You are considering the following three mutually exclusive projects. The required rate of return for all three projects is 14%. Year A B C 0 $ (1,000) $(5,000) $(50,000) 1 $ 300 $ 1,700 $ 0 2 $300 $ 1,700 $15,000 3 $ 600 $1,700 $ 28,500 4 $300 $1,700 $ 33,000 What is the IRR of the best project

Answers

Answer 1

Answer:

Project A has the highest IRR. the IRR is 17.49%

Explanation:

Internal rate of return is the discount rate that equates the after-tax cash flows from an investment to the amount invested

IRR can be calculated with a financial calculator

For project A

Cash flow in year 0 = -1000

Cash flow in year 1 = 300

Cash flow in year 2 = 300

Cash flow in year 3 = 600

Cash flow in year 4 = 300

IRR = 17.49%

For project B

Cash flow in year 0 = -5000

Cash flow each year from year 1 to 4 = 1700

IRR = 13.54%

For project C

Cash flow in year 0 = -50,000

Cash flow in year 1 = 0

Cash flow in year 2 = 15,000

Cash flow in year 3 = 28,500

Cash flow in year 4 = 33,000

IRR = 14.23%

To find the IRR using a financial calculator:

1. Input the cash flow values by pressing the CF button. After inputting the value, press enter and the arrow facing a downward direction.

2. After inputting all the cash flows, press the IRR button and then press the compute button.


Related Questions

From the following information, calculate: a. Net sales c. Gross profit from sales b. Cost of merchandise (goods) sold d. Net income Given: Gross sales, $36,000; sales returns and allowances, $2,800; beginning inventory, $5,900; net purchases, $6,800; ending inventory, $5,200; operating expenses, $8,100.

Answers

Answer:

a. Net sales = $30,100

b Gross profit from sales = $22,600

c Cost of merchandize(goods sold) = $7,500

d Net income = $14,500

Explanation:

Please find attached solution to the above questions and answers.

Determine whether stock prices are affected more by long-term or short-term performance. Provide an example of the effect that supports your claim.

Answers

Answer:

Short term can perform better.

Explanation:

In the market, the performance of the stock is a very important and critical barometer that determines the company's health. The stock price of a company helps the investors to evaluate the earnings and the growth of his in the future.

Both short term and the long term performances of the company impacts the stock performance of the company. The stock price can both rise and fall in a short term performance or a long term performance.

However, for a short term performance, things are very volatile and there can be a lot of fluctuations in the stock prices. While a long term performance is smooth and is not volatile.

For example,

Suppose ABC Company decides to give a $2 dividend for one share (DPS) next year and we estimate this to increase by 6 percent per year thereafter. Now let us assume that the required rate of the return on the ABC Company stock is 10%. So currently, ABC Company stock is at a trading value of $12 for one share. So using the formula, now we can find the intrinsic value of 1 share of ABC Company stock is:

[tex]$\frac{2.00}{0.10-0.05}$[/tex]

= $40

Thus, ABC company stock is $40 for one share and now it is trading at a value of 12 dollar.

Thus from the above example, we can say that in short term, the stock can  perform better.  

why do we feel love?​

Answers

Answer:

We feel love because a relationship is what makes a human happiest. Its proven scienctficly. I can't spell :p

Explanation:

well um because they are different from other people. “Feeling them releases feel-good chemicals and we experience an intense longing to be with them. It pumps out the feel-good chemical dopamine and the hormone oxytocin, which binds people together. This progression implies that intense pleasure from the sexual desire stage can lead directly to love.” Basically, you feel amazing when you’re around them. There are many different reason you could start to feel love. It could be a bad experiences which they made better. or a personal connection. We feel love because love feels us and it’s a part of our humanly emotions

g Long-run competitive equilibrium in an industry implies that no firm: Multiple Choice has an incentive to enter or exit the industry. is earning a normal profit. is earning accounting profits. is producing at the output level where price equals long-run average total cost.

Answers

Answer:

has an incentive to enter or exit the industry.

Explanation:

In a Long-run competitive equilibrium in an industry, no firm is earning abnormal profits but firms are earning normal profit or accounting profit. Also, there are no incentives to enter the industry as abnormal profits aren't earned in the industry. there are no incentives to leave because firms are earning normal profit

Meteora, Inc., has an issue of preferred stock outstanding that pays a $3.75 dividend every year, in perpetuity. If this issue currently sells for $81 per share, what is the required return?

Answers

Answer:

4.62%

Explanation:

price of a share of preferred stock can be gotten by the ratio of dividend and required return. But some preferred stock do have their dividend fixed with zero growth rate.

Preferred stock=Dividend/required return(R )

Making R subject of the formula

required return(R )= Dividend/Preferred stock

$3.75 dividend/$81 per share

R= 0.0462

R= 4.62%

Hence, the required return is 4.62%

Pilot Motors Corporation is an automobile manufacturer. The company produces its own motors, tires, and other automobile parts. Pilot has the opportunity to purchase tires from another manufacturer instead of producing the tires in its own facility. This type of decision is typically known as a(n):

Answers

Answer:

Outsourcing decision

Explanation:

Outsourcing is a practice by companies where products or services are obtained from third parties rather than being obtained internally.

The main aim of outsourcing is to reduce cost.

When it is cheaper to obtain a service for a particular job role, rather than training new staff to fill the position. The company is practising outsourcing.

In the given scenario Pilot has the opportunity to purchase tires from another manufacturer instead of producing the tires in its own facility.

This is an outsourcing decision most likely to reduce cost of producing automobile parts internally.

A monopolist Group of answer choices produces the same units as the competitive outcome. has the same profits as what would have in a competitive market. produces more than the competitive outcome. has zero profits. produces less than the competitive outcome.

Answers

Answer:

Produces less than the competitive outcome.

Explanation:

In the market system, because it is understood in market pattern that since no competition is put in situ, the monopolist can find it easy to regulate the value and also the quantity demanded. it's also known that the very fact that he's the sole source of the said good, demand can easily be high for him thereby making supply really upthight; therefore there's low supply.

A key characteristic of a monopolist is that it is a profit maximizer.

A monopolistic market has no competition, meaning the monopolist controls the worth and quantity demanded.

The level of output that maximizes a monopoly's profit is when the differential cost equals the marginal revenue.

You just turned 25 years old and want to retire when you turn 65. You expect to withdraw $90,000 per year for 25 years during retirement, starting first withdrawal one year after your 65th birthday. You expect to earn a return of 8% on your investments every year.
part 1 How much retirement saving do you need to have by 65th birthday to support the withdrawals in the next 25 years? Or the same question can be asked differently, what is the present value (as of your 65th birthday) of the withdrawals you expect to make?
part 2 How much money should you save each year if you make the first deposit one year from your 25th birthday and the last one on 65th birthday?

Answers

Answer:

Part 1 = $960,729.86

Part 2 = $3,708.57

Explanation:

Solution is attached as picture

A bank pays 5% with daily compounding on its savings accounts. Should it advertise the nominal or effective rate if it is seeking to attract new deposits?

Answers

Answer:

It should advertise the EFFECTIVE RATE

Explanation:

Based on the information given we were told that the bank pay 5% on a saving account that is daily compounded which means that if they are seeking to attract new deposits from their customers they should advertise the EFFECTIVE RATE reason been that the higher an amount or saving amount is been compounded annually the higher the effective rate will be which will inturn lead it to exceed the nominal rate.

Therefore they should go ahead an advertise the EFFECTIVE RATE because the rate is more higher than nominal rate.

What will the value be if the company borrows $132,000 and uses the proceeds to repurchase shares? (Do not round intermediate calculations. Round your answer to 2 decimal places, e.g., 32.16.)

Answers

Answer:

$484,950

Explanation:

The computation of the value of the firm after proceeding with the shares repurchase is shown below:

= EBIT × (1 - tax rate) ÷ cost of equity + borrowed amount × tax rate

= $81,000 × (1 - 0.35) ÷ 0.12 + $132,000 × 35%

= $438,750 + $46,200

= $484,950

Hence, the value is $484,950

We simply applied the above formula

And the same is to be considered

Thornton Company calculated its return on investment as 10 percent. Sales are now $460,000, and the amount of total operating assets is $480,000. Required If expenses are reduced by $44,400 and sales remain unchanged, what return on investment will result

Answers

Answer:

19.25%

Explanation:

The computation of the new return on investment is shown below:

But before that

The net income is

As we know that

Return on investment = Net income ÷ Total assets

10% = Net income ÷ $480,000

So, the net income = $48,000

Now if the expenses reduced by $44,400

That means the net income would increased by

= $48,000 + $44,400

= $92,400

So, the new return on investment is

= $92,400 ÷ $480,000

= 19.25%

g MNVK Corp. purchased a computer system at a cost of $150,000 on January 1, 2020. The estimated useful life is 10 years, and the estimated residual value is $10,000. Assuming MNVK uses the double-declining-balance method, what is the depreciation expense for 2021

Answers

Answer:

MNVK Corp.

Depreciation expense for 2021 = $24,000

Explanation:

a) Data and Calculations:

Cost of computer system = $150,000

Purchase date = January 1, 2020

Estimated useful life = 10 years

Residual value = $10,000

Straight-line depreciation rate = 10%

Double-declining balance method rate = 10% * 2 = 20%

Depreciation expense for 2020 = $30,000 ($150,000 * 20%)

Balance after 2020 = $120,000 ($150,000 - $30,000)

Depreciation expense for 2021 = $24,000 ($120,000 * 20%)

b) The double-declining method is based on the straight-line depreciation rate, multiplied by 2.  The method does not consider the residual value initially.  It is towards the end of the useful life that the residual value is accounted for, to ensure that depreciation expense does not eat into it.

Which function are local governments responsible for meeting?
ОА national security
OB. education
OC. space exploration
OD mail delivery​

Answers

Answer:

the answer is edication

Answer:

OA. national security

Explanation:

Hope this helps!

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The maker of a line of protein shakes knows that its target market places a high value on the use of natural products, so the company's positioning strategy focuses on its use of organic, locally sourced ingredients. Which positioning method is the company using

Answers

Answer:

The value proposition

Explanation:

The above is an example of value proposition because it demonstrates how the company place much emphasis on the value of the product it intends to produce and deliver to the target market.

Moreover, this positioning method has the target market as its key element, hence focus on adding value to its product by making use of natural ingredients for production. Value is a known method of positioning and most customers widely consider it when they make a purchase decision based on price and quality of the product.

Which waste could be corrected by implementing flow, reducing the interval and pulling demand from the customer

Answers

Answer: c) Inventory.

Explanation:

Inventory waste can be corrected with certain methods such as reducing inventory interval. This is the time between when inventory is received and when it is sold off. Reducing this would mean that less inventory stays with the company thereby reducing the chance of wastage.

Pulling demand from the customer would also work as the company would only order inventory that the customer demands as well as keeping a minimal amount of inventory on hand. This very minimal amount of inventory would ensure that less inventory is on hand to be wasted.

A company has an EPS of $3.90, a book value per share of $39.00, and a market/book ratio of 3.0x. What is its P/E ratio

Answers

Answer:

P/R ratio = 30x or 30 times

Explanation:

P/E ratio is calculated by dividing the price per share by the earnings per share or EPS

P/E = Price per share / Earnings pet share

M/B = Market value per share/Book value pet share

3.0 = Market price per share / $39

3.0 × $39 = Market price per share

Market price per share = $117.

So, P/E ratio = $117 / $3.9

P/E ratio = 30x or 30 times

Chris invested $50,000 today in a fund that earns 8% compounded semiannually. To what amount will the investment grow in 3 years

Answers

Answer:

$63,265.95

Explanation:

The computation of the amount invested growing in 3 years is shown below:

Accumulated Sum = Amount Invested * (1 + Semiannual rate of interest )^Semiannual time Period

= $50,000 * 1.04^6

= $50,000 * 1.265319

= $63,265.95

Hence, the  amount invested growing in 3 years is $63,265.95

We simply applied the above formula

Given that Ron and Anne have taxable income of only $24,000 (all ordinary) before considering the tax effect of their asset sales, what is their gross tax liability for 2020 assuming they file a joint return

Answers

Answer:

$2,485|

Explanation:

married filing jointly tax brackets for 2020 are:

Tax rate        Taxable income bracket         Tax owed

10%              $0 to $19,750                           10% of taxable income

12%              $19,751 to $80,250                 $1,975 plus 12% of the amount

                                                                     over $19,750

Ron and Anne's tax liability = $1,975 + [($24,000 - $19,750) x 12%] = $1,975 + $510 = $2,485

Which step follows the marketing mix step in the process of marketing management?
ОА
market research
ОВ.
market monitoring
OC marketing mix
OD. product development
OE identifying target markets

Answers

Answer:

market monitoring

Explanation:

After the marketing mix step, Implementation, monitoring, and control follows. The strategic marketing process is a continuous effort. Management should always be on the look for places to improve and enhance the plan. Market monitoring assists in pointing out specific opportunities for improvement.

Market monitoring requires the management to keep looking at the set goals and objectives to determine if the marketing process is heading in the right direction.

In cost-volume-profit analysis, the unit contribution margin is: Multiple Choice Sales price per unit less cost of goods sold per unit. Sales price per unit less unit fixed cost per unit.

Answers

Answer:

Sales price per unit less cost of goods sold per unit

Explanation:

Unit contribution margin is usually expressed as unit selling price less all variable costs . Cost of Goods Sold varies with units sold and thus falls in the category of variable costs.

XYZ Corp. has an operating profit margin of 7%, a debt burden of .8, and has financed two-thirds of its assets through equity. What asset turnover ratio is necessary to achieve an ROE of 18%

Answers

Answer:

the asset turnover is 2.14

Explanation:

The computation of the asset turnover is shown below:

As we know that

ROE = Leverage ratio × Asset turnover × Profit margin × Burden of debt

.18 = 1.5 × Asset turnover × .07  .8

.18 = .084 × Asset turnover

So,

Asset turnover = 2.14

The leverage ratio is

= 3 ÷ 2

= 1.5

Hence, the asset turnover is 2.14

10. A permanent scholarship fund is started through a donation of $100,000. If five scholarships of $5,000 each are awarded each year beginning ten years from now, Calculate the rate of return for the invested money

Answers

Answer:

10 %

Explanation:

The rate of return for the invested money can be calculated as follows

100,000 = 5 (5,000) (P/F, i, 9)

i

Try i = 10%:

$100,000 compared to 250,000(0.4241)

Result: $100,000 < $106,025;

The Rate of return is too big

Try i = 12%:

$100,000 compared to 208,333(0.3606)

Result: $100,000 & gt; $75,125;

The Rate of return is too small

i ˜ 10.5%

Check my work Check My Work button is now disabledItem 2Item 2 16.66 points In 1901, the first Green Jacket Golf Championship was held. The winner’s prize money was $330. In 2015, the winner’s check was $1,690,000. What was the annual percentage increase in the winner’s check over this period? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.) Annual percentage % If the winner’s prize increases at the same rate, what will it be in 2050? (Enter your answer in dollars, not millions of dollars, e.g., 1,234,567. Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

Answer:

The annual percentage increase in the winner’s check over this period was 7.78%

It will be $23,266,067.23 in 2050

Explanation:

As per given data

Value of lottery in 1901 = $330

Winner's Check in 2015 = $1,690,000

Numbers of Years = 2015 - 1901 = 114 years

Use following formula to calculate annual percentage increase

Future value = Present value  x ( 1 + annual percentage increase)^numbers of years

Where

Future value is Winner's Check value in 2015

Present value is Value of lottery in 1901

Place values in the formula

$1,690,000 = $330 x ( 1 + annual percentage increase)^114

$1,690,000 / $330 = ( 1 + annual percentage increase)^114

5,121.21 =  ( 1 + annual percentage increase)^114

( 5,121.21 )^1/114 = 1 + annual percentage increase

1.0778 = 1 + annual percentage increase

Annual percentage increase = 1.0778 - 1

Annual percentage increase = 0.0778

Annual percentage increase = 7.78%

Use following formula to calculate the value in 2015

Future value = Present value  x ( 1 + annual percentage increase)^numbers of years

Where

Present value = $1,690,000

Future value =?

Annual Percentage increase = 7.78%

Numbers of years = 2050 - 2015 = 35 Years

Place the value in the formula

Future value = $1,690,000  x ( 1 + 7.78% )^35

Future value = $23,266,067.23

Although it is generally the case that service systems have enough capacity, waiting lines result when __________ exceeds capacity for periods of time.

Answers

Answer:

Demand

Explanation:

In the case when the service systems contains sufficient capacity so the waiting lines would result the demand in excess of the capacity for the period of time

Therefore in the given case, the demand should be considered as it is relevant

hence, the answer is demand as it meets to the given situation

the graph above shows the domestic market for sandalwood in equilibrium at a price of $800 per kilogram in the absence of international trade. now assume the country begins to engage in international trade, and sandalwood is selling at a price of $600 per kilogram in the world market. which of the following would most likely result?

Answers

Answer:

I looked for a similar question in order to get the graph and found the missing options also:

A) The country would increase domestic production to become competitive in the world market.B) The country would export sandalwood, and its domestic consumer surplus would increase.C) The country would export sandalwood, and its total surplus would increase, with the domestic consumer surplus increasing by more than the domestic producer surplus decreases.D) The country would import sandalwood, and its total surplus would decrease, with both the domestic consumer surplus and the domestic producer surplus decreasing.E) The country would import sandalwood, and its total surplus would increase, with the domestic consumer surplus increasing by more than the domestic producer surplus decreases.

Options A, B and C are completely wrong, since the country would start importing sandalwood since the world price is lower until equilibrium is reached at $600 per kilogram.

That leaves us with options D and E. Option D must be ruled out because consumer surplus will increase while producer surplus will decrease.

The only option left is E:

sandalwood would be importeddomestic surplus increasessupplier surplus decreases

Marlin Corporation reported pretax book income of $1,018,000. During the current year, the net reserve for warranties increased by $28,600. In addition, book depreciation exceeded tax depreciation by $101,800. Finally, Marlin subtracted a dividends received deduction of $16,800 in computing its current year taxable income. Marlin's current income tax expense or benefit would be:

Answers

Answer: See explanation

Explanation:

From your question, you didn't tell us the tax rate to use. Let's assume a tax rate of 34% is used.

The following can be deduced from the question:

Reported pretax book income = $1,018,000

Add: Increase in warranty = $28600

Add: Excess depreciation = $101,800

Less: Dividends received deduction = $16,800

Adjusted income = $1131600

Marlin's current income tax expense or benefit would be:

= 34% × $1,131,600

= 0.34 × $1,131,600

= $384,744

how to be good at accountant

Answers

Answer:

Know how to count and be very precise in mathematics.

Explanation:

Must know who's to do the job well, before even taking it

Hope this helps!!

:D

Given the following​ information, what is the growth rate of nominal​ GDP? Upper Y0 real GDP​ = ​$1000 (in millions) Upper Y1 real GDP​ = ​$1100​(in millions) Upper Y 0 price level​ = 110 Upper Y 1 price level​ = 115 The growth rate of nominal GDP is

Answers

Answer:

A young person's top priority should be job security. d. ... markup (or cost-plus) pricing ... The demand curve for a good shows the same information as the demand ... For a given price range, which of the supply curves in the graph shown above is ... Calculate the growth in real GDP between years 1 and 2

Explanation:

Ten municipal bonds were purchased with 9% nominal yield for settlement on February 1, 2015. The maturity date of the bonds is July 1, 2035. What is the number of days of accrued interest on the 10-bond trade

Answers

Answer:

For 2015, the number of days of accrued interest will be:

330 days.

Explanation:

The accrued interest on the municipal bonds purchased with 9% nominal yield for settlement on February 1, 2015 will be 330 days (360 - 30), based on 360 days for a year.  The use of 360 days is based on day-count convention for municipal bonds while 30 days is used as the average for each month and 12 * 30 = 360 days.  For example, if the bonds are worth $100,000, then the accrued interest will be equal to $8,250.  This is calculated as ($100,000 * 9% * 330/360).

Rearden Metal has a bond issue outstanding with ten years to maturity, a yield to maturity of 8.6%, and a B rating. The corresponding risk-free rate is 3% and the market risk premium is 6%. Assuming a normal economy, the expected return on Rearden Metal's debt is closest to:

Answers

Answer: 4.6%

Explanation:

The options are:

A. 0.6%

B) 1.6%

C) 4.6%

D) 6.0%

From the question, we are told that Rearden Metal has a bond issue outstanding with ten years to maturity, a yield to maturity of 8.6%, and a B rating and that the corresponding risk-free rate is 3% and the market risk premium is 6%.

Assuming a normal economy, the expected return on Rearden Metal's debt will be:

= 3% + 0.26(6%)

= 0.03 + (0.26 × 0.06)

= 0.03 + 0.0156

= 0.0456

= 4.56%

= 4.6% approximately

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