The action that will tell Ashwin if people understood the message is "Measuring the amount of customers that changed their passwords( option a).
Measuring the amount of customers that changed their passwords means checking the count of customers who have modified their password after receiving the email promoting to upgrade their password strength.The benefit of measuring the number of customers who changed their passwords is that it will directly measure the achievement of the email's objective. Since the email's goal was to promote customers to upgrade their passwords, measuring the number of password changes will give Ashwin a clear idea of whether or not his message was received and acted on effectively.Apart from this, it is also essential to evaluate the success of the email campaign by measuring the number of emails opened and the number of customers who visit their account settings. Measuring these will provide Ashwin with valuable insight into the effectiveness of his communication, but measuring the number of customers who changed their passwords will provide him with the most accurate idea of how well his message was received.Therefore, the correct answer is option a. Measuring the amount of customers that changed their passwords.
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Assume that annual interest rates are 9 percent in the United States and 10 percent in Switzerland. A financial institution can borrow (by issuing CDs) or lend (by
purchasing CDs) at these rates. The spot rate is $1.67/CHF (Swiss Franc). Calculate the forward rate at which a no-arbitrage situation occurs.
Explain the above result. Which currency is expected to appreciate according to the forward market?
The forward rate at which a no-arbitrage situation occurs is $1.64/CHF. The currency that is expected to appreciate to the forward market is CHF.
We have to calculate the forward rate at which a no-arbitrage situation occurs.
As per the formula for calculating the forward rate at which a no-arbitrage situation occurs,
Forward rate = S * (1 + Rf)t / (1 + Rd)t
Here, Rf = interest rate in the foreign country (Switzerland) = 10%
Rd = interest rate in the domestic country (United States) = 9%
t = time period = 1 year
S = Spot rate = $1.67/CHF
Substituting the values in the above formula,
Forward rate = $1.67/CHF * (1 + 0.1) / (1 + 0.09) = $1.64/CHF
Therefore, the forward rate at which a no-arbitrage situation occurs is $1.64/CHF.
Based on the forward rate calculated above, it can be observed that the CHF is expected to appreciate according to the forward market.
This is because the forward rate of $1.64/CHF is lower than the spot rate of $1.67/CHF, indicating that the market expects the CHF to become more valuable relative to the USD over time.
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All crisis counseling involves two phases? (1) working through the initial trauma and (2) appropriate referral and discharge.
Crisis counseling aims to provide immediate support, promote healing, and connect individuals to appropriate resources for long-term recovery.
Crisis counseling typically involves two phases: working through the initial trauma and appropriate referral and discharge.
1. Working through the initial trauma: In this phase, the counselor focuses on providing immediate support and assistance to the individual experiencing the crisis. This involves creating a safe and non-judgmental environment for the individual to express their feelings and emotions related to the traumatic event. The counselor may use various techniques such as active listening, empathy, and validation to help the person process their thoughts and feelings. The goal is to help the individual regain a sense of stability and begin the healing process.
2. Appropriate referral and discharge: Once the initial trauma has been addressed, the counselor assesses the individual's needs for further support and determines if additional resources or services are required. This may involve referring the person to specialized professionals or agencies that can provide ongoing care and treatment. Additionally, the counselor ensures a smooth transition for the individual from crisis counseling to other appropriate forms of support, such as therapy or support groups.
Overall, crisis counseling aims to provide immediate support, promote healing, and connect individuals to appropriate resources for long-term recovery.
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The best time to begin a self improvement plan is when ______.
a. You are going to be fired from your job
b. You have been reprimanded by your boss
c. You have disappointed your friends
d. You think you need to improve to meet a career goal
Answer:
D. when you think you need to improve to meet a career goal
Explanation:
Answer:
DDDDDDDDD
Explanation:
the expense recognition (matching) principle aims to record
The expense recognition (matching) principle aims to record expenses in the same period as the related revenues they help generate.
The expense recognition principle, also known as the matching principle, is an accounting principle that states that expenses should be recognized in the same period as the related revenues they help generate. This principle ensures that expenses are appropriately matched with the revenues they contribute to earnings, resulting in more accurate financial statements. By matching expenses with the revenues they generate, the principle promotes the accrual basis of accounting, which recognizes economic events and transactions when they occur, rather than when cash is exchanged. Matching expenses with revenues provide a more realistic depiction of the financial performance of a business over a given period. It allows for a better assessment of the profitability and efficiency of operations by aligning the costs incurred in generating revenue with the corresponding revenue stream. This principle is essential for presenting a true and fair view of a company's financial position and performance.
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Llcs frequently are governed by an agreement of its members in the form of a(n) ________.
LLCs frequently are governed by an agreement of their members in the form of an operating agreement.
What is an operating agreement?An operating agreement is a key document used by LLCs because it outlines the financial and functional decisions of the business, including rules, regulations, and provisions. The document's purpose is to govern the internal operations of the business in a way that meets the needs of the business owners.Because most states do not require this document, many LLCs choose not to create one. While a term of operations is not required, having one is the greatest advantage of an LLC.And by drafting it, I mean making a written operating agreement.The LLC operating agreement, also known as an LLC agreement, establishes the LLC's rules and structure and can assist in resolving any issues that may arise during business operations. Many of these issues are addressed by default provisions in most states, but the operating agreement can override these presumptions.Therefore, LLCs frequently are governed by an agreement of their members in the form of an operating agreement.
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kindly assist with research
my topic
The newly implemented e-payslip is not inclusive to all employees of the government.
what is the problem?
why is it the problem?
3 things that should be done to solve the problem?
The problem in the topic is the newly implemented e-payslip is not inclusive to all employees of the government. The reason why this is a problem is because it can cause dissatisfaction and confusion among employees who do not have access to the e-payslip.
Also, the e-payslip system may not be accessible or user-friendly for all employees who are supposed to use it.
Here are three things that should be done to solve the problem:
1. Conduct research: Research should be conducted to find out which employees are not included in the e-payslip system and why. This can help identify any technical or logistical problems that may be preventing some employees from using the system.
2. Increase accessibility: Steps should be taken to increase the accessibility of the e-payslip system so that all employees can use it. This may involve providing training and support to employees who are not familiar with using digital systems.
3.Improve communication:
Clear communication should be provided to all employees about the e-payslip system, including how to access it, how to use it, and how it benefits them. This can help address any confusion or dissatisfaction among employees who are not currently using the system.
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founders' shares, a type of classified stock owned by the firm's founders, generally have more votes per share than the other classes of common stock.
Founders' shares are a sort of classified stock where the shares are owned by the company's founders and they maintain all voting authority over those shares, but they are also subject to limited dividends for a set period of time.
Founders stock is what kind of stock?Founders stock refers to the shares given to a company's founders. Up until a dividend is due to common stockholders, the stock frequently doesn't earn any money. The vesting schedule for founders stock establishes when the shares are exercisable.
A founders share class is what?the right to convert into any subsequent round of preferred stock and to be sold by the founders at the same price and under the same terms as the company's direct sale to its investors. Founders shares are the first type of Class A Common Stock.
A common stock or founders stock?The common stock that a corporation issues its founders is known as founders' stock. Comparing these equities to common stocks offered on the secondary market, they differ slightly in terms of attributes. The primary distinction is that founders' stock is only offered at par value and comes with a vesting schedule.
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Abc company is in the process of issuing bonds. The bonds have a stated interest rate of 6%, which is 2% above the current market rate. What effect will the two interest rates have on the bond issue price?.
Answer:
The issue price will be above the bond's face value.
Explanation:
state the law of demand
Answer:
In microeconomics, the law of demand is a fundamental principle which states that there is an inverse relationship between price and quantity demanded. .
Explanation:
Well.. Hope it helps you..
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Which of the following is a feature of seed financing? O a. The managerial involvement is very high. The company has to start up all operations Ob Money is used to finance research: The company needs money to finance the development C. Money is used to pay off debtors.
The correct option is: a. The managerial involvement is very high. The company has to start up all operations .
Seed capital is the cash raised to begin developing a thought for a business or another item.
This funding for the most part takes care of just the expenses of creating a proposition.
In the wake of securing seed financing, startups might approach financial speculators to obtain extra financing.
Some seed capital might come from angel investors — proficient investors who have a high total assets.
A company that is initially starting out may have restricted admittance to funding and different sources. Banks and different investors might be reluctant to invest in light of the fact that it has no set of experiences or laid out history, or any proportion of accomplishment. Many startup executives frequently go to individuals they know for initial investments — loved ones. This financing is alluded to as seed capital.
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Made by Hand Company makes custom furniture of all kinds. The firm has evolved into a big business due to quality and innovative work. Recently, top management asked company departments to list and evaluate the kinds of socially responsible efforts conducted internally and externally in the business and to list negative occurrences that supervisors observed. Top management is essentially conducting a(n)
Answer:
The right answer is "Social audit".
Explanation:
A comprehensive assessment of the achievements or advancements of something like a corporation to become a community development organization, favorable and unfavorable measures have been taken.As something of an indication of such a particular consequence that should be included under supervisory review metrics, this same quantity of toxins a company releases further into its surroundings.Thus the above is the correct answer.
THIS year a company made an error in its ending inventory Multiple ChoiceNeither this year's Balance Sheet nor Income Statement will be wrong Both this year's Balance Sheet and Income Statement will be wrong This year's Balance Sheet will be correct but the Income Statement will be wrong This year's Balance Sheet will be wrong but the Income Statement will be correct
If a company made an error in its ending inventory, both the Balance Sheet and Income Statement will be affected. The ending inventory value is a crucial component in calculating the Cost of Goods Sold (COGS) on the Income Statement and the value of the inventory on the Balance Sheet.
If the ending inventory is understated, the COGS will be overstated, leading to a lower gross profit and net income. On the other hand, an overstatement of ending inventory will result in an understated COGS, leading to a higher gross profit and net income.
Additionally, the value of ending inventory is reported on the Balance Sheet as a current asset. An error in the ending inventory will affect the value of this asset and, in turn, affect the overall accuracy of the Balance Sheet.
Therefore, if a company made an error in its ending inventory, both the Balance Sheet and Income Statement will be wrong. It is crucial for companies to ensure the accuracy of their inventory counts and calculations to avoid such errors.
If a company made an error in its ending inventory this year, both this year's Balance Sheet and Income Statement will be wrong. Here's why:
1. The Balance Sheet will be incorrect because the ending inventory is an asset reported on the Balance Sheet. If the ending inventory is overstated or understated, the company's total assets will also be reported incorrectly. This will lead to an incorrect calculation of the company's equity and liabilities, affecting the overall Balance Sheet.
2. The Income Statement will be wrong because the ending inventory directly impacts the cost of goods sold (COGS). If the ending inventory is incorrect, the COGS will be calculated inaccurately, affecting the company's gross profit and ultimately, its net income. As a result, the Income Statement will also be incorrect.
In summary, an error in the ending inventory impacts both the Balance Sheet and the Income Statement, causing inaccuracies in the reporting of the company's financial position and performance.
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Suppose you will receive a payment of $100 one year from now. True or False: If during the year the interest rate falls, this decreases the present value of your future payment
If I will receive a payment of $100 one year from now. If during the year the interest rate falls, this decreases the present value of your future payment, this statement is False.
If the interest rate falls, it actually increases the present value of your future payment. The present value is influenced by the interest rate because a lower interest rate means that the value of money in the future is discounted less.
As a result, the future payment is worth more in present terms. Therefore, a decrease in the interest rate would lead to an increase in the present value of the future payment.
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Which of the following statements would be considered pros of globalization?
Increased competition between countries
Increased immigration of unskilled workers
Increased public funding for education and immigration of those citizens with education
Increased consumption of wide variety of goods leading to increased production
Answer:
increased consumption of wide variety of goods leading to increased production.
Explanation:
im sorry if i get it wrong
how to backup an iphone texts and call and contacts
Use the following results from a tost for marjuana use, which is provided by a certain drug testing company. Among 144 subjects with positive test results, there are 22 false positive results. Among 156 negative results, there are 2 false negative results. Complete parts (a) through (c). (Hint: Construct a table.) a. How many subjects were included in the study? The total number of subjects in the study was b. How many subjects did not use manjuana? A total of subjects did not uso manjuana. c. What is the probabitity that a randomly seiected subject did not use marjuana? The probability that a randomly selected subject did not use mariuana is (Do not round until the final answer. Then round to three decimal places as needed.)
(a) The total number of subjects included in the study was 300.
(b) A total of 256 subjects did not use marijuana.
(c) The probability that a randomly selected subject did not use marijuana is 0.853.
To determine the number of subjects included in the study, we add the number of subjects with positive test results (144) and the number of subjects with negative test results (156). Therefore, the total number of subjects in the study was 300.
To calculate the number of subjects who did not use marijuana, we subtract the number of subjects with positive test results (144) from the total number of subjects (300). This gives us a total of 256 subjects who did not use marijuana.
To find the probability that a randomly selected subject did not use marijuana, we divide the number of subjects who did not use marijuana (256) by the total number of subjects (300). This gives us a probability of 0.853.
It is important to note that the calculation assumes that the test results accurately reflect the marijuana usage of the subjects and that the false positive and false negative results are known. This information is crucial in interpreting the results and understanding the accuracy of the drug testing company's tests.
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licensing is a good option to enter a foreign market when:
Answer:
Licensing is a good option to enter a foreign market when: ... Two of its competitors together control 50 percent of the market. Whenever Brental raises or lowers the prices of its products, the other two companies quickly imitate its action.
Which is the best general statement about the role of government in business in the United States? O A. Government determines what goods and services are produced. B. Government acts to allow markets to function efficiently. C. Government owns the resources of production. D. Government has no role in business.
Use this formula to help solve the problem.
• gross income = total of all incomes added together
Given the following information, what does the gross income for the month equal?
Cash = $700, Checks = $200, Credit Card Charges = $400
a. $700
b. $1100
c. $1300
d. $400
Answer:
C.$1300.................:)
Answer:
1,300
Explanation:
just added the numbers
On March 1, 2017, Carla Vista Co. Acquired real estate, on which it planned to construct a small office building, by paying $79,000 in cash. An old warehouse on the property was demolished at a cost of $8,000; the salvaged materials were sold for $1,660. Additional expenditures before construction began included $1,160 attorney's fee for work concerning the land purchase, $4,400 real estate broker's fee, $8,660 architect's fee, and $13,800 to put in driveways and a parking lot. (a) Determine the amount to be reported as the cost of the land.
Answer:
The reported cost of the land = $99,560
Explanation:
In order to calculate the cost of the land, it is important to note that the amount recorded as cost of the land, includes the actual amount paid as the market price of the land, including all the necessary costs incurred to make the land ready for use. These include: attorney's fees, cost of demolition of old properties, broker's fees etc.
To calculate the net cost of the land, let us identify all the transactions done in the purchase of the land. This is done as follows:
market value of land = $ 79,000
cost of demolition = $ 8,000
additional expenses = $ 1,160
attorney's fee = $ 4,400
broker's fee = $ 8,660
salvaged materials = $ 1,660 (minus)
Total = $ 99,560
Note that the amount gotten from sale of salvaged materials is subtracted from the cost of land, because it is an income, not expenditure, while the architect's fee is not used in the calculation because, it doesn't meet the criteria for cost of land, instead it is part of the cost of building after the acquisition of the land.
ok so plz do not take these points.
if ur reading this plz listen to ghost by badflower and then answer and tell me what u think and if u have also recently felt like that.
Answer:
its a good song i think its touching and yes i have recently felt like that.
Explanation:
Differentiate between economic and non economic activity with example.
Answer:
Economic activity refers to a human activity related to production and consumption of goods and services for economic gain. Non-economic activity is an activity performed gladly, with the aim of providing services to others without any regard to monetary gain. Economic, i.e. to earn money.
Explanation:
Answer:
Economic activities are performed for economic motive, i.e. earning profit. Any activities involving money or the exchange of products or services are economic activities.For instance, running a small business is a great example of economic activity.
On the other hand, non-economic activities are performed due to social or psychological reason. These are those activities which do not give income in return. They also do not contribute to the flow of goods and services in the economy.
Explanation:
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Krishna is 56 years old; he has contributed to the CPP without interruption for over 30 years. While crossing the street, Krishna was struck by a bus and seriously injured. He is currently hospitalized and on life support and his doctors have informed Krishna's family that it is uncertain as to whether he will awaken from his coma. Assuming at the time of his accident, Krishna was entitled to a CPP retirement benefit of $660, the flat-rate disability amount is $496.36 per month and the maximum monthly disability benefit is $1362.30, how much of a disability benefit will Krishna receive under the CPP? a) 50 b) $865.94 C) $991.36 d) $1156.36
Option(A) is the correct answer. Krishna will receive a disability benefit of $660 under the CPP.
To determine the disability benefit that Krishna will receive under the CPP, we need to consider a few factors. First, let's calculate the disability benefit based on the provided information:
The flat-rate disability amount is $496.36 per month.
The maximum monthly disability benefit is $1362.30.
Krishna's entitlement to a CPP retirement benefit is $660 per month.
To calculate the disability benefit, we compare the retirement benefit to the flat-rate disability amount and the maximum monthly disability benefit:
The disability benefit will be the lesser of:
The retirement benefit ($660)The flat-rate disability amount ($496.36) plus the retirement benefit minus the flat-rate disability amount.Let's calculate the disability benefit based on the above formula:
Disability benefit = min(retirement benefit, flat-rate disability amount + retirement benefit - flat-rate disability amount)
= min($660, $496.36 + $660 - $496.36)
= min($660, $660)
= $660
Therefore, Krishna will receive a disability benefit of $660 under the CPP.
Option (a) 50, option (b) $865.94, option (c) $991.36, and option (d) $1156.36 are not correct based on the given information. The correct answer is that Krishna will receive a disability benefit of $660 under the CPP.
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Krishna is 56 years old; he has contributed to the CPP without interruption for over 30 years. While crossing the street, Krishna was struck by a bus and seriously injured. He is currently hospitalized and on life support and his doctors have informed Krishna's family that it is uncertain as to whether he will awaken from his coma. Assuming at the time of his accident, Krishna was entitled to a CPP retirement benefit of $660, the flat-rate disability amount is $496.36 per month and the maximum monthly disability benefit is $1362.30, how much of a disability benefit will Krishna receive under the CPP? a) $660 b) $865.94 C) $991.36 d) $1156.36
Which type of borrowing option would most likely result in the borrower
paying the highest amount of interest?
A. A card with a high compound interest rate
OB. A card with a low simple interest rate
ООО O
C. A card with a low compound interest rate
D. A card with a high simple interest rate
Answer:
A. A card with a high compound interest rate
Explanation:
it is most likely to result in the borrower
Taylor gives up a 5 hour shift at work to attend a concert. The ticket price is $30. At work, Taylor makes $15.00 an hour. To an economist, what is the cost to Taylor of attending this concert
The cost to Taylor of attending this concert is $105.
What is the cost?
The amount of money that an establishment spends on the creation or manufacturing of goods or services is referred to as cost.
The formula of calculating the cost are:
Attending the cost of the concert = Total implicit + Total explicit costs.
According to the given information,
Explicit cost is the price of ticket= $30
Implicit cost is the forgone wage =$15×5 = $75
Then,
Attending the cost of the concert =$30+$75=$105
Therefore, the attending cost of the concert is $105.
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Cover pages should include
a. The name of your class
b. The date you turn in the paper
c. Your teacher's name
d. All of these
Please select the best answer from the choices provided
O A
B
Ос
Answer:
the answer is D
Explanation:
What are references like for a job thing. Idk how else to say it
Answer:References can help you find the right job by giveing you a point of reference to compare jobs.
Explanation:
Is there an ethical issue in this situation? Discuss. (after posting your answer, respond to one other post meaningfully).(Hint: see Exhibit 1-7, AMA Ethical values on page 26 of the Textbook to answer the above. Can you point out 2 relevant AMA value(s) that might have been violated in the above situation?)
Answer:
Explanation:
The American Marketing Association commits itself to promoting the highest standard of professional ethical norms and values for its members (practitioners, academics and students). Norms are established standards of conduct that are expected and maintained by society and/or professional organizations. Values represent the collective conception of what communities find desirable, important and morally proper. Values also serve as the criteria for evaluating our own personal actions and the actions of others. As marketers, we recognize that we not only serve our organizations but also act as stewards of society in creating, facilitating and executing the transactions that are part of the greater economy. In this role, marketers are expected to embrace the highest professional ethical norms and the ethical values implied by our responsibility toward multiple stakeholders (e.g., customers, employees, investors, peers, channel members, regulators and the host community).
Ethical Norms
As Marketers, we must:
Do no harm. This means consciously avoiding harmful actions or omissions by embodying high ethical standards and adhering to all applicable laws and regulations in the choices we make.
Foster trust in the marketing system. This means striving for good faith and fair dealing so as to contribute toward the efficacy of the exchange process as well as avoiding deception in product design, pricing, communication, and delivery of distribution.
Embrace ethical values. This means building relationships and enhancing consumer confidence in the integrity of marketing by affirming these core values: honesty, responsibility, fairness, respect, transparency and citizenship.
Ethical Values
Honesty – to be forthright in dealings with customers and stakeholders. To this end, we will:
Strive to be truthful in all situations and at all times.
Offer products of value that do what we claim in our communications.
Stand behind our products if they fail to deliver their claimed benefits.
Honor our explicit and implicit commitments and promises.
Responsibility – to accept the consequences of our marketing decisions and strategies. To this end, we will:
Strive to serve the needs of customers.
Avoid using coercion with all stakeholders.
Acknowledge the social obligations to stakeholders that come with increased marketing and economic power.
Recognize our special commitments to vulnerable market segments such as children, seniors, the economically impoverished, market illiterates and others who may be substantially disadvantaged.
Consider environmental stewardship in our decision-making.
Fairness – to balance justly the needs of the buyer with the interests of the seller. To this end, we will:
Represent products in a clear way in selling, advertising and other forms of communication; this includes the avoidance of false, misleading and deceptive promotion.
Reject manipulations and sales tactics that harm customer trust.
Refuse to engage in price fixing, predatory pricing, price gouging or “bait-and-switch” tactics.
Avoid knowing participation in conflicts of interest.
Seek to protect the private information of customers, employees and partners.
Respect – to acknowledge the basic human dignity of all stakeholders. To this end, we will:
Value individual differences and avoid stereotyping customers or depicting demographic groups (e.g., gender, race, sexual orientation) in a negative or dehumanizing way.
Listen to the needs of customers and make all reasonable efforts to monitor and improve their satisfaction on an ongoing basis.
Make every effort to understand and respectfully treat buyers, suppliers, intermediaries and distributors from all cultures.
Acknowledge the contributions of others, such as consultants, employees and coworkers, to marketing endeavors.
Treat everyone, including our competitors, as we would wish to be treated.
Transparency – to create a spirit of openness in marketing operations. To this end, we will:
Strive to communicate clearly with all constituencies.
Accept constructive criticism from customers and other stakeholders.
Explain and take appropriate action regarding significant product or service risks, component substitutions or other foreseeable eventualities that could affect customers or their perception of the purchase decision.
Disclose list prices and terms of financing as well as available price deals and adjustments.
cookiesamichael12345678
Answer: ?
Explanation:
Girl what does that mean, either you can count right or thats a username
Global Technology’s capital structure is as follows: Debt 15 % Preferred stock 50 Common equity 35 The aftertax cost of debt is 6.00 percent; the cost of preferred stock is 10.00 percent; and the cost of common equity (in the form of retained earnings) is 13.00 percent. Calculate the Global Technology’s weighted cost of each source of capital and the weighted average cost of capital.
Answer:
1. 0.9% ; 5% ; 4.55%
2. 10.45%
Explanation:
Cost of equity = 13%
After tax cost of debt= 6%
Cost of preferred stock = 10%
Weight of debt = 15%
Weight of preferred stock = 50%
Weight of equity = 35%
Therefore;
1
•After tax weighted cost of debt = weight of debt × after tax cost of debt
= 0.15 × 0.06
= 0.009
= 0.9%
•Weighted preferred stock cost = Weight of preferred stock × cost of preferred stock
= 0.50 × 0.10
= 0.05
= 5%
•Weighted common equity stock cost = weight of equity × cost of equity
= 0.35 × 0.13
= 0.0455
= 4.55%
2.
• Weighted average cost of the firm
= After tax weighted cost of debt + Weighted preferred stock cost + Weighted common equity stock cost
= 0.9% + 5% + 4.55%
= 10.45%