Under the Revised Model Business Corporation Act (RMBCA), following what type of corporate acquisition does the acquiring corporation automatically become liable for all obligations of the acquired corporation?
A. A leveraged buyout of assets.
B. An acquisition of stock for debt securities.
C. A cash tender offer.
D. A merger.

Answers

Answer 1

Under the Revised Model Business Corporation Act corporate acquisition does the acquiring corporation cash automatically as debt is a liability that the acquiring corporation would not want to take on. The correct answer is A. A leveraged buyout of assets.

Cash is a liquid asset that the target corporation may need to continue operating. According to your inquiry, the fundamental models of acquisition for a company buying a target company include: A. shares; B. assets.

These two choices are frequently present in purchases. A company can either purchase the stock of the target company, giving them ownership and control, or they can buy the target company's assets, which can include real estate, machinery, and intellectual property. Although they can be used in acquisition transactions, cash and debt are not regarded as the fundamental models of acquisition.

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Related Questions

what is the cancellation period for the purchase of a three-year-old residential condominium unit from a private party?

Answers

The cancellation period for the purchase of a three-year-old residential condominium unit from a private party varies depending on the jurisdiction in which the property is located.

The cancellation period for the purchase of a three-year-old residential condominium unit from a private party varies depending on the jurisdiction in which the property is located. In some areas, there may be a cooling-off period of three to five days, during which the buyer can cancel the contract without penalty. However, this period may not apply to the purchase of a pre-owned property. In general, once the contract has been signed and the buyer has made a deposit, the cancellation period is over. The buyer is then legally obligated to complete the purchase, unless there are specific clauses in the contract that allow for cancellation under certain circumstances. It is important to carefully review the terms of the purchase agreement before signing, and to seek legal advice if necessary. This can help ensure that the buyer fully understands their rights and obligations, and can make an informed decision about whether to proceed with the purchase. Overall, the cancellation period for the purchase of a three-year-old residential condominium unit from a private party will depend on the specific terms of the purchase agreement, as well as the relevant laws and regulations in the jurisdiction in which the property is located.

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Commercial roof restoration not in top 100 not in top 100 not in top 100 not in top 100 not in top 100 not in top 100 not in top 100 not in top 100 not in top 100 not in top 100 not in top 100 not in top 100 not in top 100 not in top 100 not in top 100 not in top 100 not in top 100 not in top 100 not in top 100 not in top 100 not in top 100.

Answers

Commercial roof restoration is the process of repairing and rejuvenating an existing roof rather than replacing it entirely.

This approach can save building owners a significant amount of money, as well as reduce waste and environmental impact.

However, despite its benefits, commercial roof restoration is often overlooked in favor of full roof replacement.
There are several reasons why commercial roof restoration is not given enough attention. One of the main factors is a lack of awareness and education.

Many building owners and managers may not be aware of the benefits of restoration or may assume that replacement is the only option.

Additionally, some roofing contractors may not offer restoration services or may not have the expertise to perform them effectively.
Another reason why commercial roof restoration is not in the top 100 is that it is often viewed as a temporary fix rather than a long-term solution.

However, when done correctly, restoration can extend the life of a roof by up to 15 years or more.

This can provide significant cost savings over time and help building owners and managers plan for future repairs or replacements.

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A fund has a reported return of 10% per year over the last ten years. It is possible that, in aggregate, the fund has lost invest money for its clients if clients had additions and withdrawals within the 10 years.
a. true
b. false

Answers

The statement is true. Although a fund reports a return of 10% per year over the last ten years, it is still possible that, in aggregate, the fund has lost money for its clients if clients had additions and withdrawals within the 10 years.

This scenario can occur due to factors such as timing of investments and withdrawals, as well as fluctuations in the market. For example, if clients invested at a time when the fund was performing well and withdrew their investments during a market downturn, they may have experienced a net loss in their investments. Additionally, the reported return of 10% per year is likely an average, meaning that individual years may have experienced returns that were either higher or lower than this figure.In conclusion, while the reported return of 10% per year suggests that the fund has performed well over the past decade, it is important for clients to consider the timing of their investments and withdrawals when evaluating the overall performance of their investments in the fund.

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all of the following are normally found in a corporation's stockholders' equity section except a. excess of issue price over par b. common stock c. retained earnings d. dividends in arrears

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Your query has "d. dividends in arrears" as the response. All of the other options—excess of issue price over par, common stock, and retained earnings—are commonly found in a corporation's stockholders' equity section.

Dividends in arrears refer to dividends that have been declared by the company's board of directors but have not yet been paid to shareholders. This is typically reported as a liability on the company's balance sheet rather than as part of stockholders' equity.
The stockholders' equity section typically includes:
a. Excess of issue price over par: This is the amount received from issuing stock that is above the par value of the stock.
b. Common stock: This represents the ownership interest of the shareholders in the corporation.
c. Retained earnings: These are the cumulative net earnings of the corporation that have not been distributed as dividends to the stockholders.

Dividends in arrears are not included in the stockholders' equity section because they represent unpaid dividends on cumulative preferred stock. These unpaid amounts are a liability for the corporation and are typically reported in the liabilities section of the balance sheet.

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utilization is equal to which of the following? multiple choice arrival rate divided by service rate

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Utilization is a term used in queuing theory to refer to the amount of time a server is being utilized by customers. It can be defined as the ratio of the arrival rate of customers to the service rate of the server. In other words, utilization is equal to the arrival rate divided by the service rate.

When the arrival rate is higher than the service rate, the system becomes congested, leading to long waiting times for customers. On the other hand, when the service rate is higher than the arrival rate, the system is underutilized, which means that resources are not being used efficiently.

Therefore, it is important to balance the arrival rate and service rate to ensure that the system operates efficiently and customers are served promptly.

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explain how a business decision might have a ripple effect that would tilt the economy on a new phase of the business cycle

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A business decision, such as expanding production or increasing prices, can have a ripple effect that impacts other businesses and consumers. For example, if a company decides to increase its production, it may need to purchase more raw materials from other businesses, which would boost their sales and profits.

This increase in demand for raw materials may also cause their prices to rise, which would then impact the cost of production for other businesses that use those materials. As a result, these businesses may need to increase their prices to maintain their profit margins, which would then affect the purchasing power of consumers.

Similarly, if a company decides to increase its prices, it may lead to a decrease in demand for their products. This decrease in demand can then lead to a decrease in profits for the company, which may force them to lay off employees or cut back on production. This reduction in production may then impact the sales and profits of other businesses that rely on the company as a supplier or customer. The reduction in employment may also lead to a decrease in consumer spending, which would then impact the overall demand for goods and services in the economy.

In either scenario, the ripple effect of a business decision can have a significant impact on the economy, potentially leading to a shift in the business cycle. For example, if a series of business decisions lead to a decrease in consumer spending and overall demand, the economy may enter a recession. Alternatively, if a series of business decisions lead to an increase in demand and production, the economy may enter a period of expansion.

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The procedure requiring preparation of a prelisting of incoming cash receipts, with copies of the prelist going to the cashier and to accounting, is an example of which type of control? A. Detective. B. Corrective. C. Preventive. D. Directive.

Answers

The procedure requiring preparation of a prelisting of incoming cash receipts, with copies of the prelist going to the cashier and to accounting, is an example of a preventive control. Option C.

Preventive controls are designed to prevent errors or fraud from occurring in the first place. By having a prelisting of incoming cash receipts, the company can ensure that all cash received is properly accounted for and that any discrepancies can be detected early on. This helps to prevent any potential fraud or errors from occurring.

Additionally, the copies of the prelist going to both the cashier and accounting ensure that there is a separation of duties, which is another important aspect of preventive controls. By having different individuals responsible for different aspects of the accounting process, the company can reduce the risk of fraud or errors occurring.

In contrast, corrective controls are designed to correct errors or fraud after they have occurred, while detective controls are designed to detect errors or fraud after they have occurred.

Directive controls, on the other hand, are focused on directing or guiding individuals in their job duties, rather than preventing or correcting errors or fraud. So Option C is correct.

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Give me an example of a time you managed numerous responsibilities. How did you handle that?

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When I was working as a project manager for a software development company. In this role, I had to oversee multiple projects at the same time while also ensuring that all team members were on the same page.

To handle this, I first prioritized the projects based on their deadlines and importance to the company. I then created a detailed schedule that included specific tasks and deadlines for each project. This helped me stay on track and ensure that each project was moving forward as planned.

To ensure effective communication, I scheduled regular meetings with team members to discuss progress, identify any issues, and brainstorm solutions. I also encouraged open communication among team members, which helped to identify potential roadblocks early on.

To manage my own workload, I utilized time-management techniques such as blocking out chunks of time for specific tasks and minimizing distractions during that time. This allowed me to focus on completing the necessary tasks without being overwhelmed by the number of responsibilities I had.

Overall, managing numerous responsibilities requires effective prioritization, communication, and time-management skills. By employing these techniques, I was able to successfully manage multiple projects and ensure that all team members were working together towards a common goal.

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the price of movie tickets in a town has risen from $7 to $9. the demand has dropped - people are staying home watching netflix. is this considered elastic or inelastic demand?

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Based on the information given, it is likely that the demand for movie tickets in the town is elastic. This is because the increase in price from $7 to $9 has led to a decrease in demand as people are opting to stay home and watch Netflix instead.

In elastic demand, small changes in price lead to significant changes in demand. Therefore, the increase in the price of movie tickets has resulted in a notable decrease in demand, indicating that the demand for movie tickets in this town is likely elastic. The demand for movie tickets in a town that has risen in price from $7 to $9, causing people to stay home and watch Netflix instead. This situation demonstrates elastic demand.

Elastic demand occurs when the percentage change in quantity demanded is greater than the percentage change in price. In this case, the price of movie tickets increased by approximately 28.57% (from $9 to $7) and the demand dropped significantly as people chose to watch Netflix at home. This indicates that the demand for movie tickets is sensitive to price changes, making it elastic.

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exercise 10-9 (algo) find missing amounts for retained earnings (lo10-5) consider each of the following independent situations: required: for each situation, calculate the missing amoun

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Exercise 10-9 (ALGO) deals with finding the missing amounts for retained earnings (LO10-5). In order to complete this, we need to consider each of the given situations and calculate the missing amounts.

Situation 1: The company has begun retained earnings of $250,000. During the year, the company earned a net income of $150,000, paid dividends of $50,000, and had a stock dividend of $25,000. We need to calculate the ending retained earnings.

To calculate the ending retained earnings, we need to subtract the total dividends ($50,000 + $25,000 = $75,000) and add the net income ($150,000) to the beginning retained earnings ($250,000). Therefore, the ending retained earnings would be $325,000 ($250,000 + $150,000 - $75,000).

Situation 2: The company has begun retained earnings of $100,000. During the year, the company earned a net income of $75,000, paid dividends of $15,000, and had a stock split. The number of shares outstanding before the split was 10,000, and after the split, it became 20,000. We need to calculate the ending retained earnings per share.

To calculate the ending retained earnings per share, we need to first calculate the ending retained earnings. To do that, we need to subtract the total dividends ($15,000) and add the net income ($75,000) to the beginning retained earnings ($100,000). Therefore, the ending retained earnings would be $160,000 ($100,000 + $75,000 - $15,000).

Next, we need to calculate the retained earnings per share by dividing the ending retained earnings by the number of outstanding shares after the split. Therefore, the retained earnings per share would be $8 ($160,000 ÷ 20,000 shares).

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the federal agency charged with the collection and analysis of financial transactions in order to detect illegal activity isa)the internal revenue service (irs).b)the federal bureau of investigation (fbi).c)the department of justice.d)the financial crimes enforcement network (fincen).a)insider trading.b)wise investing.c)day trading.d)informed trading.

Answers

The federal agency charged with the collection and analysis of financial transactions in order to detect illegal activity is the Financial Crimes Enforcement Network (FinCEN).

This agency works closely with other agencies such as the FBI and the Department of Justice to identify and prevent financial crimes such as insider trading and informed trading. It is important for investors to be aware of these regulations and engage in wise investing practices, which may include techniques such as day trading.

The federal agency charged with the collection and analysis of financial transactions in order to detect illegal activity is the Financial Crimes Enforcement Network (FinCEN). This agency is responsible for detecting and preventing various financial crimes, including a) insider trading, which is the illegal practice of using non-public information for personal gain in the stock market.

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How does the cognitive economy principle support the hierarchical semantic network theory?

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The cognitive economy principle refers to the idea that our brains tend to use the most efficient means of processing information, which means that we try to minimize the amount of cognitive effort required to understand and organize information.

This principle supports the hierarchical semantic network theory by suggesting that our brains organize information in a hierarchical manner, with more general concepts at the top and more specific concepts at the bottom. This organization allows us to quickly access information by starting at the highest level of the hierarchy and then moving down to more specific information as needed.

The cognitive economy principle also suggests that we tend to group similar concepts together in our minds, which is consistent with the idea of semantic networks. The hierarchical nature of the semantic network theory allows us to group related concepts together at higher levels of the hierarchy, which helps us to more efficiently access and process information.

Overall, The cognitive economy principle and the hierarchical semantic network theory work together to explain how our brains organize and process information in an efficient and effective way. By understanding these principles, we can better understand how we learn and remember new information, and how we can optimize our cognitive processes to improve our performance in various tasks.

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during the year, an attorney volunteered 100 hours serving meals at a nonprofit shelter and 50 hours preparing needed legal contracts. the attorney's normal billing rate is $250 per hour and his overhead rate is 50%. what amount of donated services should the shelter report in the statement of activities?

Answers

The shelter should report donated services at their fair value, which in this case would be $37,500 ($250 per hour x 100 hours for meal service and 50 hours for legal work = $37,500).

However, since the attorney's overhead rate is 50%, the shelter should reduce the donated service amount by this percentage to account for the attorney's expenses. Therefore, the shelter should report $18,750 ($37,500 x 50%) in donated services on the statement of activities. It is important for nonprofits to accurately report donated services as they contribute to the organization's overall financial health and demonstrate community support.

To determine the number of donated services the shelter should report in the statement of activities, we need to consider the attorney's volunteered hours, billing rate, and overhead rate. The attorney volunteered 100 hours serving meals and 50 hours preparing legal contracts, totaling 150 hours. His normal billing rate is $250 per hour, and his overhead rate is 50%.

Step 1: Calculate the total value of the attorney's services.
Total value = 150 hours x $250 per hour = $37,500

Step 2: Calculate the overhead costs.
Overhead costs = Total value x 50% = $37,500 x 0.50 = $18,750

Step 3: Add the total value and overhead costs to find the amount of donated services.
Donated services = Total value + Overhead costs = $37,500 + $18,750 = $56,250

The shelter should report $56,250 as the amount of donated services in the statement of activities.

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the max, incorporated, is a leading fashion retailer that offers customers an extensive selection of high-quality fashion brands focused on apparel, shoes, cosmetics, and accessories for women, men, young adults and children. the items reported on its income statement for an earlier year (ended february 1) are presented here (dollars in millions) in simplified form in alphabetical order: cost of goods sold $ 10,611 interest expense 110 net revenue 16,324 other selling, general, and administrative expenses 5,308 income tax expense 186 weighted average shares outstanding 165 required: prepare a classified (multiple-step) consolidated income statement (showing gross profit, operating income, and income before income taxes). what is the gross profit percentage?

Answers

The gross profit percentage is approximately 35.03%.

To prepare a classified consolidated income statement, we need to group the items into appropriate categories. Here's how we can do it;

The cost of goods sold and gross profit can be calculated as;

Net Revenue $16,324

Cost of Goods Sold $10,611

Gross Profit $5,713

Operating expenses can be broken down as follows;

Other Selling, General, and Administrative Expenses $5,308

Operating Income $405

The income before income taxes can be calculated by subtracting interest expense and income tax expense from the operating income;

Operating Income $405

Interest Expense $110

Income Before Income Taxes $295

Income Tax Expense $186

Net Income $109

To calculate the gross profit percentage, we can divide the gross profit by the net revenue and multiply by 100;

Gross Profit Percentage = (Gross Profit/Net Revenue) x 100

= (5,713 / 16,324) x 100

= 35.03%

Therefore, the gross profit is 35.03%.

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briefly describe the type of human behavior problems that might arise if budget goals are set too tightly.

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Setting budget goals too tightly can create a range of human behavior problems. Employees may feel overwhelmed by unrealistic targets and pressure to achieve them, leading to stress, burnout, and demotivation. This can result in increased absenteeism, turnover, and lower morale.

When employees feel that their work is not valued or their contributions are not recognized, they may become disengaged and unproductive. They may cut corners or even engage in unethical behavior to meet budget goals. This can lead to poor quality work, increased errors, and potential legal and financial consequences.

Furthermore, setting budget goals too tightly may lead to a focus on short-term gains at the expense of long-term growth and development. Employees may be hesitant to invest in new projects or explore innovative solutions because they fear they will not meet their immediate targets.

Setting overly tight budget goals can have detrimental effects on employee well-being, company culture, and business outcomes. It is important to set realistic and achievable goals that motivate and inspire employees while ensuring the long-term sustainability of the organization.

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the purpose of the is to provide information to management and ownership about the financial performance (profitability) of the restaurant over a given period of time.

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The purpose of financial statements in a restaurant is to provide information to management and ownership about the financial   performance of the business over a given period of time.

This includes analyzing profitability, which is a key factor in determining the success of the restaurant.

By regularly reviewing financial statements, management can identify areas where they need to cut costs, increase sales or invest in new opportunities to increase profitability. Furthermore, financial statements also provide important insights into cash flow, liquidity, and the overall financial health of the restaurant.

Therefore, it is essential for restaurant owners and managers to stay up-to-date with their financial statements and use them to make informed decisions about the future of their business. Answering your question in more than 100 words, the financial performance of the restaurant is critical to the success of the business, and regular review of financial statements is essential to achieving this.

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even if production costs are higher in a foreign country, a u.s. mnc may establish a manufacturing plant in the foreign country if the government of that country: a. eliminates all quotas. b. reduces all quotas. c. imposes restrictive quotas d. eliminates all tariffs.

Answers

Even if production costs are higher in a foreign country, a U.S. MNC (multinational corporation) may establish a manufacturing plant in the foreign country if the government of that country eliminates all quotas. Quotas are restrictions on the amount of a product that can be imported/exported to/from a country. Eliminating quotas makes it easier for MNCs to establish manufacturing plants in foreign countries because they have more control over their supply chain and can import/export products without being limited by quotas.

Reducing quotas may also be attractive to a U.S. MNC, but it may not be enough to justify establishing a manufacturing plant in the foreign country. If quotas are only reduced, the MNC may still face limitations on their supply chain and may not be able to import/export as much product as they need.
Imposing restrictive quotas would make it less attractive for a U.S. MNC to establish a manufacturing plant in a foreign country because they would be limited in their ability to import/export products. This would make it difficult for the MNC to operate efficiently and may not be financially viable in the long run.
Eliminating all tariffs would also be attractive to a U.S. MNC because it would reduce the cost of importing/exporting products to/from the foreign country. However, tariffs are only one factor to consider when establishing a manufacturing plant in a foreign country. The MNC would also need to consider other factors such as labor costs, infrastructure, and regulations.
In summary, eliminating quotas would be the most attractive option for a U.S. MNC to establish a manufacturing plant in a foreign country, even if production costs are higher. This would allow the MNC to have more control over their supply chain and import/export products without being limited by quotas.

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When a company decides to locate some operations in another country to gain access to needed talent it is primarily seeking to ____

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When a company decides to locate some operations in another country to gain access to needed talent, it is primarily seeking to increase its human capital.

Human capital refers to the skills, knowledge, and abilities of a company's employees, and it is a critical factor in determining a company's success. By locating operations in another country, a company can tap into a larger pool of skilled workers with specific expertise or training that may not be readily available in their home country. This enables the company to expand its human capital, acquire specialized skills and knowledge, and ultimately gain a competitive advantage in the global marketplace.

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the following information is available for walker industries: beginning work in process inventory $ 67,000 ending work in process inventory 86,000 cost of goods manufactured 316,000 required: compute total current manufacturing costs.

Answers

The total current manufacturing costs for Walker Industries are $297,000.

To calculate the total current manufacturing costs for Walker Industries, we need to use the following formula:

Total Manufacturing Costs are calculated as follows:  Cost of the products Generated + Starting Works in Process Inventory - Finishing Work in Process Inventory When we modify the formula's values that are specified, we obtain:

Total Manufacturing Costs = $67,000 + $316,000 - $86,000

Total Manufacturing Costs = $297,000

Therefore, the total current manufacturing costs for Walker Industries are $297,000.

Good manufacturing:

Good manufacturing refers to the process of producing high-quality goods in a consistent and reliable manner. It involves a series of steps, including design, raw material selection, production, quality control, packaging, and distribution, with the goal of ensuring that the finished product meets the desired quality standards.

Good manufacturing practices (GMP) are a set of guidelines and regulations that manufacturers must follow to ensure that their products are safe, effective, and of high quality. These practices include standard operating procedures, documentation, quality control, and employee training.

Adhering to good manufacturing practices helps manufacturers to minimize the risk of product defects, contamination, and recalls, and to maintain consumer confidence in their products.

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joe developed a fixation in the phallic stage. when he experiences a great deal of stress at work, joe will likely become

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Joe became obsessed with the phallic stage. Joe will probably lose interest in sex if he is under a lot of stress at work. Option B is Correct.

When you don't want to have sex (have no or little sex drive) and it disturbs you, you have hypoactive sexual desire disorder (HSDD). It's among the most prevalent sexual issues that people experience. This could be a persistent worry or it might develop gradually.

Continual problems, such as: A lack of connection with your spouse, frequently lead to decreased interest in sex. unresolved disputes or altercations. Poor sexual wants and preferences communication. However, it might be time to get some support if low libido leads to personal anxiety, depression, or relationship stress.  Option B is Correct.

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Correrct Question:

Joe developed a fixation in the phallic stage. When he experiences a great deal of stress at work, Joe will likely become ________.

A) disorganized

B) uninterested in sex

C) dependent and passive

D) overcontrolled and anxious

Which of the following is one of the steps necessary for conducting a capital budgeting analysis of a project?A. Determining the systematic risk of the projectB. Deciding on how the capital required will be raisedC. Estimating the projectâs future cash flowsD. Computing the debt-to-equity ratio of the firm

Answers

Estimating the project's future cash flows is a necessary step in performing a capital budgeting analysis of a project. Here option C is the correct answer.

This is because the primary goal of capital budgeting analysis is to evaluate the financial viability of a project by determining whether its expected cash inflows are sufficient to cover the initial capital outlay and generate a satisfactory return on investment.

Estimating future cash flows involves projecting the expected cash inflows and outflows associated with the project over its useful life. This requires making assumptions about factors such as sales volume, pricing, costs, inflation rates, and capital expenditures. The accuracy of these estimates is essential because they form the basis for calculating key financial metrics such as net present value (NPV), internal rate of return (IRR), and payback period.

Other steps necessary for conducting a capital budgeting analysis of a project include identifying the relevant cash flows, determining the appropriate discount rate to use, selecting the appropriate capital budgeting method, and performing sensitivity analysis.

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tempest corporation expects an ebit of $55,000 every year forever. the company currently has no debt, and its cost of equity is 14 percent. the tax rate is 22 percent. a. what is the current value of the company? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b-1. suppose the company can borrow at 9 percent. what will the value of the firm be if the company takes on debt equal to 60 percent of its unlevered value? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b-2. suppose the company can borrow at 9 percent. what will the value of the firm be if the company takes on debt equal to 100 percent of its unlevered value? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) c-1. what will the value of the firm be if the company takes on debt equal to 60 percent of its levered value? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) c-2. what will the value of the firm be if the company takes on debt equal to 100 percent of its levered value? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

The current value of the company is $392,857.14, the value of the firm With 60% debt is  $444,714.29, the value of the firm With 100% debt is  $479,285.71,  With 60% debt, the levered value of the company is $452,147.63, and With having 100% debt, the levered value of the company is $447,937.59.

The current value of the company is given by the perpetuity formula;

VU = EBIT / [tex]K_{e}[/tex]

where VU is unlevered value of the company, EBIT is the expected earnings before interest and taxes, and Ke is the cost of equity.

VU = 55,000 / 0.14 = $392,857.14

With 60% debt, the value of the company will be;

VD = VU + TCB

where VD is levered value of the company, TCB is the tax shield on the debt, and CB is the value of the debt.

CB = 0.6 VU = 0.6 x 392,857.14 = $235,714.29

TCB = TC x CB = 0.22 x 235,714.29 = $51,857.14

VD = 392,857.14 + 51,857.14 = $444,714.29

With 100% debt, the value of the company will be;

CB = VU = 392,857.14

TCB = TC x CB = 0.22 x 392,857.14

= $86,428.57

VD = 392,857.14 + 86,428.57

= $479,285.71

With 60% debt, the levered value of the company is;

VD = VU + TCB

where VU is the unlevered value of the company, and TCB is the tax shield on the debt.

VU = 392,857.14

EBIT = 55,000

CB = 0.6 VU = 0.6 x 392,857.14

= $235,714.29

[tex]K_{e}[/tex] = 0.14

[tex]K_{d}[/tex] = 0.09

TCB = TC x CB = 0.22 x 235,714.29 = $51,857.14

VD = VU + TCB = 392,857.14 + 51,857.14 = $444,714.29

VL = VD / (1 + (1 - TC) x CB / EBIT x [tex]K_{d}[/tex])

= 444,714.29 / (1 + (1 - 0.22) x 235,714.29 / 55,000 x 0.09)

= $452,147.63

With 100% debt, the levered value of the company is;

VU = 392,857.14

EBIT = 55,000

CB = VU = 392,857.14

[tex]K_{e}[/tex] = 0.14

[tex]K_{d}[/tex] = 0.09

TCB = TC x CB = 0.22 x 392,857.14 = $86,428.57

VD = VU + TCB = 392,857.14 + 86,428.57 = $479,285.71

VL = VD / (1 + (1 - TC) x CB / EBIT x [tex]K_{d}[/tex])

= 479,285.71 / (1 + (1 - 0.22) x 392,857.14 / 55,000 x 0.09)

= $447,937.59

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during march, a firm expects its total sales to be $165,000, its total variable costs to be $95,500, and its total fixed costs to be $25,500. the contribution margin for march is:

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In march, a firm will expects its total sales to be $165,000, its total variable costs will be $95,500, and its total fixed costs will be $25,500. Then, the contribution margin for March is $69,500.

Contribution margin is the amount by which sales revenue will exceeds the variable costs. It is calculated as sales revenue minus variable costs. The contribution margin represents the portion of each sale that contributes to covering fixed costs and generating a profit.

However, the total variable costs are $95,500 and the total sales are expected to be $165,000. Therefore, the contribution margin for March will be calculated as;

Contribution margin = Total sales-Total variable costs

Contribution margin = $165,000 - $95,500

Contribution margin = $69,500

Therefore, the contribution margin for March is $69,500.

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amazon's flywheel based strategy relies first on which of the following achievements? group of answer choices customer satisfaction a highly scalable website profit margins supplier base

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Amazon's flywheel-based strategy is an important concept that has been widely adopted in the e-commerce industry. This strategy aims to create a positive feedback loop by using customer satisfaction to drive increased sales, which in turn leads to greater profits and more resources to improve customer satisfaction.

The ultimate goal of this approach is to create a self-reinforcing cycle that continually increases Amazon's market share and competitive advantage. In terms of the question at hand, Amazon's flywheel-based strategy relies first and foremost on customer satisfaction. This is because satisfied customers are more likely to make repeat purchases, leave positive reviews, and recommend the site to their friends and family. As a result, Amazon is able to generate greater sales volumes, which in turn leads to increased profits and resources to improve customer experience even further.

Once customer satisfaction has been established, Amazon can then leverage this success to develop a highly scalable website that can handle large volumes of traffic and transactions. This is important because it allows the company to continue growing and expanding its product offerings without compromising the user experience.

In addition to these achievements, Amazon's flywheel-based strategy also relies on maintaining healthy profit margins and a strong supplier base. By keeping costs low and negotiating favourable terms with suppliers, Amazon is able to offer competitive prices to customers while still maintaining healthy profit margins. This, in turn, allows the company to reinvest resources into further improving customer experience and driving even more sales.

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Which wwii-era general said, plans are worthless, but planning is essential?.

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The WWII-era general who said "Plans are worthless, but planning is essential" was Dwight D. Eisenhower. Eisenhower was a five-star general in the United States Army and served as Supreme Commander of the Allied Forces in Europe during WWII.

He was known for his strategic planning and leadership skills, which helped the Allies to achieve victory in the war. The quote "plans are worthless, but planning is essential" highlights the importance of the process of planning, rather than the end product. Eisenhower recognized that plans often need to be adjusted and changed as circumstances change, but that the act of planning itself helps to prepare for those changes and adapt to new situations.

Eisenhower's strategic planning skills were put to the test during the D-Day invasion of Normandy in June 1944. He carefully planned the invasion, taking into account factors such as weather, terrain, and enemy defences. The success of the invasion was a turning point in the war and helped to pave the way for Allied victory. Overall, Eisenhower's quote serves as a reminder that while plans are important, they should not be viewed as set in stone. The process of planning is what helps to prepare for and adapt to changing circumstances, and is therefore essential to success.

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Absorption costing net operating income may not agree with the net operating income calculated for cvp analysis due to the way in which ______ is handled in absorption costing.

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Absorption costing net operating income may not agree with the net operating income calculated for cvp analysis due to the way in which fixed manufacturing overhead is handled in absorption costing.

In absorption costing, fixed manufacturing overhead costs are allocated to each unit of product based on the level of production, regardless of whether or not the units are sold. This means that fixed manufacturing overhead costs are included in the cost of goods sold and inventory values, which can affect the calculation of net operating income.

On the other hand, in cvp analysis, fixed manufacturing overhead costs are treated as a period cost and are not included in the cost of goods sold. As a result, the net operating income calculated under cvp analysis may differ from the net operating income calculated under absorption costing.

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When the Value Spread is unusually high, "Value" stocks tend to subsequently beat "Glamour"/"Growth" stocks by a wider margin.
a. true
b. false

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The statement is based on the historical observation of the relationship between the Value Spread and subsequent stock performance. The Value Spread is the difference in valuations between stocks that are considered "value" and those that are considered "glamour" or "growth" stocks.

Research has shown that during periods when the Value Spread is unusually high, value stocks tend to outperform glamour or growth stocks by a wider margin. This is likely because investors are paying a premium for the expected future growth of glamour or growth stocks, while value stocks are relatively undervalued. As a result, when the market adjusts and the growth premium decreases, value stocks may experience a higher rate of return.However, it is important to note that this relationship is based on historical data and past performance is not a guarantee of future results. The success of any investment strategy depends on a variety of factors, including market conditions, company performance, and global events. Therefore, investors should carefully consider their individual investment goals and risk tolerance before making any investment decisions.

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Economic complementarities between two places tend to:.

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The economic complementarities between two places tend to promote trade, specialization, and cooperation, leading to increased economic growth and development for both regions.

Economic complementarities between two places tend to enhance economic cooperation and mutual benefits for both regions. Complementarities exist when two regions have different economic strengths that complement each other, creating opportunities for trade and specialization.

For example, if one region has a strong agricultural sector, and the other has a strong manufacturing sector, they can complement each other through trade. The region with a strong agricultural sector can export its agricultural products to the region with a strong manufacturing sector, which can use those products as raw materials for production. In turn, the region with a strong manufacturing sector can export manufactured goods to the region with a strong agricultural sector.

Economic complementarities can also lead to economies of scale, where the combined production of both regions is greater than the sum of their individual production levels. This can lead to increased efficiency and reduced costs, creating more competitive products and services.

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which of the following is true about the standardized employment budget? select the correct answer below: it essentially eliminates the impact of automatic stabilizers it essentially magnifies the impact of automatic stabilizers it captures the federal budget for increasing employment it assumes businesses earn an economic profit equal to 0

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The correct answer is that it essentially eliminates the impact of automatic stabilizers. The standardized employment budget is a hypothetical measure of federal government spending that aims to show the impact of government policies on employment levels.

It adjusts for automatic stabilizers, such as changes in tax revenue and spending on social welfare programs, in order to isolate the effect of deliberate policy changes on employment. Therefore, it essentially eliminates the impact of automatic stabilizers on the analysis.

The standardized employment budget. The correct answer is that it essentially eliminates the impact of automatic stabilizers. The standardized employment budget aims to measure the federal budget in a way that neutralizes the effects of automatic stabilizers, such as changes in tax revenue and government spending, that occur as a result of economic fluctuations.

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the commercial security division is currently purchasing 6,000 of these detectors per year from an overseas supplier at a cost of $91 per detector. assume that the detector division is selling all of the detectors it can produce to outside customers. what should be the minimum acceptable transfer price for the detectors from the standpoint of the detector division?

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The minimum acceptable price by detector division to sell detectors to Commercial security division is $98 per detector. Second option is correct.

A minimum price establishes the lowest amount at which a good or service may be offered legally.

A forward contract known as a minimum price guaranteeing the seller a minimum price at delivery. Commodity producers are shielded from market price swings by this type of arrangement. Contracts with minimum prices are frequently used in agricultural operations, such as the sale of grain.

Given,

Selling price = $98

Variable Cost per detector = $32

Calculate contribution margin per detector:

Contribution margin per detector from out side customers  = selling price - variable cost per detector  

                          = $98 - $32

                          = $66 per detector

Given,

Variable cost per detector = $32

Contribution margin per detector = $66

Calculate minimum acceptable price:

Minimum acceptable price = variable cost per detector + contribution margin per detector

                                             = $32 + $66

                                             = $98 per detector

Thus, second option is correct.

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The above question is incomplete, probable the complete question has been given below:

Fingado Products, Incorporated, has a Detector Division that manufactures and sells a number of products, including a standard detector that could be used by another division in the company, the Commercial Security Division, in one of its products. Data concerning that detector appear below: Capacity in units Selling price to outside customers Variable cost per unit Fixed cost per unit (based on capacity) 87,000 $ 98 $ 32 $ 51 The Commercial Security Division is currently purchasing 6,000 of these detectors per year from an overseas supplier at a cost of $91 per detector. Assume that the Detector Division is selling all of the detectors it can produce to outside customers. What should be the minimum acceptable transfer price for the detectors from the standpoint of the Detector Division? Multiple Choice O $32 per unit $98 per unit O $91 per unit O $83 per unit

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