Answer:
$1,800
Explanation:
The price of the bond today is the present value of future cash flows, which are the coupon payments and the face value receivable by bondholders at redemption in 3 years.
When a bond has the same coupon rate as the yield, the bond would sell at par which is the $1,800 par value.
This is further affirmed using the formula below:
bond price=face value/(1+r)^n+annual coupon*(1-(1+r)^-n/r
face value=$1,800
r=yield=5%
n=number of annual coupons in 3 years=3
annual coupon=face value*coupon rate=$1800*5%=$90
bond price=$1800/(1+5%)^3+$90*(1-(1+5%)^-3/5%
bond price=$1800/1.05^3+$90*(1-(1.05)^-3/0.05
bond price=$1800/1.157625+$90*(1-0.863838)/0.05
bond price=$1800/1.157625+$90*0.136162/0.05
bond price=$ 1,554.91 +$ 245.09
bond price=$ 1,800.00
In this example, which type of liability can be seen in the business’s balance sheet?
Jane runs a small manufacturing business. She obtained a short-term loan to finance her business a few months ago. She now needs to pay off this debt in less than a year. The loan amount will thus be seen as a _____ in her business’s balance sheet.
The loan amount will thus be seen as a short-term or current liability in her business’s balance sheet.
What is short-term liability?Current liabilities, often known as short-term debt, refer to a company's debts that are due to be repaid within a year. In the section of a company's balance sheet devoted to total liabilities called "current liabilities," it is listed.
Long-term liabilities are due after one year or more, whereas short-term obligations are due immediately. Liabilities that are contingent on a specific occurrence and have not yet happened are known as contingent liabilities.
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On December 31 , after making a concerted effort, management determines that it will not be able to collect the $1200
Answer:
Explanation:
$21,000 (maye)
With perfect price discrimination, the marginal revenue curve
A) is equal to the demand curve.
B) is below the demand curve. C) is above the demand curve.
D) is horizontal.
Answer: b
Explanation: Because the monopolist must lower the price on all units in order to sell additional units, marginal revenue is less than price. Because marginal revenue is less than price, the marginal revenue curve will lie below the demand curve.
Eastman publishing Company is considering publishing a paperback textbook on spreadsheet applications for business. The fixed cost of manuscript preparation, text- book design, and production setup is estimated to be $80,000. Variable production and material costs are estimated to be $3 per book. Demand over the life of the book is estimated to be 4,000 copies. The publisher plans to sell the text to college and university bookstores for $20 each.
Required:
a. What is the breakeven point?
b. What profit or loss can be anticipated with a demand of 4000 copies?
c. With a demand of 4000 copies, what is the minimum price per copy that the publisher must charge to break even?
d. If the publisher believes that the price per copy could be increased to $25.95 and not affect the anticipated demand of 4000 copies, what action would you recommend? What profit or loss can be anticipated?
The breakeven point is the sales volume at which all costs and revenues are equal and there is no profit or loss. Breakeven Point = 4,707 copies. The publisher can anticipate a loss of $12,000 with a demand of 4,000 copies.
a.
Breakeven Point (in units) = Fixed Costs / (Selling Price per Unit - Variable Cost per Unit)
Breakeven Point (in units) = $80,000 / ($20 - $3) = 4,706.67 or 4707 approx.
b.
Total Cost = Fixed Costs + (Variable Cost per Unit * Number of Copies)
Total Revenue = Selling Price per Unit * Number of Copies
Total Cost = $80,000 + ($3 * 4,000) = $92,000
Total Revenue = $20 * 4,000 = $80,000
Profit or Loss = Total Revenue - Total Cost
Profit or Loss = $80,000 - $92,000 = -$12,000
c.
Selling Price per Unit = (Fixed Costs / Number of Copies) + Variable Cost per Unit
Selling Price per Unit = ($80,000 / 4,000) + $3 = $20 + $3 = $23
The publisher must charge a minimum price of $23 per copy to break even with a demand of 4,000 copies.
d.
If the price per copy is increased to $25.95, the net profit or loss can be calculated as follows:
Total Revenue (with increased price) = $25.95 * 4,000 = $103,800
Profit or Loss (with increased price) = Total Revenue - Total Cost
Profit or Loss (with increased price) = $103,800 - $92,000 = $11,800
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A company is hiring a new senior manager. Which best describes why they
would want her to take a leadership style test?
A. To be sure her leadership style will fit into the company
B. To assess her character and competence
C. To test for traits that predict criminal behavior
D. To be sure she has enough
leadership experience for the job.
Answer:
To be sure she has enough leadership experience for the job.
Explanation:
when a manger is join as a member to assist the company he or she should have an experience the job first.
Tobias is the manager of a major ski resort in Colorado that is open from October through March. What best describes his terms of employment?
seasonal
full-time
self-employed
entry level
Answer: It's seasonal.
Explanation:
Write about a business management theory that you identify with, incorporating real-life examples in your answer.
- Word length requirement is between 200 and 500 words
A business theory that I identify with is the concept of transformational leadership. This approach emphasizes the import of leaders inspiring and motivating their teams to achieve common goals, as against just giving orders and directives.
What real life event is depicted with this theory?Transformational Leadership can be seen in the success of Apple Inc. under the leadership of Steve Jobs and the turnaround of Ford Motor Company under Alan Mulally.
In both examples, the leaders were able to create a shared vision for the organization and inspire their teams to work towards that vision.
Overall, the concept of Transformational Leadership is a powerful one that can assist firms or organizations to achieve extraordinary successes. By inspiring and motivating their teams, leaders can create a shared vision for the organization and taming everyone's efforts towards achieving that vision. This can lead to increased engagement, high productivity, and greatest of all, success.
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The United States has imposed a tariff of 40% on soft wood imports from Canada. The tariff caused imports of lumber to drop precipitously after only a few months. Additionally, the price of lumber rose significantly after only a few months.Who benefited from this tariff? Choose one or more A. U.S soft wood producers B. Canadian soft wood producers C. non-Clanadian foreign soft wood preducers D. U.S.soft wood consumers
Answer:
Tariff of 40% on softwood imports from Canada
Who benefited?
A. U.S softwood producers
Explanation:
Basically, import tariffs are meant to discourage imports from a particular country with higher cost of importation. It is usually undertaken when you want to encourage local production of the commodity.
This of course depends on whether there are U.S. softwood producers. If there are, they would benefit tremendously with the significant rise in price caused by the tariff.
If there are not, then non-Canadian foreign softwood producers would benefit, assuming similar tariffs were not imposed on them. However, Canadian softwood producers would also benefit should they continue to export their softwood to the U.S. The losers would be the U.S. consumers, no matter the beneficiaries.
FIVE
Your company’s Chief Finance Officer (CFO) recently read about the notion that adjusting the capital
structure can increase the market value of a firm drastically. The CFO liked this idea and has asked you
to do a preliminary study on this issue; he will entertain any proposal to increase the debt of the company
up to a maximum debt /equity (D/E) ratio of 30 percent.
Your company is currently very conservative with its leverage and has a D/E ratio of only 10 percent.
You estimate the beta of your stock to be 1.05, based on the last five’s data. The marginal tax rate is 30
percent. The long –term Treasury bond rate is 8 percent and market risk premium is 5 percent.
From an investment banker, you obtain the approximate relationship between the pre-tax cost of debt and
the D/E ratio as follows
% in x 125 100 75 50 25 0 -25
% in y -25 0 25 50 75 100 125
Page 6 of 6
In addition from the statement of changes in cash flows, you found that Earnings before Interest and Tax
to be Sh. 120 Million, depreciation to be Sh. 10.5 million, Capital Spending to be Sh. 15 million and the
net working capital is zero. The growth rate on future cash flows is estimated to be constant at 6 percent
p.a.
Required
(i) What is the total market value of the firm today when D/E is 10 percent
(ii) What D/E ratio would you advise the firm
1. The total market value of the firm today when D/E is 10 percent is 492.15 million. 2. we would advise the firm to increase its D/E ratio to 30 percent to maximize its market value.
1. To calculate the total market value of the firm today, we can use the following formula:
Total Market Value = Equity Value + Debt Value
Equity Value = Earnings before Interest and Tax (EBIT) * (1 - Tax Rate) / Cost of Equity
Debt Value = Debt * Cost of Debt
Cost of Equity = Risk-Free Rate + Beta * Market Risk Premium
Cost of Debt can be estimated using the relationship provided in the question. When D/E ratio is 10 percent, the cost of debt is 10 percent.
Plugging in the values, we get:
Equity Value = 120 * (1 - 0.3) / (0.08 + 1.05 * 0.05) = 430.63 million
Debt Value = 0.1 * 430.63 / (1 - 0.3) = 61.52 million
Total Market Value = 430.63 + 61.52 = 492.15 million
(ii) To advise the firm on the optimal D/E ratio, we can use the formula for the weighted average cost of capital (WACC):
WACC = Weight of Equity * Cost of Equity + Weight of Debt * Cost of Debt * (1 - Tax Rate)
To maximize the firm's market value, we need to find the D/E ratio that minimizes the WACC.
We can use the provided relationship between the pre-tax cost of debt and the D/E ratio to estimate the cost of debt for different D/E ratios. We can then calculate the WACC for each D/E ratio using the formula above.
Plotting the estimated cost of debt and WACC against the D/E ratio, we can see that the minimum WACC occurs at a D/E ratio of 30 percent.
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Henry Ruggs
Hunry Ruggs
Answer:
yep its Henry rugs
Explanation:
QUESTION 8 of 10: The function of a financial planner is:
Oa) To share in the profit/loss of your investments
b) To convince you to purchase large-cap stocks
c) To design your personal budget plan
Od) To help you define and reach your financial goals
The function of a financial planner is to help individuals or organizations define and reach their financial goals through a variety of services, including budget planning. So, correct option is D.
Unlike an investment advisor who is primarily focused on managing investments, a financial planner takes a more holistic approach to a client's financial well-being. They work closely with clients to understand their current financial situation, identify their goals and objectives, and develop a personalized financial plan to achieve those goals.
Financial planners do not share in the profit or loss of their clients' investments, nor do they aim to convince their clients to purchase specific stocks. Instead, they provide unbiased advice and recommendations based on their clients' individual needs and objectives.
Ultimately, the goal of a financial planner is to help clients achieve financial security and success by providing expert guidance, ongoing support, and customized solutions to meet their unique financial needs.
So, correct option is D.
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Question 8 of 10
Which of the following responses is the most ethical way to deal with a
problem?
A. Hire a public relations firm to deal with the media fallout.
B. Consider what effects your actions would have over the long term
if they were discovered.
C. Discover who was responsible and terminate their relationship
with the company.
D. Assume that the customer is always right.
Answer:
B
Explanation:
If you're going to solve it ur going to need to know how it's going to effectively help don't just do it first think.
Out of the choices provided above, it can be concluded to state that considering the effects of one's actions over a long term discovery is one of the ideal responses, and an ethical way to deal with a problem. Therefore, the option B holds true.
What is the significance of an ethical problem?An ethical problem can be referred to or considered as one of the most critical concern for the smooth functioning of a working organization. It is needed to be dealt in an effective way using relevant solutions that can derive positive outputs for the organization.
The consequences of a problem may be ambiguous in nature, and thus, it becomes important to review them well by taking the effects of actions into consideration, and what influence they could have on the organization in the longer run.
Therefore, the option B holds true and states regarding the significance of an ethical problem.
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Accountants think of revenue as the difference between a firm's profits and the expenses it incurs to generate that revenue true or false
True, revenue is the difference between a company's profits and the costs it incurs to generate that revenue, according to accountants.
How does revenue work?The total amount of money a company makes from the sale of goods or services related to its primary operations is called revenue. The amount of income that remains after accounting for all expenses, debts, additional income streams, and operating costs is referred to as profit, or net profit or the bottom line.
Due to its position at the top of the income statement, revenue is frequently referred to as the "top line." The company's income before expenses are deducted is referred to as the revenue number.
For instance, a shoe retailer's revenue is the money it makes from selling shoes before deducting any costs. If the company also has income from investments or a subsidiary company, that income is not considered revenue. This is because it is not generated by shoe sales. Each type of expense and additional source of income is separately accounted for.
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On January 1,2017 mr kebede borrowed 10000 br from awash international bank s.c at 12% interest rate compound semi annually for 3 years? A.calculate the amount of interest payment ?
B. Pass the necessary journal entry to record the borrowing &payment ?
$600 is the amount of the interest. The journal entry will include cash and interest account.
The information provided:
Amount that is borrowed = $10000
The interest rate = 12%
The interest is calculated on a semi-annual basis for 3 years.
The amount of interest payment is
= 10000 × 19/100 × 3/6
= 600
The entry's creation date. The time frame within which the recording must be made. The person's name who made the entry. The journal entry will include borrowing & payment accounts of the same.
Cash a/c (Dr.) 600
To interest a/c (Cr.) 600
(The interest will be calculated and charged by the bank)
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sorry that wasn't the right answer but I love the effort you put into it!
Which of the following is not something you typically see on your paycheck?
The pay period
Your identifying information
Deductions for federal or state taxes
Your dependents’ names
Modern mixed economies that include free market principles as well as active
government regulation of the economy are based on the theories of ____ .
a.) AS
b.) JMK✅
c.) MF
d.) Karl Marx
The theory of Adam Smith and Karl Marx leads to creation of a Modern mixed economies that include free market and active government regulation.
What is Adam Smith and Karl Marx theory?Adam Smith created the Capitalism economic system while Karl Marx created the socialism economic system.
Hence, the combination gave birth to Modern mixed economies that include free market principles as well as active government regulation.
Therefore, the Option A & D is correct.
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Your bank offers an automobile loan at an annual percentage of 10% with interest to be paid
quarterly.
a. Given these conditions, what is your effective annual rate?
b. What annual percentage rate with interest being paid monthly is equivalent to an annual
percentage of 8%?
21/41
The effective annual rate, we need to take into account the effects of compounding, which occurs quarterly in this case.
The formula for an effective annual rate with quarterly compounding is:
EAR = (1 + r/n)^n - 1
where r is the annual percentage rate and n is the number of compounding periods per year.
In this case, r = 10% and n = 4 (since interest is paid quarterly).
Plugging in these values, we get:
EAR = (1 + 0.10/4)^4 - 1
= 0.1038125 or 10.38% (rounded to two decimal places)
Thus, Therefore, the effective annual rate on the automobile loan is 10.38%.
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You just acquired 1,000 from the lottery.
You decide to invest in stocks with it (like a smart person should). You figure on buying apple stock which costs $100 a share. How many shares would you own of apple if you bought $1,000 worth of apple stock at $100 a share.
If you bought $1,000 worth of Apple stock at $100 per share, you would own 10 shares of Apple stock.
To determine the number of shares you would own of Apple stock if you bought $1,000 worth of stock at $100 per share, you need to divide the total investment amount by the price per share.
Number of shares = Total investment amount / Price per share
In this case, the total investment amount is $1,000 and the price per share is $100.
Number of shares = $1,000 / $100
= 10 shares
Therefore, if you bought $1,000 worth of Apple stock at $100 per share, you would own 10 shares of Apple stock.
It's important to note that stock prices fluctuate, so the actual number of shares you would own may vary depending on the current market price at the time of purchase. Additionally, transaction fees and other costs associated with buying stocks should also be taken into consideration.
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what is the purpose of the accounting debit and credit system
Explanation:
to make sure that both are balanced
An integrated management information system was implemented in the Celestial VIllage Continuum of Care, a 180-bed long-term care facility, owned and operated by a religious order. When Eudora Darling was recruited as manager of administrative systems, she discovered that the technology used in the administrative office was several generations obsolete and that none of the work processes or job functions had been restructured to take full advantage of information technology. Statistics were still being collected manually, and calculations were performed by handheld calculators and adding machines using information from manual entries in daily employee logs. Computer software utilities were available for database management, electronic spreadsheet and statistical functions, and publication quality reporting. However, the jobs and work processes in the department had to be analyzed and restructured before the staff could take full advantage of this technology (which has become standard in other administrative environments).
Required:
a. What issues must Ms. Darling address in achieving effective implementation of the new technology?
b. What outcomes could she reasonably expect to achieve through an effective job analysis process?
c. Should external consultants or internal staff implement this change? Explain your response.
Analyzing the case, Ms. Darling as manager of administrative systems must address the restructuring of the company, relating the lack of use of technology to the presence of a strong organizational culture.
The results it could achieve through an effective job analysis process would be to increase clarity about the role of each job and department in order to reduce burden on certain employees and optimize task delegation.
To implement this change, external consultants could be hired in order to provide an innovative, unbiased and broader view with a focus on expected results.
What is organizational culture?It is the set of habits, behaviors and values that are learned and shared in a professional environment, generating beliefs and expectations about an organization.
Therefore, implementing new technologies in an organization can generate resistance and must be implemented smoothly and shared with all employees in order to declare the benefits of change for all.
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A company with 86,000 authorized shares of $7 par common stock issued 31,000 shares at $13. Subsequently, the company declared a 2% stock dividend on a date when the market price was $23 per share. What is the amount transferred from the retained earnings account to paid-in capital accounts as a result of the stock dividend?
The amount transferred from the retained earnings account to paid-in capital accounts as a result of the stock dividend is $39,560.
What is a stock dividend?In accounting, a stock dividend refers to the dividend payment to shareholders that is made in shares instead of cash. It has the advantage of rewarding shareholders without reducing the company's cash balance. These stock distributions are generally made as fractions paid per existing share.
The computation of the amount transferred from the retained earnings account to paid-in capital accounts as a result of the stock dividend is as follows:
= Shares issued * Percentage of stock dividend * Market price
= 86,000 shares * 2% * $23
= 86,000 * 0.02 * $23
= $39,560.
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Richards Corporation purchased and used $75.000 of supplies during August. The purchase was on account, and had not been paid by the end of the month. The appropriate journal entry to completely account for this activity is:
The appropriate journal entry to completely account for this activity is:
Dr. Supplies expense $75,000
Cr. Accounts payable $75,000
What does purchase on account mean?
Purchase on account means that supplies whose value is $75,000 was purchased on credit with no cash payment, rather Richards Corporation promises to make payment at a later date.
In other words, we need to debit the increasing account and the fact the supplies have been used means that the supplies expense account should be debited such that the accounts payable, which indicates that the amount is owed is credited.
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1.2 The communication process is a highly complex one that is hard to analyze as it is an ever-changing process and unending. Identify and explain the different elements of communication in this scenario (15) Word count: 200-300 words
The communication process is a dynamic framework that outlines the numerous ways in which a message can be sent to and received from a sender and recipient.Verbal communication is the act of conveying information orally.
How would you characterise the intricate process of communication?Oral, written, and kinetic modes of communication are all complicated processes that are deeply ingrained in everything we do as individuals or as a member of a social system.
is a difficult procedure. Whom the communication process begins and concludes with is unclear?Given the complexity of communication, it can be challenging to pinpoint the beginning and finish of a communication interaction. Communication models streamline the procedure by giving a visual depiction of the
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if you could choose anything to be? (must be in essay)
Answer:
You can be one of your favorite heros.i.e avengers, marvels, etc. Or u can also choose some famous personalities such as Albert Einstein, Issac Newton, leonardo da vinchi, George Washington, etc
Even give a reason why did u choose them
Maybe that would be because of their contributions or because of their sense of humor. Like that..
Sandra is a printing equipment operator for a large catalog publisher. What might be one task that Sandra performs as part of her job?
A. changing the plates on the large printer
B. editing the advertisement’s wording
C. photographing pictures of the items for sale
D. delivering catalogs to various stores
I have $10,967.74 in a brokerage account, and plan to deposit an additional $6,000.00 at the end of every future year until my account totals $270,000 and I expect to earn 13% annually on the account. How many years will it take
Note that with respect to the deposite, it will take approximately 8.19 years for the account to reach $270,000.
How is this so?To determine how many years it will take for the account to reach $270,000,we can use the future value of an annuity formula.
The formula is -
FV = P x [(1 + r)ⁿ⁻¹] / r
Where -
FV = Future value ($270,000)
P = Annual deposit ($6,000)
r = Interest rate per period (13% or 0.13)
n = Number of periods (number of years)
We need to solve for n, so we can rearrange the formula as -
n = log((FV x r / P) + 1) / log(1 + r)
Plugging in the values -
n = log((270000 x 0.13 / 6000) + 1) / log(1 + 0.13)
Using a calculator, we find that n is approximately 8.19.
thus, it is corect to state that, it will take approximately 8.19 years for the account to reach $270,000.
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What skills and interests might someone in a trade career have?
Answer:
Confidence.
Numerical skills.
IT skills.
Communication skills.
An interest in financial markets.
Analytical skills.
Interpersonal skills.
Teamworking skills.
Juniper Design Limited of Manchester, England, is a company specializing in providing design services to residential developers. Last year the company had net operating income of $420,000 on sales of $1,500,000. The company’s average operating assets for the year were $1,700,000 and its minimum required rate of return was 15%.
Required:
Compute the company’s residual income for the year.
Answer: 165,000
Explanation:
To compute the company’s residual income for the year, we can use the formula:
Residual Income = Net Operating Income – (Minimum Required Rate of Return x Average Operating Assets)
Given: Net Operating Income = $420,000 sales = $1,500,000
Average Operating Assets = $1,700,000
Minimum Required Rate of Return = 15% = 0.15
Residual Income = Net Operating Income – (Minimum Required Rate of Return x Average Operating Assets)
Residual Income = $420,000 – (0.15 x $1,700,000)
Residual Income = $420,000 – $255,000
Residual Income = $165,000
Therefore, the company’s residual income for the year was $165,000.
what is electronic commerce?
Explanation:
E-COMMERCE is the buying and selling of goods or services using the internet, and the transfer of money and data to execute these transactions.