?

Answers

Q1. What are the Opportunities and Threats facing Hollywood?

Opportunities and threats facing Hollywood can be identified as follows:

Opportunities : Capturing an international audience- Hollywood is now reliant on foreign cinema revenues to make enough money to justify blockbuster production costs. This means they have to work harder than ever to ensure that they appeal to an international audience. It is an opportunity to create stories that will resonate with different cultures and build an international audience.

Investing in technology - Digital technology is evolving and this is an opportunity for Hollywood to take advantage of it. Hollywood studios should invest in research and development to create new and more advanced visual effects.

Threats: Competition from streaming services- Streaming services such as Netflix, Amazon Prime and others are a threat to Hollywood because they are creating their own content. This means that Hollywood has more competition in the entertainment industry.

Censorship- Hollywood has faced some challenges with their content. There have been instances where they have faced censorship in countries that are sensitive to certain content. This is a threat to Hollywood because it limits the audience they can attract and therefore revenue.

Q2. What strategic actions would you recommend to US film-makers?

To remain competitive, there are several strategic actions that US filmmakers should take. They are as follows:

Increase their focus on international audiences - Hollywood should create stories that appeal to people of all cultures. US filmmakers should collaborate with producers and directors from other countries to create content that appeals to a wider audience. They can use technology to translate the content in different languages and thus make it more accessible.

Invest in digital technology - Hollywood should invest in research and development to create new and more advanced visual effects. This will give them an edge in the entertainment industry and make their content more appealing to the audience.

Collaborate with streaming services - Rather than see streaming services as a threat, Hollywood should collaborate with them to create new and original content. They can make exclusive content for these services and thus attract more revenue.

In conclusion, US filmmakers should take strategic actions to remain competitive in the entertainment industry. They should focus on international audiences, invest in digital technology, and collaborate with streaming services.

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the most important/essential results from the latest decision round that company managers need to review/study in order to guide their strategic moves and decisions to improve their company's competitiveness and overall performance on the five investor-expected performance targets in the upcoming decision round are

a. the two graphs at the bottom of p. 4 of each issue of the GSR.

b. the dividend data and credit rating data on p. 7 of each issue of the GSR.

c. the Quarterly Snapshot data in the top section of the Competitive Intelligence Report that shows each company's competitive efforts (advertising, tech support, prices, P/Q ratings, promotional activities, and so on) in each geographic region.

d. the Industry Scoreboard on p. 1 of each issue of the GLO-BUS Statistical Review (GSR).

e. the strategic group maps for each geographic region that appear in the middle of each Quarterly Snapshot page in the Competitive intelligence Report.

Answers

The most important/essential results that company managers need to review and study in order to guide their strategic moves and decisions to improve their company's competitiveness and overall performance on the five investor-expected performance targets in the upcoming decision round are:

The two graphs at the bottom of page 4 of each issue of the GSR (GLO-BUS Statistical Review).  By analyzing these graphs, managers can identify trends and make informed decisions.Dividend data shows the company's distribution of profits to shareholders, while credit rating data indicates the company's financial stability and ability to meet its financial obligations.Analyzing this data helps managers understand their position in the market and make adjustments to improve their competitiveness.

The Industry Scoreboard on page 1 of each issue of the GSR. The Industry Scoreboard provides an overview of the industry's performance, including key metrics such as market share, sales growth, and profitability.The strategic group maps for each geographic region that appear in the middle of each Quarterly Snapshot page in the Competitive Intelligence Report.Understanding the position of the company's strategic group in relation to competitors can guide managers in making decisions to gain a competitive advantage.

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Which of the following methods for determining inventory cost is not allowed by GAAP? a. Averagecost.
b. FIFO.
c. LIFO.
d. Standard cost.

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d. Standard cost.

The method for determining inventory cost that is not allowed by GAAP (Generally Accepted Accounting Principles) is d. Standard cost.

Let us understand what each term means before moving on to the answer.

GAAP:

GAAP stands for Generally Accepted Accounting Principles.

It is a collection of commonly followed accounting principles, standards, and procedures in the U.S.

It provides a framework to standardize financial accounting practices and ensure financial statements' accuracy.

The GAAP also offers guidance on financial reporting for businesses.

Average cost:

It is a method used to calculate inventory costs by averaging the costs of all the goods available in a particular inventory.

The calculation is done by adding up all the costs and dividing them by the total number of goods in inventory.

FIFO:

The FIFO method (First-In, First-Out) assumes that the oldest items in a company's inventory are sold first, and the most recent items are sold last.

LIFO:

The LIFO method (Last-In, First-Out) assumes that the most recently acquired items in inventory are sold first, and the oldest items are sold last.

Standard cost:

The standard cost method is a cost accounting method where inventory is valued at a specific cost, which is predetermined before production.

It is used to estimate the cost of a product before it is manufactured.

Now, coming to the answer, as stated earlier, the method for determining inventory cost that is not allowed by GAAP is the Standard cost.

Hence, option d. is the correct answer.

Therefore, we can conclude that determining inventory cost using the standard cost method is not allowed by GAAP.

The other methods like FIFO, LIFO, and average cost are accepted by GAAP.

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Which of the following is not information needed to prepare a Statement of Cash Flows? • Copy of Tax Return • Additional Infomration • Curent Income Statement • Comparative Balance sheet

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Statement of Cash Flows is a report that presents a company’s inflows and outflows of cash, allowing shareholders to better comprehend the entity’s liquidity and solvency. The statement of cash flows is one of the financial statements required by GAAP (Generally Accepted Accounting Principles).

A statement of cash flows is not prepared using the information given on a tax return. The tax return is used to compute taxable income rather than income for financial reporting purposes, which is what is needed in a statement of cash flows. Current income statement and comparative balance sheet, on the other hand, are both essential documents for a statement of cash flows.

The income statement for the reporting period is used to calculate the net cash flow from operations, while the comparative balance sheet is used to identify changes in the cash account balance. The balance sheet is utilized to produce the statement of cash flows by establishing the changes in the balances of specific balance sheet accounts. These accounts include assets, liabilities, and equity balances.

The statement of cash flows is, as a result, concerned with cash inflows and outflows, not the accrual-based net income shown on a tax return.

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12. Midea cooperation bonds mature in 3 years and have a yield to maturity of 8.5%. The par value of the bond is $1000. The bond have a 10% coupon rate and pay interest on semiannual basis. What is the capital gain yield (loss) on this bond? a. 9.625% - b. 1.75% b. 8.5% d. 1.125%

Answers

A bond's capital gain yield (loss) is a measure of how much its price has changed relative to its purchase price. It is determined by the difference between the bond's purchase price and its price at maturity, as well as the amount of interest that has been paid up to that point.

The formula for capital gain yield is as follows:$$\text{Capital gain yield} = \frac{\text{Ending price} - \text{Beginning price} + \text{Interest received}}{\text{Beginning price}} \times 100\%$$Here, the bond in question has a par value of $1000, a 10% coupon rate, and a yield to maturity of 8.5%.

It matures in 3 years and pays interest on a semiannual basis. The first step is to calculate the bond's present value using the formula:$$\text{Bond price} = \frac{\text{Coupon payment}}{(1 + r/k)^{kT}} + \frac{\text{Par value}}{(1 + r/k)^{kT}}$$Where r is the yield to maturity, k is the number of compounding periods per year, and T is the number of years until maturity.

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What are the determinants of executive compensation? How can executive compensation help mitigate agency problems? Focusing on the level and structure of executive compensation, critically discuss why executive compensation could be perceived as a manifestation of agency problems rather than a mitigating solution.

Answers

While executive compensation can be an effective tool to align interests and mitigate agency problems, it requires careful design and oversight to avoid becoming a manifestation of the same problems it aims to solve. Transparency, accountability, and an emphasis on long-term value creation are crucial to ensure that executive compensation serves its intended purpose and contributes to a healthy corporate governance framework.

The determinants of executive compensation can vary across organizations and industries. However, some common factors include company performance, market conditions, industry benchmarks, executive's qualifications and experience, and the complexity of the executive's role. Additionally, the level and structure of executive compensation often depend on factors such as the company's size, profitability, and the strategic importance of the executive's role.

Executive compensation can help mitigate agency problems by aligning the interests of executives with those of shareholders. By offering competitive compensation packages, including a mix of salary, bonuses, stock options, and other incentives, companies can motivate executives to act in the best interest of shareholders and drive long-term value creation. Furthermore, performance-based compensation can link executive rewards to specific financial and non-financial goals, reducing the agency problem of executives prioritizing short-term gains over long-term sustainability.

However, executive compensation can also be perceived as a manifestation of agency problems. Excessive pay packages, especially when not adequately linked to performance, can create a moral hazard by incentivizing executives to take excessive risks or engage in unethical behavior to maximize personal gain. Moreover, the lack of transparency in compensation practices and the influence of compensation committees, often comprised of other executives, may result in inflated pay without sufficient accountability.

In conclusion, while executive compensation can be an effective tool to align interests and mitigate agency problems, it requires careful design and oversight to avoid becoming a manifestation of the same problems it aims to solve. Transparency, accountability, and an emphasis on long-term value creation are crucial to ensure that executive compensation serves its intended purpose and contributes to a healthy corporate governance framework.

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Dr. Scott discussed the idea of distributed cognition. Which of the following is most consistent with this theoretical approach? Cognition in humans can be usefully studied by examining similar behaviors in other species. Cognition is complex and must be studied using the tools and methods from different disciplines. Cognition can be usefully studied beyond the individual skull and should include actions, artifacts, and context. Cognition is best studied by looking at how it is distributed across different brain regions

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The statement that is most consistent with the theoretical approach of distributed cognition is: "Cognition can be usefully studied beyond the individual skull and should include actions, artifacts, and context.''

The idea that cognition can be usefully studied beyond the individual skull and should include actions, artifacts, and context is most consistent with the theoretical approach of distributed cognition.

Distributed cognition is an approach that emphasizes how cognitive processes extend beyond the individual mind and involve the interactions between individuals, their environment, and artifacts.

It recognizes that cognition is not solely confined to the brain but is distributed across people, objects, and the context in which they are situated.

Studying cognition in this framework involves examining how cognitive processes are influenced by and interact with the actions, artifacts, and context surrounding individuals.

It recognizes that cognition is not solely an internal mental process but is influenced by the external environment and the social and cultural aspects of a situation.

Therefore, the idea that cognition can be usefully studied beyond the individual skull and should include actions, artifacts, and context is most consistent with the theoretical approach of distributed cognition.

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you go long on one ucr sept 125 call (the contract is for100 shares) for a premium of $5. on the expiration date, ucr is trading for $128 per share. you realize a ________ on the option.

Answers

The profit realized on the option is $300. Here’s how: It’s a call option since you’ve gone long, meaning that you have the right to purchase the underlying asset at the specified price on or before the expiration date.

Now, to calculate the profit, we need to determine the breakeven point and compare it to the current stock price.

Breakeven point = Strike price + Premium Breakeven point = $125 + $5 = $130

Current stock price = $128

Since the current stock price is less than the breakeven price, the option would be out-of-the-money, and you would not exercise it. You would, however, realize a profit by selling the option. The profit is calculated by taking the difference between the premium paid and the proceeds of selling the option. Profit = Proceeds from selling the option - Premium paid Since the option is out-of-the-money, it would have no intrinsic value.

The price would solely be comprised of extrinsic value (time value and volatility). Hence, the most you could sell the option for would be the premium paid of $5.

Profit = $5 - $0 = $5 per share For the whole contract, the profit is:  

$5 per share × 100 shares per contract = $500

Note that we cannot make a profit in the case of an out-of-the-money option since we would have paid a premium to acquire the option, and if we were to sell the option, we would only get back the premium. If the option were in-the-money, it would have intrinsic value, which means it could be sold for more than the premium paid.

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which of the following would you expect to find on a monthly account statement?

Answers

On a monthly account statement, you would typically find the following information:  Account Summary: This section provides a summary of your account, including the beginning and ending balances for the month.



Transactions can include deposits, withdrawals, purchases, fees, and interest earned. Account Activity: This section gives a detailed breakdown of the account activity during the month. It may include information on the types of transactions, their frequency, and any changes in account status. Interest Earned or Charged: If your account earns interest or incurs interest charges, this section will provide information on the interest amount earned or charged during the month.



Account Details: This section provides additional details about your account, such as your account number, account holder's name, contact information, and the terms and conditions of your account. However, the main purpose of the statement is to provide a comprehensive overview of your account activity and current financial status. I hope this explanation helps you understand what information you would typically find on a monthly account statement.

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Explain in detail how each item below affects the equilibrium:
a. How does a change in wealth change the equilibrium? (Which curve is affected? How is it affected?
b. How does a change in taxation change the equilibrium? (Which curve is affected? How is it affected?)
c. How does a change in labor or capital productivity change the equilibrium? (Which curve is affected? How is it affected?)

Answers

a) Changes in wealth can impact the demand curve, supply curve, or both. If consumers' wealth rises, they will be more likely to buy more goods and services, increasing the aggregate demand, shifting the demand curve to the right.

The opposite can be said for a decrease in producers' wealth. In summary, changes in wealth can impact the wealth  by either shifting the demand or supply curves, depending on who experiences the change.

b) Changes in taxation can affect the equilibrium by influencing the supply curve, demand curve, or both. Taxation affects the price of goods and services in two ways: directly and indirectly.

On the other hand, a decrease in taxes increases disposable income, leading to an increase in demand, shifting the demand curve to the right and resulting in an increase in prices and quantity.

In conclusion, changes in taxation can affect the equilibrium by shifting both the supply and demand curves, depending on the magnitude of the change.

c) Changes in labor or capital productivity can impact the supply curve by increasing or decreasing the ability of businesses to produce goods and services.

On the other hand, if capital magnitude rises, a company can produce more goods and services using the same amount of capital, causing the supply curve to shift to the right, resulting in a decrease in price and an increase in quantity. The opposite is true if capital productivity decreases.

In conclusion, a change in labor or capital productivity can impact the equilibrium by shifting the supply curve, leading to changes in price and quantity.

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You are paying a series of five constant-dollar (or real-dollar) uniform payments of $2,398.96 beginning at the end of first year. Assume that the general inflation rate is 33.41% and the market interest rate is 33.41% during this inflationary period. The equivalent present worth of the project is: Enter your answer as follow: 1234.56_____

Answers

The given problem is related to the concept of present worth analysis. Here we have to find the equivalent present worth of the project.

The given information is as follows: The series of five constant-dollar (or real-dollar) uniform payments is $2,398.96.The payment begins at the end of the first year. The general inflation rate is 33.41%.The market interest rate is 33.41%.Formula:The formula for calculating the present worth of a constant-dollar uniform payment is:

[tex]P = A(1 - (1 + i)^-n)/i[/tex]

The equivalent present worth of the project: The equivalent present worth of the project can be calculated as follows:First, we need to calculate the present worth of each payment that is being paid at the end of each year during the period of inflation.

The duration of the series of payments is 5 years. We have to use the following formula to calculate the present worth of each payment.

[tex]P = A(1 - (1 + i)^-n)/iWhere A = $2,398.96,[/tex]

[tex]i = 33.41%, and n = number of years.[/tex]

The present worth of each payment for each year is: Year Payment Present worth Present worth of all payments

[tex]112398.96(1-(1+33.41%)^-5)/33.41%803.682288042398.96[/tex]

[tex](1-(1+33.41%)^-4)/33.41%618.692296982398.96(1-(1+33.41%)^-3)[/tex]

33.41%474.442308862398.96(1-(1+33.41%)^-2)/33.

41%362012319652398.96(1-(1+33.41%)^-1)/33.41%275.80

The equivalent present worth of the project is

[tex]$1234.56.[/tex]

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Smoothies Unlimited is considering opening a smoothie bar in Mandeville. The first expenditure is the $25,000,000 investment required to retrofit the location. Based on the analysis, the probabilities are 0.25 that it will be extremely popular, 0.60 that it will be moderately successful and 0.15 that it will not perform well. If the smoothie bar is extremely popular, operating cash flows of $10 million at the end of years 1, 2 and 3 will be expected. In that case, the company will expand the business at the end of year 3 at a cost of $8,000,000. After the expansion, the probabilities are 0.75 that the subsequent operating cash flows at the end of year 3 will be $16,000,000 , 0.25 that they will be $10,000,000. Each of these cash flow streams would continue in years 4 to 8. If the smoothie bar is moderately successful, operating cash flows of $6 million per year at the end of years 1 through 8 are expected. If the smoothie bar is does not perform well, cash flows are expected to be $2,000,000 per year over the 8-year life of the project. If this is the case, Raw Foods will close the smoothie bar at the end of the second year. $8 million of the original investment would be recovered.

Answers

Smoothies Unlimited has to invest $25,000,000 to retrofit the location. The probabilities are 0.25 that the smoothie bar will be extremely popular, 0.60 that it will be moderately successful, and 0.15 that it will not perform well.

The operating cash flows are:If the smoothie bar is extremely popular, operating cash flows of $10 million at the end of years 1, 2, and 3 will be expected. In that case, the company will expand the business at the end of year 3 at a cost of $8,000,000. After the expansion, the probabilities are 0.75 that the subsequent operating cash flows at the end of year 3 will be $16,000,000, and 0.25 that they will be $10,000,000. Each of these cash flow streams would continue in years 4 to 8.If the smoothie bar is moderately successful, operating cash flows of $6 million per year at the end of years 1 through 8 are expected.If the smoothie bar does not perform well, cash flows are expected to be $2,000,000 per year over the 8-year life of the project. If this is the case, Raw Foods will close the smoothie bar at the end of the second year. $8 million of the original investment would be recovered.From this analysis, the following table can be drawn:Explanation:The NPV analysis requires the calculation of the present value of future cash flows discounted at the company’s cost of capital. It is an investment appraisal technique that helps to decide whether a project is worth investing in or not.To calculate the NPV of the project, the expected cash flows must be determined. Then the cost of capital, which is the required rate of return, is used to discount them back to the present value. Finally, all the present values are summed up to give the NPV of the project.

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An investor is considering buying 500 shares of ABC Company at $32 per share. Analysts agree that the firm's stock price may increase to $45 per share in the next four months. As an alternative, the investor could purchase a 120minus day call option at a striking price of $30 for $5,000. What profit would the investor realize if the stock price increased to $42 per share?

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The investor wants to buy 500 shares of ABC Company at $32 per share. Analysts agree that the stock price may increase to $45 per share in the next four months. As an alternative, the investor could purchase a 120minus day call option at a striking price of $30 for $5,000. The profit the investor will realize if the stock price increases to $42 per share is $55,000.Suppose that the investor buys the shares instead of the call option.

The total cost of buying 500 shares at $32 per share is:$32 * 500 = $16,000If the stock price of the ABC Company increases to $42 per share, then the value of the investor’s investment would be:500 * $42 = $21,000Therefore, the investor will realize a profit of $5,000 if they buy the shares (Profit = Value of Investment – Total Cost of Shares).

The total cost would be:$5,000 (premium) + $30 (striking price per share) * 500 (number of shares) = $20,000Therefore, the profit the investor would realize in this case would be:$21,000 - $20,000 = $1,000However, if the stock price goes down to $30 or less, the investor will lose the $5,000 they paid for the call option. Thus, it is more profitable for the investor to buy the shares instead of the call option if they believe that the stock price will increase in the next four months.

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DRUG PRICES: MARKET PRICING OR PRICE GOUGING? Drug makers persist in raising prices far beyond the rate of inflation.3-Is there a conflict of interest in the relationship between pharmaceutical companies and the PBM's? Why or why not?

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There is a conflict of interest in the relationship between pharmaceutical companies and the PBM's (Pharmacy Benefit Managers) because drug makers persist in raising prices far beyond the rate of inflation by more than 100 percent.

Pharmacy Benefit Managers (PBMs) are third-party administrators of prescription drug programs for commercial health plans, self-insured employer plans, Medicare Part D plans, the Federal Employees Health Benefits Program, and state government employee plans.

PBMs are paid to administer drug benefits on behalf of health plans, which means they negotiate drug prices with pharmaceutical companies and then make those prices available to the health plans they serve. Pharmaceutical companies pay PBMs fees or rebates in exchange for better drug coverage.

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An investor purchases a 180-day T-Bill with a face value of $100, 000 for $95, 000. What is
the quoted interest rate if the T-bill was purchased in the following locations?
a) for Canada
b) for US (uses bankers rule)

Answers

A Treasury bill (T-bill) is a short-term debt obligation that the US government issues and investors may buy at a discount or face value. The face value is paid at maturity, and the difference between the face value and the purchase price is the interest earned.

Here's how to determine the quoted interest rate for a 180-day T-bill purchased for 95,000 with a face value of 100,000 in Canada and the US using banker's rule:

a) For Canada Canada calculates interest on T-bills on a discount basis, which is the difference between the face value and the purchase price.

When calculating the interest rate on a Canadian T-bill, use the following formula:

Discount rate = (Face value - Purchase price) / Face value x 365 days / Days until maturity

Discount rate = (100,000 - 95,000)

/ 100,000 x 365 days

/ 180 days

Discount rate = 0.026 x 2.0278

Discount rate = 0.0527 or 5.27%

The quoted interest rate for the 180-day T-bill in Canada is 5.27%.

b) For US (uses bankers rule)The US calculates interest on T-bills using the banker's rule, which considers a 360-day year and divides the days in the holding period by 360.

Here's how to determine the quoted interest rate on a 180-day T-bill purchased in the US:

Days of interest = Purchase price x Quoted annual interest rate x Days held

/ 360Days of interest = 95,000 x Quoted annual interest rate x 180

/ 360 Quoted annual interest rate = Days of interest / Purchase price x 360

/ Days held Quoted annual interest rate = 5000

/ 95,000 x 360

/ 180Quoted annual interest rate = 0.0558 or 5.58%

The quoted interest rate for the 180-day T-bill purchased in the US is 5.58%.

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The beginning inventory in Year 1 is expected to satisfy the inventory policy. Determine the budgeted cost of direct materials purchases for Year 1, Quarter 1 Use loop to generate a 44 numpy array, the first row is [1,2,3,4], the second row is the square of the first row elements (i.e[1,4,9,16]), the third and fourth row is the third or fourth power of the first row element import numpy as np hew_array = np.zeroes ([4,4]) write the loop below pint(new_array) The heat index is calculated using the relative humidity and the temperature. for every 1 degree increase in the temperature from 94F to 98F at 75% relative humidity the heat index rises 4F. on a summer day the relative humidity is 75% the temperature is 94 F and the heat index is 122f. Construct a table that relates the temperature t to the Heat Index H. a. Construct a table at 94F and end it at 98F. b. Identify the independent and dependent variables. c. Write a linear function that represents this situation. d. Estimate the Heat Index when the temperature is 100F. Hi, if anyone could help with this question I'd really appreciate it. (There are two screenshots, one with the actual question and the other with the diagram.) Thanks :) You have 6 liters of paint to share evenly among you and your 4 brothers. Which equation describes how many liters of paint each of you will receive? suppose the firm pays each worker a wage of 160 and that the price of the firms output is 10 per unit what is the value of the marginal product of labor for the third worker Which of the following steps in the communication process comes just before the feedback step?A) Supervisor decides what action is neededB) Supervisor identifies the communication method to be usedC) Employee receives the messageD) Employee interprets the meaning of the message Delicious Snacks, Inc. is considering adding a new line of candies to its current product line. Thecompany already paid $300,000 for a marketing research study that provided evidence about thedemand for this product at this time. The new line will require an additional investment of $70,000in raw materials to produce the candies. The projects life is 7 years and the firm estimates salesof 1,500,000 packages at a price of $1 per unit the first year; but this volume is expected to growat 17% for the next two years, 12% for the following two years, and finally at 7% for the last twoyears of the project. The price per unit is expected to grow at the historical average rate ofinflation of 3%. The variable costs will be 70% of sales and the fixed costs will be $500,000.The equipment required to produce the candies will cost $900,000, and will require an additional$30,000 to have it delivered and installed. This equipment has an expected useful life of 7 yearsand will be depreciated using the MACRS 5-year class life. After 7 years, the equipment can besold at a price of $200,000. The cost of capital is 9% and the firms marginal tax rate is 35%.A. Calculate the initial investment, annual after-tax cash flows for each year, and the terminalcash flow.B. Determine the payback period, discounted payback period, NPV, PI, IRR, and MIRR of the newline of candies. Should the firm accept or reject the project?C. The firm is considering three scenarios for the new line of cookies and bars. Under the best,base, and worst case scenario the firm will sell 1,200,000, 1,500,000, and 1,700,000 packagesthe first year with the same expected growth rates in units and price described in the problem.Re-examine the decision criteria in part (a) under each of these scenarios.