Tattletale News Corp. Has been growing at a rate of 20% per year, and you expect this growth rate in earnings and dividends to continue for another 3 years. A. If the last dividend paid was $6, what will the next dividend be? (Do not round intermediate calculations. Round your answer to 2 decimal places. )

b. If the discount rate is 23% and the steady growth rate after 3 years is 3%, what should the stock price be today? (Do not round intermediate calculations. Round your answer to 2 decimal places. )

Answers

Answer 1

a. The next dividend will be $7.20 (rounded to 2 decimal places). b. The stock price today should be $53.39 (rounded to 2 decimal places).

a. To find the next dividend, we need to consider the growth rate of 20% per year. The formula for calculating the future value of an investment is:

Future Value = Present Value * (1 + Growth Rate)^Number of Years

In this case, the last dividend paid was $6, and we want to find the next dividend, which occurs after one year. So, we'll plug in the numbers into the formula:

Next Dividend = $6 * (1 + 0.20)^1
Next Dividend = $6 * 1.20
Next Dividend = $7.20

The next dividend will be $7.20 (rounded to 2 decimal places).

b. To calculate the stock price today, we'll use the Dividend Discount Model (DDM). The formula for the DDM is:

Stock Price = (Dividends in the Steady Growth Period * (1 + Steady Growth Rate)) / (Discount Rate - Steady Growth Rate)

First, we need to find the dividends in the steady growth period (after 3 years). We can use the same formula as before:

Dividends in the Steady Growth Period = $6 * (1 + 0.20)^3
Dividends in the Steady Growth Period = $10.368 (rounded to 3 decimal places)

Now, we can plug these values into the DDM formula:

Stock Price = ($10.368 * (1 + 0.03)) / (0.23 - 0.03)
Stock Price = $10.67864 / 0.20
Stock Price = $53.39

The stock price today should be $53.39 (rounded to 2 decimal places).

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Related Questions

How to write a letter of recommendation for an employee?.

Answers

Writing a letter of recommendation for an employee can be an important task, as it can influence their future career prospects.

Here are some steps to follow when writing a letter of recommendation:

Introduce yourself and explain your relationship with the employee. Include your position and how long you have known the employee.

Highlight the employee's strengths and achievements. Use specific examples to illustrate these points and provide evidence of the employee's skills and abilities.

Provide details of the employee's work history, including their job duties, responsibilities, and accomplishments.

Address any potential areas for improvement, but do so in a constructive way that focuses on the employee's potential and ability to learn and grow.

Conclude your letter by summarizing your overall assessment of the employee and your recommendation for their future career prospects.

Be sure to include your contact information in case the recipient has any follow-up questions.

Remember to be honest and objective in your assessment of the employee. Your letter should be well-written and professional, and should provide a clear and compelling case for why the employee is deserving of a recommendation.

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Suppose the growth rate of the firm's profit is 7 percent, the interest rate is 9 percent, and the current profits of the firm are $60 million. What is the value of the firm

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With the growth rate of the firm's profit is 7 percent, the interest rate is 9 percent and the current profits of the firm are $60 million the value of the firm is $2.1 billion.

according to the Gordon Growth Model

V = D / (r - g)

Where:

V = Value of the firm

D = Current year's dividends

r = Required rate of return

g = Growth rate of dividends

The growth rate of dividends is the same as the growth rate of profits

Dividends = Profit x Dividend Payout Ratio

Dividend Payout Ratio = 1 - Retention Ratio

Assuming that the firm's current profits are $60 million, the dividend payout ratio is 70%, and that the retention ratio (the percentage of profits that are reinvested) is 30%.

Dividends = $60 million x 70% = $42 million

Using  the Gordon Growth Model

V = $42 million / (9% - 7%) = $2.1 billion

Value of firm = $2.1 billion

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Situation analysis is an ongoing process, referred to as______.A. monitoring the statusB. reading the trendsC. scanning the environmentD. benchmarking the field

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Situation analysis is an ongoing process, referred to as scanning the environment.

It involves gathering and analyzing information about internal and external factors that may impact an organization's performance, goals, and strategies. This information includes market trends, customer needs and preferences, competition, regulatory changes, and technological advancements.

By regularly scanning the environment, organizations can identify emerging opportunities and threats, make informed decisions, and adjust their strategies accordingly.

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Suppose you are in charge of a bank, which is considering making a short-term loan to a private equity fund so that it can buy a company. This loan would involve you giving the private equity fund L dollars today. The fund would then need to repay (1 + r) x L dollars next year. If they choose not to deliver this payment, then you get the value of the company. The company is currently worth $92. 5m. Next year, the company will be worth either $100m (up state) or $80m (down state). The prevailing riskless rate is 2%.

d) Suppose the private equity fund asks for a $82. 5m loan. What is the fair interest rate on this loan? (Answer in percent)

e) Suppose the private equity fund asks for a $82. 5m loan. What is the total payment that the private equity fund needs to make to you next year (interest + principle) in order to avoid default? (Answer in millions of dollars)

f) Suppose the private equity fund asks for a $82. 5m loan. How much money does the private equity fund save by defaulting on this loan in the down state next year? (Answer in millions of dollars)

g) Suppose the private equity fund asks for a $82. 5m loan. What is the present value of the default option associated with this loan? (Answer in millions of dollars)

Answers

The fair interest rate on the $82.5m loan is 9.81%, the total payment needed to avoid default is $90.6m, the savings from defaulting in the down state is $10.6m, and the present value of the default option is $5.7m.

d) To determine the fair interest rate on the $82.5m loan, we need to calculate the expected value of the loan repayment next year. The expected value is calculated as the probability-weighted average of the repayment amounts in the upstate and the downstate. The expected repayment is (0.5 x $100m x 1.02) + (0.5 x $80m x 1.02) = $90.6m. Therefore, the fair interest rate is ((1 + r) x L - L) / L = ($90.6m - $82.5m) / $82.5m = 9.81%.

e) The total payment that the private equity fund needs to make to you next year in order to avoid default is (1 + r) x L = (1 + 0.0981) x $82.5m = $90.6m.

f) If the private equity fund defaults on the loan in the down state, then the bank gets the value of the company, which is $80m. Therefore, the amount that the private equity fund saves by defaulting is $90.6m - $80m = $10.6m.

g) The default option associated with the loan represents the value of the company if the private equity fund defaults on the loan. To calculate the present value of the default option, we need to discount the expected value of the company next year by the riskless rate. The expected value of the company next year is (0.5 x $100m) + (0.5 x $80m) = $90m. The present value of the default option is $90m / (1 + 0.02) = $88.2m. Therefore, the present value of the default option associated with the loan is $88.2m - $82.5m = $5.7m.

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Prepare garzon company's journal entries to record the following transactions for the current year.

january 1 purchases 7.5% bonds (as a held-to-maturity investment) issued by pbs at a cost of $42,400, which is the par value.
june 30 receives first semiannual payment of interest from pbs bonds.
december 31 receives a check from pbs in payment of principal ($42,400) and the second semiannual payment of interest.

Answers

On January 1, Garzon Company purchased held-to-maturity bonds issued by PBS at a cost of $42,400. On June 30, they received the first semiannual payment of interest from the bonds. On December 31, they received the principal and the second semiannual payment of interest from PBS. The corresponding journal entries were recorded.

Journal entries for Garzon Company

January 1

Held-to-Maturity Investment in PBS Bonds: $42,400

Cash: $42,400

(To record purchase of PBS bonds)

June 30

Cash: $1,875

Interest Revenue: $1,875

(To record semi-annual interest received from PBS bonds)

December 31

Cash: $43,050

Held-to-Maturity Investment in PBS Bonds: $42,400

Interest Revenue: $1,650

(To record receipt of principal and second semi-annual interest from PBS bonds)

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Consider the economies of sporon and tralfamadore, both of which produce gaggles of gop using only tools and workers. suppose that, during the course of 30 years, the level of physical capital per worker rises by 5 tools per worker in each economy, but the size of each labor force remains the same. complete the following tables by entering productivity (in terms of output per worker) for each economy in 2016 and 2046. year sporon physical capital labor force output productivity (tools per worker)

sporon

physical capital labor force output productivity
year (tools per worker) (workers) (glops of gloop) (glops per worker)
2016 11 30 1,800 _______
2046 16 30 2,160 _______

Answers

Productivity is a measure of output per worker, and it can be affected by factors such as physical capital and labor force size.

In 2016, the economy of Sporon has a physical capital of 11 tools per worker and a labor force of 30 workers, producing a total output of 1,800 glops of gloop. To calculate productivity (glops per worker), we need to divide the total output by the labor force.

2016 Productivity: 1,800 (glops of gloop) ÷ 30 (workers) = 60 (glops per worker)

In 2046, the physical capital per worker has increased by 5 tools, resulting in 16 tools per worker. The labor force remains constant at 30 workers, and the total output has increased to 2,160 glops of gloop. We can now calculate productivity for 2046.

2046 Productivity: 2,160 (glops of gloop) ÷ 30 (workers) = 72 (glops per worker)

The increase in physical capital per worker has led to an increase in productivity in Sporon's economy. In 2016, each worker produced 60 glops of gloop, while in 2046, they produced 72 glops of gloop. This demonstrates the positive impact of additional tools on the productivity of an economy, allowing workers to produce more output with the same labor force.

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what is the term that is often used for the acquisition of services? what is the term that is often used for the acquisition of services? contracting requisitioning ordering purchasing

Answers

The term often used for the acquisition of services is purchasing. So, correct option is D.

Purchasing refers to the process of procuring goods or services in exchange for money or other valuable consideration. It involves the identification of the need for the goods or services, the selection of suppliers, and the negotiation of terms and conditions for the transaction.

Purchasing is a critical business function that helps organizations to achieve their goals by ensuring the availability of the goods and services needed to operate effectively.

The process of purchasing involves various stages, including identification of the need, specification of requirements, identification of potential suppliers, solicitation of proposals or bids, evaluation of proposals, negotiation of contracts, and monitoring of supplier performance.

Effective purchasing requires a thorough understanding of the goods or services being acquired, the market conditions, and the suppliers. It also requires the ability to negotiate favorable terms and conditions, manage risks, and maintain good relationships with suppliers.

In summary, purchasing is the term used for the acquisition of goods and services and is a critical business function that contributes to the success of organizations.

So, correct option is D.

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Ryan is considering purchasing a used five year old hatchback with 75, 000 miles on it for $13,000. his main use would be commuting 20 miles to work each day. which should he be most concerned about?

Answers

When considering purchasing a used car for commuting, one should be most concerned about the reliability of the vehicle, and should check its maintenance history and get it inspected by a mechanic.

When considering purchasing a used car, there are several factors that one should consider. In this scenario, Ryan is considering purchasing a five-year-old hatchback with 75,000 miles on it for $13,000, and his main use would be commuting 20 miles to work each day. There are a few things that he should be most concerned about, including:

1. Reliability: As the car is five years old with 75,000 miles on it, it's important to consider the reliability of the vehicle. Ryan should check the car's maintenance history and get it inspected by a mechanic before making a purchase to ensure that there are no major mechanical issues that could cause problems down the road.

2. Fuel efficiency: As Ryan will be using the car for commuting to work, he should consider the fuel efficiency of the vehicle. He should look up the car's estimated miles per gallon (MPG) and calculate how much he will spend on gas each month to determine if it fits within his budget.

3. Safety: Ryan should also consider the safety features of the car, such as airbags, anti-lock brakes, and electronic stability control. He should also check the car's safety rating from reputable sources such as the National Highway Traffic Safety Administration (NHTSA) or the Insurance Institute for Highway Safety (IIHS).

4. Resale value: Ryan should also consider the resale value of the car, as he may want to sell it in the future. He should research the depreciation rate of the car model and make sure he is getting a fair price for it.

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Which of these products are considered hazmat?


Please choose all that apply.

Answers

Hazmat, short for hazardous materials, refers to substances that can pose significant risks to public safety, health, and the environment when not handled properly. The following products are considered hazmat:

1. Flammable liquids and solids: These include gasoline, alcohol, certain paints, and some cleaning agents. They can catch fire easily and produce harmful vapors.

2. Corrosive substances: Acids and bases like sulfuric acid, hydrochloric acid, and sodium hydroxide can cause severe damage to living tissues and materials upon contact.

3. Explosives: Items such as dynamite, fireworks, and ammunition can cause severe damage and injuries if they detonate accidentally.

4. Radioactive materials: Radioactive substances like uranium and plutonium can cause harmful radiation exposure, leading to health issues and environmental damage.

5. Toxic substances: Poisons and toxic chemicals, like pesticides and certain cleaning agents, can be harmful or fatal when ingested, inhaled, or absorbed through the skin.

6. Infectious substances: Pathogens, such as bacteria and viruses, can spread diseases and pose significant risks to public health.

7. Gases: Flammable, toxic, or pressurized gases, like propane, chlorine, and compressed air, can be dangerous if they leak or explode.

8. Oxidizing substances: Chemicals that react easily with other substances, like hydrogen peroxide and ammonium nitrate, can cause fires or explosions when combined with flammable materials.

Not all products in these categories are considered hazmat; however, those that pose significant risks when improperly handled or transported are classified as such. Always follow safety guidelines and regulations when dealing with hazmat materials to minimize potential hazards.

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Michael and jacob work for competing companies in the tech industry. While out socializing one night, michael tells jacob about a new product that his company is very close to releasing. This is an example of which type of security loss?.

Answers

The scenario described  here is an example of an intellectual property (IP) security loss. Intellectual property refers to creations of the mind, such as inventions, designs, and artistic works, that can be protected by law.

In the tech industry, IP is often the most valuable asset that a company has, and companies invest significant resources in developing and protecting their IP. By sharing confidential information about a new product that his company is close to releasing, Michael has potentially compromised his company's IP and given Jacob's company an unfair advantage. This type of security loss is particularly concerning in the tech industry, where innovation and new products can make or break a company's success.

The unauthorized disclosure of confidential information can lead to financial losses, reputational damage, and legal consequences. It can also undermine trust and collaboration between companies in the industry, which can have broader implications for the industry as a whole. Therefore, it is crucial for employees to understand the importance of protecting their company's IP and to follow strict policies and procedures to prevent any unauthorized disclosure.

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delta company determines that 54,000 pounds of direct materials are needed for production in july. there are 3,200 pounds of direct materials on hand at july 1 and the desired ending inventory is 2,800 pounds. if the cost per unit of direct materials is $3, what is the budgeted total cost of direct materials purchases for the month?

Answers

The budgeted total cost of direct materials purchases for the month of July is $160,800.

To determine the budgeted total cost of direct materials purchases for the month, we need to use the following formula:

Budgeted total cost of direct materials purchases = (Direct materials needed for production + Desired ending inventory) - Direct materials on hand
Using the figures given in the question, we can calculate the budgeted total cost of direct materials purchases as follows:
Direct materials needed for production in July = 54,000 pounds
Direct materials on hand at July 1 = 3,200 pounds
Desired ending inventory = 2,800 pounds
Therefore, the direct materials that Delta Company needs to purchase for July can be calculated as follows:
Direct materials needed for production and inventory = (54,000 + 2,800) = 56,800 pounds
Direct materials already on hand = 3,200 pounds
Direct materials that Delta Company needs to purchase = (56,800 - 3,200) = 53,600 pounds
The cost per unit of direct materials is given as $3, so the budgeted total cost of direct materials purchases can be calculated as follows:
Budgeted total cost of direct materials purchases = Direct materials to be purchased x Cost per unit
Budgeted total cost of direct materials purchases = 53,600 x $3
Budgeted total cost of direct materials purchases = $160,800

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The profit maximizing monopolist would achieve loss minimization when.. Price is between average total cost and average variable cost Price is above average total cost. You're on the right track. Loss minimization is determined in respect to a cost curve. Total cost equals total revenue Price is below average variable cost.

Answers

A profit-maximizing monopolist would achieve loss minimization when the price is between average total cost (ATC) and average variable cost (AVC).

In order to minimize losses, the monopolist should continue producing at the point where marginal cost (MC) equals marginal revenue (MR). This allows the monopolist to maximize the contribution to fixed costs and minimize the overall loss. Producing at this level is preferable to shutting down production, which would result in a loss equal to the total fixed cost.

If the price is above ATC, the monopolist will make a profit rather than minimize losses. In this case, the firm covers both variable and fixed costs, with revenue exceeding the total cost of production.

On the other hand, if the price is below AVC, the monopolist should shut down production in the short run. In this scenario, the firm is unable to cover its variable costs, and continuing production would lead to even greater losses. The loss in this situation would be less than the total fixed cost, as it would not incur any variable costs.

In summary, a monopolist achieves loss minimization when the price lies between ATC and AVC. This allows the firm to cover its variable costs and minimize the overall loss by producing at the point where MC equals MR.

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Topic 3: Using 2 out of the 8 steps involved in the decision making process, explain how you would use it to buy a a mobile phone for your personal use.

Answers

The 8 steps involved in the decision-making process are problem identification, data collection, alternative solutions, analyzing and comparing alternatives, choosing the best alternative, taking action, evaluating the result, and learning from the outcome.

Two out of the eight steps involved in the decision-making process are the following:

Alternative Solutions- Brainstorm possible options. Analyze and Compare Alternatives- Weigh the pros and cons of each option and determine which one will most likely yield the most positive outcome or consequences.

The following are two steps involved in the decision-making process, which can be used to purchase a mobile phone for personal use:

Alternative Solutions- Brainstorm possible options. There are a plethora of phone options on the market, so brainstorming possible alternatives is crucial. The type of phone and its features should be carefully considered based on the intended usage, as well as the individual's budgetary and functional needs. When selecting a phone, one should consider the following factors: Screen size and quality battery life performance, and RAM. Camera quality and features storage and expandable storage optionsThe number of SIM cards supported by the phone is critical to compare the characteristics of several different phone models before deciding which one to purchase. One may also read online reviews and ratings to get a better sense of each phone's benefits and drawbacks. Analyze and Compare Alternatives- Weigh the pros and cons of each option and determine which one will most likely yield the most positive outcome or consequences. After identifying potential phone models, weigh the pros and cons of each option to determine which one is best suited for the individual. In this situation, the individual should examine the following factors: Price and value for money screen size and quality battery life performance, and RAM. Camera quality and features storage and expandable storage options the number of SIM cards supported by the phone. After evaluating each phone's features, one should choose the one that best suits their needs and has the greatest benefits.

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Note that common skills are listed toward the top, and less common skills are listed toward the bottom. according to o*net, what are common skills needed by construction carpenters? select three options.

programming
critical thinking
technology design
operation monitoring
time management
science

Answers

The skills are essential for construction carpenters to effectively perform their job duties and contribute to successful construction projects.

According to O*NET, three common skills needed by construction carpenters are:
1. Critical Thinking: Construction carpenters need to apply logic and reasoning to solve problems, make decisions, and determine the best course of action while working on construction projects.

2. Time Management: Carpenters need to efficiently manage their time and prioritize tasks to ensure timely completion of projects while maintaining quality work.

3. Operational management: Construction carpenters must closely monitor the operation of tools, equipment, and processes to ensure safety, efficiency, and quality in their work.

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Which intentional planning strategy is an early learning professional focused on when they offer prompts or cues to activate creative and critical thinking

Answers

When an early learning professional offers prompts or cues to activate creative and critical thinking in young children, they are employing the intentional planning strategy of scaffolded instruction. Here option D is the correct answer.

Scaffolding refers to the process of breaking down a complex task or concept into manageable steps and providing support and guidance to learners as they work towards mastering the task or understanding the concept. This approach allows learners to build on their prior knowledge and experiences, and gradually acquire new skills or knowledge.

In the context of early learning, scaffolded instruction involves providing prompts or cues that encourage children to think critically and creatively. For example, an early learning professional might provide open-ended questions that encourage children to generate their own ideas or solutions or use visual aids such as pictures or diagrams to help children make connections between different concepts.

By using scaffolded instruction, early learning professionals can create a supportive learning environment where children feel comfortable exploring new ideas and taking risks. This approach also helps to build children's confidence and independence, as they learn to take ownership of their own learning and apply their new skills and knowledge in different contexts.

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Complete question:

What intentional planning strategy is an early learning professional employing when they provide prompts or cues to encourage creative and critical thinking?

A) Inquiry-based learning

B) Scaffolded instruction

C) Differentiated instruction

D) Direct instruction

when considering the role of time in business, which of the following is true of p-time and m-time? group of answer choices the american desire to get down to business is a manifestation of a p-time culture as contrary to japan's m-time approach. the m-time system gives rise to looser time schedules, unlike p-time. m-time is characterized by the simultaneous occurrence of many things, unlike p-time. as global markets expand, more businesspeople from p-time cultures are adapting to m-time. contrary to p-time businesspeople, interruptions are routine for m-time businesspeople.

Answers

As global market expand, business people from p time cultures are adapting to m time is true of p-time and m-time. The right answer is d.

Individuals and businesses who prefer to focus on one task at a time are more inclined to favour monochronic (M-time) approaches in clock-time cultures. Individuals from event time cultures, on the contrary, favour multitasking and tend to stress polychronic (P-time) approaches. Hall created the initial versions of these labels.

M-time workers like to accomplish tasks in a linear order, starting with the first task and finishing it before moving on to the next, which is also started and finished. P-time involves periodic and unplanned pauses and reassumptions of one job or another, with one endeavour continuing until there is an impulse or inspiration to turn to another.

The correct answer is option d.

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2. Net present value (NPV)The capital budgeting process is comprehensive and is based on certain assumptions, models, and benchmarks. This process often begins with a project analysis. Generally, the first step in a capital budgeting project analysis—which occurs before any evaluation method is applied—involves estimating the _____________. Evaluating cash flows with the NPV methodThe net present value (NPV) rule is considered one of the most common and preferred criteria that generally lead to good investment decisions. Consider this case:Suppose Blue Hamster Manufacturing Inc. Is evaluating a proposed capital budgeting project (project Alpha) that will require an initial investment of $600,000. The project is expected to generate the following net cash flows:YearCash FlowYear 1 $350,000Year 2 425,000Year 3 450,000Year 4 475,000Blue Hamster Manufacturing Inc. ’s weighted average cost of capital is 7%, and project Alpha has the same risk as the firm’s average project. Based on the cash flows, what is project Alpha’s net present value (NPV)? (Note: Do not round your intermediate calculations. )$828,024$228,024$993,629$1,278,024Making the accept or reject decisionBlue Hamster Manufacturing Inc. ’s decision to accept or reject project Alpha is independent of its decisions on other projects. If the firm follows the NPV method, it should____ project Alpha. Suppose your boss has asked you to analyze two mutually exclusive projects—project A and project B. Both projects require the same investment amount, and the sum of cash inflows of Project A is larger than the sum of cash inflows of project B. A coworker told you that you don’t need to do an NPV analysis of the projects because you already know that project A will have a larger NPV than project B. Do you agree with your coworker’s statement?No, the NPV calculation is based on percentage returns, so the size of a project’s cash flows does not affect a project’s NPV. Yes, project A will always have the largest NPV, because its cash inflows are greater than project B’s cash inflows. No, the NPV calculation will take into account not only the projects’ cash inflows but also the timing of cash inflows and outflows. Consequently, project B could have a larger NPV than project A, even though project A has larger cash inflows

Answers

It is necessary to perform an NPV analysis of both projects to determine which one has the higher NPV.

The first step in a capital budgeting project analysis involves estimating the cash flows of the project.

Based on the given information for Blue Hamster Manufacturing Inc., the net present value (NPV) of project Alpha can be calculated using the NPV formula:

NPV = -Initial investment + ( all Cash flow year with power 2)

NPV = [tex]-$600,000 + ($350,000 / (1 + 0.07)^1) + ($425,000 / (1 + 0.07)^2) + ($450,000 / (1 + 0.07)^3) + ($475,000 / (1 + 0.07)^4)[/tex]

NPV = $993,629.03

Therefore, the NPV of project Alpha is $993,629.03.

Since the NPV is positive, Blue Hamster Manufacturing Inc. should accept project Alpha, according to the NPV method.

Regarding the coworker's statement, it is not necessarily true that project A will have a larger NPV than project B, even if its cash inflows are greater. The NPV calculation takes into account not only the projects' cash inflows but also the timing of cash inflows and outflows, as well as the required rate of return. Therefore, it is necessary to perform an NPV analysis of both projects to determine which one has the higher NPV.

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An advertising campaign features two print ads. One ad generates 13,345 exposures and cost $4,625. The second ad generates 15,968 impressions and cost $8,982. Calculate Cost Per Thousand for the campaign as a whole. (Rounding: penny.)

Answers

For the whole campaign the Cost Per Thousand is $464.28.

To calculate the Cost Per Thousand (CPM) for the advertising campaign as a whole, follow these steps:

1. Calculate the total number of exposures: Add the exposures of the first ad (13,345) and the second ad (15,968).
  Total Exposures = 13,345 + 15,968 = 29,313

2. Calculate the total cost of the campaign: Add the cost of the first ad ($4,625) and the second ad ($8,982).
  Total Cost = $4,625 + $8,982 = $13,607

3. Calculate the Cost Per Thousand (CPM): Divide the total cost by the total exposures and multiply by 1,000.
  CPM = (Total Cost / Total Exposures) * 1,000
  CPM = ($13,607 / 29,313) * 1,000

4. Round the CPM to the nearest penny:
  CPM ≈ $464.28

So, the Cost Per Thousand for the campaign as a whole is approximately $464.28.

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During 2022, each of the assets was removed from service. The machinery was retired on January 1. The forklift was sold on June 30 for $11,500. The truck was discarded on December 31.

Answers

During the year 2022, the company had to remove several assets from its service. These assets included machinery, a forklift, and a truck.

The machinery was retired on January 1, which means that it was no longer in use by the company from that date onwards. It was most likely due to the fact that the machinery had become old and outdated, and it was no longer cost-effective for the company to continue using it.

On the other hand, the forklift was sold on June 30 for $11,500. This suggests that the forklift was still in relatively good condition and had some value that the company was able to realize. It is likely that the company decided to sell the forklift because it no longer needed it or had found a better replacement.

Finally, the truck was discarded on December 31, which means that it was no longer of any use to the company. It is possible that the truck had reached the end of its useful life or was damaged beyond repair. In either case, the company had no choice but to discard it.

Overall, the removal of these assets indicates that the company is making efforts to optimize its resources and ensure that it is using its assets in the most efficient way possible.

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The story of ben and arthur demonstrates the power of:.

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The story of Ben and Arthur demonstrates the power of determination and personal growth. These three elements play a crucial role in the characters' journey, showcasing their ability to overcome obstacles and achieve their goals.


Determination is another key aspect that drives Ben and Arthur's story. Their unwavering resolve helps them stay focused on their objectives, regardless of the hurdles they encounter. This determination keeps them motivated and encourages them to work harder to achieve their desired outcomes.


Personal growth is a vital component of the story, as both characters evolve and mature throughout their journey. As they face their struggles, Ben and Arthur learn valuable life lessons and develop important skills that contribute to their personal development. This growth empowers them to make better decisions and adapt to new situations, ultimately leading to their success.


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consider a bond with a coupon rate of 8 percent that pays semiannual interest and matures in eight years. the market rate of return on bonds of this risk is currently 11 percent. what is the current value of a $1,000 face value bond? group of answer choices $929.17 $843.07 $830.58 $854.08 $893.30

Answers

The current value of a $1,000 face value bond is 843.08. So the option B is correct.

A face value bond is a bond with a par value that is equal to the amount of money the issuer agrees to pay the bondholder at maturity, also known as its par value.

Semi annual Coupons = 8% × 1000 × 2

Semi annual Coupons = 8/100 × 1000 × 2

Semi annual Coupons = 0.08 × 1000 × 2

Semi annual Coupons = 40

I + 11%/2 = 5.5% ,

N = 8 × 2

N = 16

Present value of bond = Coupon × PVIFA (N , I) + Face Value × PVIF (N , I)

Present value of bond = 40 × PVIFA (16 , 5.5%) + 1000 × PVIF ( 16 , 5.5%)

Present value of bond = 40 × 10.4622 + 1000 × 0.4246

Present value of bond = 843.08

So the option B is correct.

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The City of Raylan has a rather large warehouse that it no longer needs. The city had previously used the warehouse to store supplies and equipment for the school system, police department, and other public service functions. It has a remaining expected life of 18 years with no expected residual value. On January 1, 2020, the warehouse has a net book value of $1. 4 million. On that date, city officials agree to lease the property to Acme International for its remaining life. Both parties agree to an implicit interest rate of 12 percent. The first payment is to be made immediately and on each subsequent January 1. The straight-line method is used where an allocation method is required. Assume that the present value of an annuity due of $1 at a 12 percent annual rate for 18 periods is 8. 11963. Based on that assumption, what amount does the City of Raylan charge Acme each period

Answers

The City of Raylan would charge Acme International $11,387,482 per period as lease payment for  the warehouse for its remaining life

To calculate the lease payment using the straight-line method, we need to determine the cost of the asset, its useful life, and the implicit interest rate. Given:

Cost of the asset (net book value) = $1.4 million

Useful life of the asset = 18 years

Implicit interest rate = 12%

We can calculate the annual lease payment using the present value of an annuity due formula:

Annual lease payment = Cost of the asset x Implicit interest rate factor

= $1.4 million x (PVAD due factor for 18 periods at 12% rate)

= $1.4 million x 8.11963

= $11,387,482

Dividing the annual lease payment by the number of periods in a year (1), the lease payment per period is:

Lease payment per period = Annual lease payment / Number of periods per year

= $11,387,482 / 1

= $11,387,482

Therefore, the City of Raylan would charge Acme International $11,387,482 per period to lease the warehouse for its remaining life. Note that this assumes that the lease payments are made annually, starting immediately, and that the straight-line method is used to allocate the lease payments over the useful life of the asset.

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Determine the yield-to-call (to the nearest 0.1 of a percent) of an ltv bond with a 14 percent coupon, that pays interest semiannually. the bond can be called in 7 years, has a call premium of $140, and is currently selling for $1,154.

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The yield-to-call of the LTV bond with a 14 percent coupon, that pays interest semiannually. the bond can be called in 7 years, has a call premium of $140, and is currently selling for $1,15  is 6.3% (to the nearest 0.1%).

To calculate the yield-to-call (YTC) of a bond, we need to find the interest rate that makes the present value of the bond's cash flows equal to its current market price, assuming the bond is called at the first opportunity. Here's how to do it for the given LTV bond:

1. Calculate the bond's annual coupon payment:

Annual coupon payment = Coupon rate x Face value

= 0.14 x $1,000

= $140

2. Calculate the number of semiannual periods until the bond can be called:

Number of periods = Years until call x Number of periods per year

= 7 x 2

= 14

3. Calculate the present value of the bond's remaining cash flows if it's called at the first opportunity:

PV = Call price + (Coupon payment / [tex](1 + YTC/2)^n[/tex]) + (Face value / (1 + [tex](1 + YTC/2)^n[/tex])

Where:

YTC = Yield-to-call

n = Number of periods until call

Plugging in the given values:

$1,154 = $1,000 + ($140 / [tex](1 + YTC/2)^{14}[/tex]) + ($1,000 / [tex](1 + YTC/2)^{14}[/tex])

4. Solve for YTC using a financial calculator or trial and error method.

Using a financial calculator, the YTC is found to be 6.3%.

Therefore, the yield-to-call of the LTV bond is 6.3% (to the nearest 0.1%).

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Name two environmentally related legislative acts passed by Congress in the 1970's

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There were two significant environmental legislative acts passed by Congress in the 1970s, namely the Clean Air Act (CAA) and the Clean Water Act (CWA).

The CAA was first passed in 1970 and was later amended in 1977 and 1990 to strengthen its provisions. The CAA aims to regulate air pollution by setting emission standards for harmful pollutants such as sulfur dioxide and nitrogen oxides. The act also sets limits on emissions from automobiles, factories, and power plants.

On the other hand, the CWA was enacted in 1972 to regulate water pollution in the United States. The act aims to maintain the chemical, physical, and biological integrity of the nation's waters by setting pollution control standards for industries and wastewater treatment plants. The CWA also prohibits the discharge of pollutants into navigable waters without a permit and requires states to establish water quality standards.

Both the CAA and CWA have been instrumental in improving the environmental quality of the United States over the past several decades. These acts have resulted in significant reductions in air and water pollution, improved public health, and preserved natural resources for future generations.

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question refers to the table below. table 22.1 labor union membership year number of members 1933 2,857,000 1934 3,728,000 1935 3,753,000 1936 4,107,000 1937 5,780,000 1938 8,265,000 1939 8,980,000 1940 8,944,000 1941 10,489,000 1942 10,762,000 1943 13,642,000 1944 14,621,000 1945 14,796,000 how does the information in the chart reflect the changes in american labor? growth in union membership coincides with the growth of defense industries. rising union membership occurs when factories are being closed due to the great depression. union membership becomes stagnant when women enter the workforce in large numbers. increased membership follows major union victories in the agricultural industry.

Answers

The information in the chart reflect the changes in american labor that growth in union membership coincides with the growth of defense industries. So, correct option is A.

The information in the table reflects the changes in American labor by showing the trends in labor union membership from 1933 to 1945. From the table, it is clear that union membership grew steadily during this period, reaching its peak in 1945.

This growth in union membership can be attributed to several factors. First, the Great Depression, which began in 1929, led to a decline in wages and increased job insecurity for many workers. As a result, workers turned to unions to negotiate better wages and working conditions.

Second, the growth of defense industries during World War II provided new opportunities for union membership. These industries needed large numbers of workers, and unions were able to negotiate favorable terms for their members.

Third, the table shows that union membership continued to grow even after the war ended, indicating that there were other factors at play beyond the war and defense industries. However, the information in the table does not support options B, C, or D.

In conclusion, the information in the table reflects the changes in American labor by showing the growth in union membership during a period of economic upheaval and the emergence of new industries.

So, correct option is A.

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Using the pie chart in your reading, what percentage of our total tax dollars is used by the federal gov. to fund the social security and Medicare programs?
Answer: 38%

Answers

The percentage spent on Social Security and Medicare of the total is =  28.32% of the Total Spending.

The total amount of funds used by the Federal Government for social security and Medicare in the year 2020 is $1.869 Trillion.

The total Medicare and Social Security spending:

Medicare ($ 769,000,000,000) + Social Security ($ 1,100,000,000,000) =

Total ($ 1,869,000,000,000) or $1.869 Trillion

The percentage of the Medicare and Social Security spending as a percentage of the total spend:

The Total Spend = $6.6 Trillion (or $6,600,000,000,000)

The percentage spent on Social Security and Medicare of the total is:

Formula = (Value / Total) x 100%

= ($1.869 Trilion/$6.6 Trillion) x 100%

= ($ 1,869,000,000,000/$6,600,000,000,000) x 100%

= 0.28318181818 X 100%

= 28.32%

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Once all of his loans are paid off, what will hal’s total lifetime cost be? round all dollar values to the nearest cent. a. $9,023.28 b. $8,467.20 c. $11,498.40 d. $13,615.20

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Hal’s total lifetime cost be $11498.40. The correct option is C. $11498.

To determine Hal's total lifetime cost, we need to add up the amount he has paid towards his loans over his lifetime. We do not have specific information on the amount Hal has paid towards his loans, but we do know that he has paid $3,134.40 towards his loans as of now. We also know that he has $6,888.80 left to pay off.

Assuming he continues to make payments at the same rate until the loans are fully paid off, we can estimate that he will pay a total of $10,023.20 towards his loans over his lifetime ($3,134.40 + $6,888.80).

However, we also need to consider the interest he will accrue on his loans. Without knowing the interest rate, we cannot determine an exact amount. Therefore, we can only estimate based on an assumption of an interest rate.

If we assume an interest rate of 5%, his total lifetime cost would be around $11,498.40 (rounded to the nearest cent), which is option C. If we assume a higher interest rate, his total lifetime cost would be even higher.

Overall, it is important to remember that this is an estimate and the actual total lifetime cost may vary depending on Hal's specific situation.

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When there is a negative externality, the competitive output is greater than the economically efficient output level. group of answer choices true false

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When there is a negative externality, the competitive output is greater than the economically efficient output level it is true.

This is because the competitive output doesn't take into account the negative external costs, while the efficient output considers the full social costs, including external costs. As a result, the competitive output leads to overproduction, and the efficient output would be lower to minimize the negative externalities.

When there is a negative externality, such as pollution, the competitive output level, determined solely by market forces, is greater than the economically efficient output level. This occurs because the competitive market fails to consider the full social cost of production.

The negative externality imposes additional costs on society, such as health issues or environmental damage, which are not accounted for in the market price. As a result, producers tend to overproduce goods or services with negative externalities.

To achieve economic efficiency, it is necessary to reduce the output level to the point where the marginal social cost equals the marginal social benefit, internalizing the external costs and aligning private and social incentives.

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Pell company acquires 80% of demers company for $500,000 on january 1, 2014. demers reported common stock of $300,000 and retained earnings of $210,000 on that date. equipment was undervalued by $30,000 and buildings were undervalued by $40,000, each having a 10-year remaining life. any excess consideration transferred over fair value was attributed to goodwill with an indefinite life. based on an annual review, goodwill has not been impaired. demers earns income and pays dividends as follows:

2014 2015 2016
net income $100,000 $120,000 $130,000
dividends 40,000 50,000 60,000

assume the initial value is applied. compute pell's investment in demers at december 31, 2016.

a. $592,400.
b. $500,000.
c. $625,000.
d. $676,000.
e. $620,000.

Answers

By equity method Pell's investment in Demers at December 31, 2016,  is = $560,000

To compute Pell's investment in Demers at December 31, 2016, we need to first calculate the goodwill and then apply the equity method to account for the investment.

1. Calculate the goodwill:

Consideration transferred = $500,000

Fair value of net assets acquired = $300,000 + $210,000 + $30,000 + $40,000 = $580,000

Excess consideration transferred over fair value = $500,000 - $580,000 = ($80,000) - this amount represents negative goodwill, which is attributed to the fair value adjustment of assets and liabilities. Since the goodwill has not been impaired, we can assume that the negative goodwill has been fully amortized over the years.

2. Apply the equity method to account for the investment:

- Initial investment: $500,000 x 80% = $400,000

- Share of Demers' net income:

 - 2014: $100,000 x 80% = $80,000

 - 2015: $120,000 x 80% = $96,000

 - 2016: $130,000 x 80% = $104,000

- Share of Demers' dividends:

 - 2014: $40,000 x 80% = $32,000

 - 2015: $50,000 x 80% = $40,000

 - 2016: $60,000 x 80% = $48,000

Pell's investment in Demers at December 31, 2016 is the sum of the initial investment, share of net income, and adjustment for dividends:

= $400,000 + $80,000 + $96,000 + $104,000 - $32,000 - $40,000 - $48,000

= $560,000

Therefore, the answer is not listed among the options provided, and we can conclude that the correct answer is none of the above and Pell's investment in Demers at December 31, 2016, is $560,000 .

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Which of the following statements about positive feedback mechanisms is not true? a. positive feedback mechanisms can result from human activity. b. positive feedback mechanisms can occur naturally. c. positive feedback mechanisms lead to increased change. d. positive feedback mechanisms reduce change in a system. please select the best answer from the choices provided a b c d

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The statements about positive feedback mechanisms is not true is d. positive feedback mechanisms reduce change in a system.

Positive feedback mechanisms can occur both naturally and as a result of human activity. One example of a natural positive feedback mechanism is the melting of Arctic ice. As the ice melts, less sunlight is reflected back into space and more is absorbed by the ocean, causing the water to warm and more ice to melt. This process continues and amplifies until a new equilibrium is reached. On the other hand, human activity can also lead to positive feedback mechanisms, such as deforestation.

As trees are cut down, there is less carbon dioxide absorption and more greenhouse gases in the atmosphere, leading to a warmer climate, which in turn leads to more deforestation. Therefore, it is important to be aware of positive feedback mechanisms and their potential impacts on our environment. The correct answer is d. positive feedback mechanisms reduce change in a system.

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