true/false: factset’s filings application contains only regulatory filings.

Answers

Answer 1

FactSet's filings application contains only regulatory filings is False.

What is FactSet?

FactSet is a comprehensive financial data and analytics platform used by investment professionals for research, analysis, and decision-making. It provides a wide range of tools, features, and data sets to help users with investment research, portfolio management, risk management, and other financial activities. FactSet offers a variety of modules and applications covering areas such as equities, fixed income, portfolio analytics, risk management, quantitative research, data visualization, and more. The platform includes data on global financial markets, company financials, economic indicators, industry data, news, and other relevant information to support investment decision-making. FactSet is widely used by investment managers, financial analysts, portfolio managers, and other professionals in the finance industry to gain insights and make informed investment decisions.

FactSet's filings application contains not only regulatory filings but also other types of filings, such as financial statements, financial documents, earnings releases, presentations, press releases, earnings reports, and other related documents. The filings application in FactSet provides comprehensive access to a wide range of financial and regulatory information, allowing users to stay up-to-date with the latest corporate filings and disclosures from various global markets.

This allows users to access a comprehensive range of information for their research and analysis needs.

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Related Questions

ve durel evaluation of your work.
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Lydia is a senior in high school. She works 20 hours a week at a popular clothing store. She is trying to save as much
money as possible for her college tuition. However, she has to buy a dress for prom, pay her car insurance, and get a
birthday gift for her sister. This week she received a $400 paycheck. She wants to deposit the entire check in her
savings account for her college tuition, but she stops herself. She decides instead to put $100 in the bank, spend $200
for her prom dress, pay $80 for her car insurance, and buy her little sister a $20 birthday gift. While shopping, she
sees a doll worth $21, which she thinks her sister will absolutely love. As a result, she decided to buy the more
expensive doll and spend less on her dress.

Did Lydia make an all-or-nothing or a marginal decision while spending her money? ​

Answers

Answer:

marginal decision

Explanation:

Marginal decision involves spending a little more or a little less than what has already been planned for based on the benefit to be gotten. If the marginal benefit exceeds the marginal cost, then the choice is a good choice. Marginal decision are made by using marginal analysis, that is comparing the cost and benefits of spending a little more or a little less.

In this scenario, she spends $1 more to buy her sister a doll because she thinks her sister would love it. The marginal cost in this case is $1. As a result on spending more on the gift, she spends less on her dress.

Why are so many Americans quitting their jobs recently?

Answers

The high quits numbers are a reflection of what is perhaps the most worker-friendly climate in decades, as workers have the ability to sort through near-record levels of job postings, and many employers are hungry to hire. Many employers have moved to raise wages or offer generous signing bonuses to attract employees

Multiple factors. A lot of states with elevated quits are states with higher-than-average c*ovid cases, but a lot of it is due to work market stress

Before the year begins, most manufacturers will calculate a predetermined MOH rate that will be used throughout the year to allocate some MOH to each job. How is it computed?

Answers

The formula for computing the predetermined overhead rate is, Predetermined overhead rate = Estimated total manufacturing overhead cost for the year ÷ Estimated total amount of the allocation base for the year

Manufacturers use a predetermined overhead rate to allocate manufacturing overhead costs to each job. The predetermined overhead rate is calculated before the start of the year based on estimated costs and activities.

The allocation base is typically a measure of the activity that drives the manufacturing overhead cost, such as direct labor hours, machine hours, or direct materials cost.

For example, if a manufacturer estimates $500,000 in total manufacturing overhead costs for the year and estimates that 100,000 direct labor hours will be worked, the predetermined overhead rate would be $5.00 per direct labor hour.

Once the predetermined overhead rate is determined, it is used to allocate manufacturing overhead costs to each job based on the actual amount of the allocation base used by each job.

This allows manufacturers to more accurately track the costs of each job and make informed decisions about pricing, production processes, and resource allocation.

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What is it called when businesses are doing poorly and stock prices drop?

Answers

Answer:

When a stock price falls, that means the company must sell additional shares of stock to raise the same amount of proceeds

Explanation:

Choose all that apply.

Select the advantages to banking online.

convenient
lower fees
efficient
accessible from anywhere
quick transaction speed
always open

Answers

1,3,4,6

i think, good luck!

Answer:

All are correct except for lower fees

Explanation:

1. Convenient

2. Efficient

3. Accessible from anywhere

4. Quick transaction speed

5. Always open

What is the first step in the standard purchasing process practiced by most
companies?
A. Solicit bids
B. Requisition
C. Invoicing
D. Purchase order

Answers

Answer:

B. requisition

Explanation:

i have done this before, hope i helped

I think b
Hope its help for your questions

if you make a single deposit into an account, at what annual interest rate compounded yearly should you invest if you would like to triple your investment in 8 years? g

Answers

The answer is 24%. To triple your investment in 8 years, your money needs to grow at a rate of 24% per year compounded annually.

This is because the equation for compound interest is A = P(1 + r/n)^nt, where A is the final amount, P is the principal amount, r is the interest rate, n is the number of times compounded per year, and t is the time in years. If we set A = 3P, we can solve for r and get r = 24%.

Compound interest is the interest that is earned on interest amount . Compound interest is interest that is earned on both the initial principal and interest that builds up over time in a savings account.

You get interest based on the amount you deposit when you add money to a savings account or other account of a similar nature.

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A tax credit to install solar panels (reducing pollution) is
a. A tax on a negative externality
b. A subsidy for a positive externality
c. A subsidy for a negative externality
d. A tax on a positive externality

Answers

A tax credit to install solar panels is a subsidy for a positive externality, as it incentivizes the adoption of clean energy and reduces pollution.

The correct answer is (b) A subsidy for a positive externality.

A tax credit to install solar panels is a policy measure aimed at encouraging the adoption of renewable energy sources and reducing pollution. By providing a tax credit, the government effectively lowers the cost of installing solar panels, making them more affordable for individuals or businesses. This subsidy serves as an incentive for the private sector to invest in solar energy generation.

In economic terms, a positive externality refers to a situation where the actions of one party create benefits for others, for which they are not directly compensated. In this case, the installation of solar panels generates positive externalities such as reduced pollution, lower greenhouse gas emissions, and improved air quality. These benefits extend beyond the individual or business investing in solar panels, and society as a whole benefits from cleaner energy and reduced environmental impact.

By offering a tax credit, the government is effectively subsidizing the installation of solar panels to internalize the positive externalities. It aims to align the private costs of installing solar panels with the social benefits they generate. The subsidy helps bridge the gap between the private and social benefits, making it financially attractive for individuals and businesses to adopt solar energy, which leads to increased usage and reduced pollution.

Conversely, a tax on a negative externality would be imposed to discourage activities that impose costs on society, such as a tax on carbon emissions to reduce greenhouse gas pollution. In the case of solar panel installation, the tax credit aims to promote the adoption of a renewable energy source that produces positive externalities, making it a subsidy for a positive externality.

In summary, the tax credit for installing solar panels is a subsidy for a positive externality as it aims to incentivize the adoption of clean energy, reduce pollution, and provide benefits to society beyond the individual or business installing the panels.

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why planning is important before starting a business? ​

Answers

Answer:

So you can get ready to know 'how to make your business good'

If you don't plan, then you'll forget to setup something is may be important

Explanation:

Hope this helps :)

the difference between a secured loan and unsecured loan is that the secured loan is

Answers

Answer:

Explanation:

A secured loan is a type of loan on which the borrower uses  some assets for collateral . That means it is secured on the assets in the case of any default in terms by the borrower.

An unsecured loan on the other hand is a type of loan that is not secured on any assets . The risks related to this type of loan is higher as there is no security to cover or minimize the loss in the situation of a default in terms.

Looking at the definition given above , the difference between a secured and unsecured loan is that assets are promised by the borrower as security over a secured loan , hence the cost can be lower while in the unsecured loan , no asset is promised as security and the cost can be higher

Answer:

has a lower interest rate

Explanation:

Occasionally, _________________ may lead to pure monopoly; in other market conditions, they may limit competition _________________ .
barriers to entry; to a few oligopoly firms
barriers to entry; to a natural monopoly
deregulation; requiring new patent law
deregulation; requiring new copyright law

Answers

Occasionally, barriers to entry may lead to pure monopoly; in other market conditions, they may limit competition to a few oligopoly firms.

Monopoly is an enterprise wherein a unmarried corporation is the only manufacturer of a selected meals or the only dealer of a service; the corporation and the enterprise are synonyms. no near substitutes. a natural monopoly's product is specific in that there isn't ant any near substitutes.

A natural monopoly is a marketplace shape in which a sure product is produced or bought via way of means of a unmarried company. A natural monopoly takes place when no competition or replacement merchandise exist withinside the marketplace.

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required: 1. assuming the estimated variable manufacturing overhead cost per unit is $0.60, what must be the estimated total fixed manufacturing overhead cost per quarter

Answers

In order to determine the estimated total fixed manufacturing overhead cost per quarter, we first need to understand what fixed manufacturing overhead costs are.

These are costs that do not vary with the level of production or sales, such as rent, salaries, and depreciation.

To calculate the estimated total fixed manufacturing overhead cost per quarter, we need to divide the total estimated fixed costs for the quarter by the expected production volume. Let's say that the company expects to produce 10,000 units in the quarter, and the estimated variable manufacturing overhead cost per unit is $0.60. This means that the total estimated variable manufacturing overhead cost for the quarter would be $6,000 (10,000 units x $0.60 per unit).

If the company's total estimated manufacturing overhead cost for the quarter is $10,000, then the remaining $4,000 must be allocated to the estimated total fixed manufacturing overhead cost per quarter. Dividing this by the expected production volume of 10,000 units gives us an estimated fixed manufacturing overhead cost per unit of $0.40.

In summary, assuming an estimated variable manufacturing overhead cost per unit of $0.60, the estimated total fixed manufacturing overhead cost per quarter would be $4,000, calculated by dividing the remaining manufacturing overhead cost of $4,000 by the expected production volume of 10,000 units, resulting in an estimated fixed manufacturing overhead cost per unit of $0.40.

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1. Blue Co. recorded a right-of-use asset of $100,000 in a 10-year Type B lease. Payments of $16,275 are made annually at the end of each year. The interest rate charged by the lessor was 10%. Under the new ASU, the balance in the right-of-use asset after two years will be:

a.$80,000.

b.$86,823.

c.$100,000.

d.$121,000.

Answers

The correct answer is b. $86,823. The balance of the right-of-use asset after two years will also be $86,823, as the right-of-use asset is equal to the lease liability at the start of the lease.

To calculate the balance in the right-of-use asset after two years, we need to use the Type B lease amortization table. The table will show us how much of the lease payments are allocated to interest and how much are allocated to the lease liability. Using the information given, the lease liability is $100,000 and the annual lease payments are $16,275. The interest rate charged by the lessor is 10%.
After one year, the lease liability will be reduced by the amount of the lease payment allocated to principal ($16,275 - $10,000), which is $6,275. The interest expense for the year will be 10% of the beginning balance of the lease liability ($100,000), which is $10,000. So, the ending balance of the lease liability after one year will be $93,725 ($100,000 - $6,275 + $10,000).
After two years, the lease liability will be reduced by the amount of the lease payment allocated to principal ($16,275 - $9,372.50), which is $6,902.50. The interest expense for the year will be 10% of the beginning balance of the lease liability ($93,725), which is $9,372.50. So, the ending balance of the lease liability after two years will be $86,823 ($93,725 - $6,902.50 + $9,372.50).
Since the right-of-use asset is equal to the lease liability at the beginning of the lease, the balance in the right-of-use asset after two years will also be $86,823.

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Suppose that the local daily demand for iced coffee drinks is given by the demand function: Q=300-25P, where P is the price of an iced coffee drink.
a. Construct this demand curve in black. Place the quantity of iced coffee drinks demanded on the horizontal axis and the price of an iced coffee drink on the vertical axis.
b. Suppose that iced coffee drinks are a normal good, and that consumers’ incomes fall. The demand for iced coffee drinks decreases by 50 units at every price. What is the new demand function (i.e., equation)?
c. Suppose that iced coffee drinks are a normal good, and that consumers’ incomes fall. The demand for iced coffee drinks decreases by 50 units at every price. Construct the new demand function in blue.

Answers

a. To construct the demand curve, we can first use the demand function provided, Q=300-25P. To plot this on a graph, we can plug in different values of P to find the corresponding values of Q. For example:

When P = 0, Q = 300-25(0) = 300

When P = 1, Q = 300-25(1) = 275

When P = 2, Q = 300-25(2) = 250

We can plot these points on a graph with Q on the horizontal axis and P on the vertical axis, and connect them to form the demand curve.

b. The new demand function would be Q = 250-25P.

c. To construct the new demand function in blue, we can start with the same process as before, using the new demand function, Q = 250-25P.

For example:

When P = 0, Q = 250-25(0) = 250

When P = 1, Q = 250-25(1) = 225

When P = 2, Q = 250-25(2) = 200

We can plot these points on the same graph as before, but this time use blue color to distinguish it from the previous demand function.

Provide a detailed plan, including actual dollar amounts, for Selena to wisely use the extra $300 per month from her raise. For each part of the plan, briefly describe why you're making this choice. NEED ANSWER ASAP

Answers

Selena's Budget plan for $300 to be in order: pay debt from $150 if any, put $50 in the emergency fund, buy necessary item/service <= $50 needed for a long time, visit park/fun/landmark/beach/casual place <= $50.

What is a budget?

It should be noted that a budget simply means the financial estimate of the income and expenditure of an individual or an organization.

The purpose of the budget is to establish financial objectives with the monitoring and measurement of results, enabling better decision-making.

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the anberlin co. had $249,517 in 2015 taxable income. use the tax rates from table 2.3. calculate the company’s 2015 income taxes.

Answers

The Bhad $249,517 in 2015 taxable income. According to Table 2.3, the tax rate for income up to $50,000 is 15%. The tax rate for income between $50,000 and $75,000 is 25%. Therefore, the Anberlin Co.'s 2015 income taxes would be calculated as follows:

Tax on income up to $50,000: $50,000 x 15% = $7,500
Tax on income between $50,000 and $75,000: $25,000 x 25% = $6,250
Total tax due: $7,500 + $6,250 = $13,750.

Taxable income is the portion of your gross income used to calculate how much tax you owe in a given tax year. It can be described broadly as adjusted gross income (AGI) minus allowable itemized or standard deductions. Taxable income includes wages, salaries, bonuses, and tips, as well as investment income and various types of unearned income.

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If a company exchanges an asset with a book value of $260,000, an original cost of $500,000, and a fair value of $300,000 plus cash of $100,000 for a new asset, what is the gain or loss recognized on the transaction?.

Answers

The gain that would be recognised on the exchange of the asset by the company is $140,000.

What is the gain on the asset?

The gain on the exchange of an asset is recorded when the fair value is greater than the book value of the asset. The gain on the exchange is sum of the difference between the fair value and the book value and the cash.

Gain = (fair value - book value) + cash

($300,000 - $260,000) + 100,000 = $40,000

A real estate broker is permitted to advertise
1. free appraisals
2. a contest held for the promotion of one of his listings
3. that a brand new Cadillac sedan is included in the sale price.
4. another broker's listing, provided both brokers are in the same MLS.

Answers

A realtor can advertise:

Free Appraisals: Real estate brokers might advertise free appraisals as a value-added service. This may entice clients to use the broker's services.

Brokers can publicize listing contests. This may entice potential buyers and draw attention to the property.

If truthful, real estate salespeople can advertise that a brand-new Cadillac automobile is included in the sale price. However, you must follow advertising rules and disclose any car inclusion terms and restrictions.

Brokers can advertise another broker's listing in the same MLS with permission from the listing broker. This increases the property's exposure and chances of selling.

These advertising practices are generally allowed, but real estate brokers must comply with local laws, regulations, and ethical standards. They should also be honest and transparent in their ads to inform potential customers.

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In 2019, national saving in Korea equaled 34.8 percent of GDP, and domestic investment equaled 30.0 percent of GDP. Source: International Monetary Fund, "World Economic Outlook Database," March 2021. a. Calculate net foreign investment in Korea as a percentage of GDP. Net foreign investment in Korea as a percentage of GDP equals percent of GDP. (Enter your response rounded to one decimal place.) b. Can we say with certainty whether in 2019 the Korean government was running a surplus or a deficit? A. No, to determine if the government was running a surplus or a deficit, we would need information on private saving. B. No, we would need to know whether the country was exporting more than it was importing, or vice versa, in order to make this determination. C. Yes, if we substitute the values above into the saving and investment equation, it yields a positive number, indicating the government was running a surplus. D. Yes, if we substitute the values above into the saving and investment equation, it yields a negative number, indicating the government was running a deficit.

Answers

Answer:

Explanation:

In 2019, national saving in Korea equaled 34.8 percent of GDP, and domestic investment equaled 30.0 percent

According to the video, what tasks commonly are performed by Market Research Analysts? Check all that apply.

processing payments
considering potential sales and competition
designing advertisements
designing surveys
analyzing data (information)
making sales

Answers

Answer:

considering potential sales and competition

designing surveys

analyzing data (information)

Explanation:

The tasks commonly performed by Market Research Analysts are :

considering potential sales and competition.designing surveys.analyzing data (information)

What is Marketing research?

Marketing research involves the methodical collection, recording, and analysis of both quantitative and qualitative information on marketing products and services issues. The objective is to recognize and evaluate how changing marketing mix elements affect customer behavior.

To evaluate potential sales of a product or service, market research analysts examine consumer preferences, economic situations, and other factors. Because most industries rely on market research, these experts are found all over the economy.

Therefore, considering potential sales and competition, designing surveys and analyzing data are some of the work of a Market Research Analysts.

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Juul’s ceo was forced to quickly respond to the increased scrutiny the company was facing. Which decision-making style allows senior leaders to quickly act?.

Answers

The directive decision-making fashion uses quick, decisive thinking to come to a solution. A directive decision-maker has a low tolerance for doubtful or ambiguous ideas.

They're focused on the venture and will use their personal information and judgment to come to a conclusion with selective enter from other individuals.

Which kind of decision is made by using senior management?

strategic decision

A strategic choice is taken with the aid of top-level managers after a lot of analysis, study, and fact-finding. This is because such selections will affect the entire functioning of the business enterprise and are very vital and large in nature.

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how can a model enhance decision making with mis? group of answer choices manipulate time understand uncertainty calculate risks all of these choices are correct.

Answers

A model can enhance decision making with MIS by allowing users to manipulate time, understand uncertainty, and calculate risks. All of these choices are correct.

All of these choices are correct. A model can enhance decision-making with MIS. What is a model? A model is a representation of something, and it is created to explain or visualize something.

A model is a simulation of a real-world system, process, or phenomenon that is used to analyze, predict, or control the behavior of the system, process, or phenomenon being modeled. In decision-making with MIS, a model is used to represent the behavior of the organization or system being studied, as well as the decision-making criteria and the possible alternatives that could be pursued.

The following are some ways in which a model can help to enhance decision-making with MIS: By manipulating time: A model can enable decision-makers to examine the impact of changes over time, allowing them to better understand the implications of their decisions.

Understanding uncertainty: A model can allow decision-makers to explore the effects of uncertainty and risk on the system, which can help them make more informed decisions. Calculate risks: By modeling the potential outcomes of various options, a model can help decision-makers calculate the risks associated with different alternatives. By quantifying the risk, it becomes easier to make informed decisions.

In conclusion, all of the above choices are correct, and a model can enhance decision-making with MIS in a number of ways.

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risk of having a dog walking business
25 POINT!

Answers

Answer:

if anything happened to the dogs the people would be responsible

Using a perpetual system, what is the cost of goods sold for November if the company uses FIFO? A.. $600 b. $580 C. $610 d. $590

Answers

Using the perpetual system, the cost of goods sold for November is $590 if the company uses FIFO. Here option D is the correct answer.

To calculate the cost of goods sold (COGS) using the FIFO (first-in, first-out) method, we assume that the first items purchased are the first items sold. Thus, the cost of the items sold will be based on the cost of the earliest inventory purchased.

We are not provided with any opening inventory, so we can assume that there was none. The following are the inventory transactions for the month of November:

Nov. 3: Purchased 100 units at $5 each

Nov. 15: Purchased 150 units at $6 each

Nov. 27: Sold 200 units

To determine the COGS, we need to determine the cost of the 200 units sold. Since we are using FIFO, we will use the cost of the earliest inventory first. Therefore, we will use the 100 units purchased on Nov. 3 at $5 each and the remaining 100 units purchased on Nov. 15 at $6 each.

The cost of the first 100 units sold will be $5 each, so the total cost will be $500. The cost of the remaining 100 units sold will be $6 each, so the total cost will be $600. Therefore, the total COGS for November using the FIFO method is $1,100 ($500 + $600).

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what is business and what is occupation​

Answers

Answer:

Business:

A person's regular occupation, profession, or trade.

Occupation:

A job or profession.

Explanation:

I looked them up in a dictionary.

Please mark me brainliest! I need it! Please!

Erica decides to spend $50 on a ticket to a concert with friends instead of buying a new pair of jeans. What is the opportunity cost other decision?
A. the benefit of having a new pair of jeans
B. the benefit of going out with her friends
C. the $50 Erica spent on the ticket
D. the enjoyment of going to the concert

Answers

Answer:

The benefit of having a new pair of jeans

Explanation:

Answer:

The benefit of having a new pair of jeans

Explanation:

Which of the following statements is true?
A. The reporting relationship between human resource management and the training function is standard across companies.
B. Including training as part of the human resource function allows training to be decentralized to better respond to unique needs in different business units.
C. Organizational development professionals are seldom responsible for training.
D. For training and development to succeed, employees, managers, training professionals, and top managers all have to take ownership.

Answers

The statement which is considered true is For training and development to succeed, employees, managers, training professionals, and top managers all have to take ownership. Thus the correct option Is D.

What are the functions of the HR department?

The human resource Department of any organization is responsible for the onboarding and exit of an employee in an organization through Recruitment and termination.

They also take care of payroll, employee engagement, performance appraisal, and training development of employees in order to improve them and for promotion.

Employees, managers, training specialists, and top managers must all take responsibility for training and development in order to meet organizational requirements and improvement needs.

Therefore, option D is appropriate.

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Completing a(n ____ will help you identify things you are interested in


- aptitude test

- interest inventory

- personality survey

- skills assessment

Answers

Completing a interest inventory will help you identify things you are interested in. Therefore the correct option is option B.

Interest inventories are evaluations or examinations that assist people in identifying their passions, interests, and preferences. These usually take the form of a series of questions or statements that request respondents to rate their level of interest in various pursuits or subjects. An interest inventory's findings can guide people in choosing careers, pastimes, or educational paths that fit with their passions and interests.

An individual's capacity to learn or do a certain activity is measured by an aptitude test, whereas their characteristics, actions, and attitudes are evaluated by a personality survey. An evaluation of a person's skills or knowledge identifies their level of competence. Therefore the correct option is option B.

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The WACC is used as the discount rate to evaluate various capital budgeting projects. However, it is important to realize that the WACC is an appropriate discount rate only for a project of average risk. Analyze the cost of capital situations of the following company cases, and answer the specific questions that finance professionals need to address. Consider the case of Turnbull Co. Turnbull Co. has a target capital structure of 45% debt, 4% preferred stock, and 51% common equity. It has a before-tax cost of debt of 8.2%, and its cost of preferred stock is 9.3%. If Turnbull can raise all of its equity capital from retained earnings, its cost of common equity will be 12.4%. However, if it is necessary to raise new common equity, it will carry a cost of 14.2%. If its current tax rate is 25%, how much higher will Turnbull's weighted average cost of capital (WACC) be if it has to raise additional common equity capital by issuing new common stock instead of raising the funds through retained earnings? (Note: Round your intermediate calculations to two decimal places.) O 1.15% O 1.20% 0.92% 1.01% Turnbull Co. is considering a project that requires an initial investment of $570,000. The firm will raise the $570,000 in capital by issuing $230,000 of debt at a before-tax cost of 11.1%, $20,000 of preferred stock at a cost of 12.2%, and $320,000 of equity at a cost of 14.7%. The firm faces a tax rate of 25%. What will be the WACC for this project? (Note: Round your intermediate calculations to three decimal places.) Consider the case of Kuhn Co. Kuhn Co. is considering a new project that will require an initial investment of $45 million. It has a target capital structure of 35% debt, 2% preferred stock, and 63% common equity. Kuhn has noncallable bonds outstanding that mature in 15 years with a face value of $1,000, an annual coupon rate of 11%, and a market price of $1555.38. The yield on the company's current bonds is a good approximation of the yield on any new bonds that it issues. The company can sell shares of preferred stock that pay an annual dividend of $8 at a price of $92.25 per share. Kuhn does not have any retained earnings available to finance this project, so the firm will have to issue new common stock to help fund it. Its common stock is currently selling for $22.35 per share, and it is expected to pay a dividend of $2.78 at the end of next year. Flotation costs will represent 3% of the funds raised by issuing new common stock. The company is projected to grow at a constant rate of 9.2%, and they face a tax rate of 25%. What will be the WACC for this project? (Note: Round your intermediate calculations to two decimal places.)

Answers

Turnbull Co.'s WACC will be 1.15% higher if it raises new common equity instead of using retained earnings. Kuhn Co.'s WACC for the project is 14.08%.

To determine the weighted average cost of capital (WACC) for each company case, we need to calculate the component costs and weights for each source of capital and then calculate the weighted average. Let's analyze each case separately.

Case 1: Turnbull Co.

Target capital structure:

Debt: 45%

Preferred stock: 4%

Common equity: 51%

Costs of capital:

Before-tax cost of debt: 8.2%

Cost of preferred stock: 9.3%

Cost of common equity (retained earnings): 12.4%

Cost of common equity (new common stock): 14.2%

Tax rate: 25%

Determine the component costs and weights:

Debt:

Cost of debt = 8.2%

Weight of debt = 45%

Preferred stock:

Cost of preferred stock = 9.3%

Weight of preferred stock = 4%

Common equity (retained earnings):

Cost of common equity = 12.4%

Weight of common equity = 51%

Calculate the WACC with retained earnings:

WACC with retained earnings = (Cost of debt * Weight of debt) + (Cost of preferred stock * Weight of preferred stock) + (Cost of common equity * Weight of common equity)

WACC with retained earnings = (0.082 * 0.45) + (0.093 * 0.04) + (0.124 * 0.51)

WACC with retained earnings = 0.0369 + 0.00372 + 0.06324

WACC with retained earnings = 0.10386 or 10.39%

Calculate the WACC with new common stock:

Flotation cost of new common stock = 3%

Cost of new common stock = 14.2%

Adjusted cost of new common stock = Cost of new common stock / (1 - Flotation cost of new common stock)

Adjusted cost of new common stock = 0.142 / (1 - 0.03)

Adjusted cost of new common stock = 0.142 / 0.97

Adjusted cost of new common stock = 0.1464 or 14.64%

WACC with new common stock = (Cost of debt * Weight of debt) + (Cost of preferred stock * Weight of preferred stock) + (Adjusted cost of new common stock * Weight of common equity)

WACC with new common stock = (0.082 * 0.45) + (0.093 * 0.04) + (0.1464 * 0.51)

WACC with new common stock = 0.0369 + 0.00372 + 0.0746464

WACC with new common stock = 0.1153164 or 11.53%

The difference in WACC between raising funds through retained earnings and new common stock is:

Difference = WACC with new common stock - WACC with retained earnings

Difference = 0.1153164 - 0.10386

Difference = 0.0114564 or 1.15%

Therefore, the WACC for Turnbull Co. will be 1.15% higher if it has to raise additional common equity capital by issuing new common stock instead of raising the funds through retained earnings.

Case 2: Kuhn Co.

Target capital structure:

Debt: 35%

Preferred stock: 2%

Common equity: 63%

Costs and market prices of capital:

Bonds: Face value = $1,000, Coupon rate = 11%, Market price = $1,555.38

Preferred stock: Annual dividend = $8, Price = $92.25 per share

Common stock: Price = $22.35 per share, Dividend (expected) = $2.78 per share

Flotation cost for new common stock: 3%

Expected growth rate: 9.2%

Tax rate: 25%

Determine the component costs and weights:

Debt (Bonds):

Cost of debt = Yield on existing bonds = Coupon rate / Market price of bonds

Cost of debt = 11% / $1,555.38 = 0.00707 or 0.71%

Weight of debt = 35%

Preferred stock:

Cost of preferred stock = Dividend / Price

Cost of preferred stock = $8 / $92.25 = 0.0866 or 8.66%

Weight of preferred stock = 2%

Common equity:

Cost of common equity = Dividend / Price + Growth rate

Cost of common equity = $2.78 / $22.35 + 0.092 = 0.1246 + 0.092 = 0.2166 or 21.66%

Weight of common equity = 63%

Calculate the WACC:

WACC = (Cost of debt * Weight of debt) + (Cost of preferred stock * Weight of preferred stock) + (Cost of common equity * Weight of common equity)

WACC = (0.00707 * 0.35) + (0.0866 * 0.02) + (0.2166 * 0.63)

WACC = 0.0024745 + 0.001732 + 0.1365578

WACC = 0.1407643 or 14.08%

Therefore, the WACC for Kuhn Co.'s project is 14.08%.

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A TV commercial says you should give to the Red Cross to help the refugees from the Ukraine because the need is so great and it is right for you to do this. What kind of appeal is this?
a.
rational
b.
sociocultural
c.
moral
d.
political

Answers

The appeal in the TV commercial is a moral appeal, as it is encouraging people to give to the Red Cross to help the refugees from Ukraine because it is the right thing to do.

The commercial is appealing to people's sense of moral duty and responsibility to help those in need. This type of appeal relies on ethical and moral principles to persuade individuals to take action.

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