The stock of Big Joe's has a beta of 1.28 and an expected return of 11.50 percent The risk-free rate of return is 4 percent What is the expected return on the market? a. 9. 86 percent b. 6.38 percent c. 7.50 percent d. 8.58 percent e. 12.62 percent

Answers

Answer 1

The risk-free rate of return is 4 percent. The expected return on the market is 9.86 percent.

The expected return on the market can be determined using the capital asset pricing model (CAPM), which calculates the expected return based on the risk-free rate of return, the beta of the stock, and the market risk premium.

The risk-free rate of return is given as 4 percent. The beta of the stock is given as 1.28, which represents the stock's sensitivity to market movements. The expected return of the stock is given as 11.50 percent.

The market risk premium is the difference between the expected return on the market and the risk-free rate of return. Using the CAPM formula, we can calculate the market risk premium by multiplying the beta by the market risk premium:

Market Risk Premium = Beta * (Expected Return on the Market - Risk-Free Rate of Return)

Substituting the given values, we have:

1.28 * (Expected Return on the Market - 4%) = 11.50% - 4%

Solving for the expected return on the market, we find:

Expected Return on the Market = (11.50% - 4%) / 1.28 + 4% = 9.86%

Therefore, the expected return on the market is 9.86 percent (option a).

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Related Questions

Company cost of capital (5/20 (8%) + (15/20 (20%) = 17%. The market value of Cable Company's equity is $60 million and the market value of its debt is $40 million. If the required rate of return on the equity is 15% and that on its debt is 5%, calculate the company's cost of capital (Assume no taxes)

Answers

The Company's cost of capital is 9.1%

Company's Cost of Capital: The cost of capital is the minimum rate of return that a company needs to earn to attract investors to purchase its stocks or bonds and finance its operations.

It's made up of the costs of equity and debt financing for a company. The cost of equity is the return required by investors to invest in the company, while the cost of debt is the return required by lenders. The cost of capital is calculated as a weighted average of these two costs given in percentage terms.

Calculating the cost of capital:

The formula for calculating the cost of capital:

WACC = (E/V × Re) + [(D/V × Rd) × (1 - Tc)]

where,

E is the total market value of the company's equity,

D is the total market value of the company's debt,

V = E + DRe is the cost of equity, Rd is the cost of debt,

E/V is the percentage of financing that is equity,

D/V is the percentage of financing that is debt,

Tc is the corporate tax rate.

The cost of capital can be calculated using the given values:

E = 60 million

D = 40 million

Total Value of the Company (V) = E + D = 60 + 40 = 100 million

Cost of Equity (Re) = 15%Cost of Debt (Rd) = 5%

Corporate Tax Rate (Tc) = 0%(as per the question it is assumed)

The weights are given in the question.

Equity weight = 60/100 = 0.6

Debt weight = 40/100 = 0.4

Plugging these values into the formula we get:

WACC = (E/V × Re) + [(D/V × Rd) × (1 - Tc)]

WACC = (0.6 x 15) + [(0.4 x 5) × (1 - 0)]

WACC = 9 + (0.02 x 5)

WACC = 9 + 0.1 = 9.1%

Therefore, Answer: 9.1%.

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A company may allow vending machines to be placed next to the cafeteria if 55% of the company's 631 employees ask for it. If 66% of the required 55% employees have already requested the vending machines, how many employees still need to put in a request? Select one: a. 347 b. 118 c. 229 d. 284

Answers

Answer: (B) 118

If 55% of 631 employees should ask for the vending machine, the number of employees that need to request the vending machine is:631 * 0.55 = 347.05 ≈ 347.

So, there need to be at least 347 requests for the vending machine.66% of the 55% employees have already requested, Therefore, the number of employees who have requested the vending machine so far is:347 * 0.66 = 229.02 ≈ 229. Hence the number of employees who still need to put in a request is:347 – 229 = 118 employees.

A machine that is designed to provide users with a diverse selection of goods: snacks, refreshments, pizzas, cupcakes, papers, tickets, and so on. A candy machine administers an item to the clients in light of how much cash embedded and determination of the item.

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Question 9 0.25 pts Table 1: The Euro Market Spot $/euro = 1.10 120-day forward rate $/euro = 0.99 As a speculator, I have formed the belief that the 120-day forward rate $/euro will be 1.05. I should therefore: Sell the euro in the forward market. Buy euro in the forward market Wait 120 days then sell the euro. O Wait 120 days then buy the euro.

Answers

As a speculator, the best course of action will be to buy the euro in the forward market. Therefore, option (B) is the correct choice.

As a speculator, if you believe that the 120-day forward rate $/euro will be 1.05, you expect the value of the euro to increase relative to the US dollar. In this scenario, you should take the following action:

Buy euro in the forward market.

By purchasing euro in the forward market at the current rate of 0.99, you would lock in a lower exchange rate than your predicted rate of 1.05. If your belief holds true and the euro does appreciate as expected, you can then sell the euro at a higher rate and make a profit.

Therefore, the correct action for you as a speculator, based on your belief, is to buy euro in the forward market.

Hence, option B is the right one.

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What are the differences in job analysis and job evaluation? How
do these practices help establish internally consistent job
structures?

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Job analysis and job evaluation are two distinct practices that contribute to establishing internally consistent job structures within an organization.

Job analysis involves gathering and analyzing information about the tasks, duties, responsibilities, and requirements of a particular job. It helps in creating accurate job descriptions and specifications.

Job evaluation, on the other hand, is a systematic process used to determine the relative worth or value of jobs within an organization. It compares jobs based on criteria such as complexity, skills required, and responsibilities.

These practices help establish internally consistent job structures by providing essential information about job content and requirements. Job analysis ensures that accurate job descriptions are in place, outlining the essential functions and qualifications needed. Job evaluation assesses job worth, allowing for the creation of a job hierarchy or grading system that ensures internal equity and fair compensation based on the relative value of jobs. Together, job analysis and job evaluation promote consistency and fairness in the organization's job structures, leading to improved HR practices and employee satisfaction.

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What are the main differences between common and preferred stocks?

Answers

The traded more frequently than preferred stock and has voting rights, which means that shareholders have the ability to vote on company decisions and the board of directors.

The key differences between preferred stock and common stock are as follows:

Preferred stock: It is less risky and more stable than common stock because it has a fixed dividend, which means that you will receive a fixed amount of money as a dividend regardless of the company's earnings. It is more costly than common stock because it pays a higher dividend and has a greater level of security. It usually pays dividends before common stock and has a senior position in the event of bankruptcy. Preferred shareholders, on the other hand, do not have voting rights.

Common stock:It is more volatile than preferred stock because it does not have a fixed dividend, which means that the dividend payout can vary depending on the company's earnings. It is more affordable than preferred stock because it pays a lower dividend and is less secure. It is less senior than preferred stock in the event of bankruptcy.

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The directors of Candice CC are concerned with the negative cash balance that has become a regular occurrence in the company. They requested you to assist them with compiling a cash budget for the coming months. The following information is provided:

January February March

Sales R150 000 R175 000 R170 000

Material purchases R54 000 R60 000 R72 000

Rent expense R15 000 R15 000 R16 000

Other expenses R90 000 R95 000 R97 000

Other expenses include a depreciation charge of R10 000 per month. Historical records indicate the following for sales:

• Cash amounts to 10% of total sales

• Credit sales amounts to 90% of total sales; of which:

o 60% pay one month after sale

o 35% pay two months after the sale

o 5% is classified as bad debts

Similar statistics for material purchases payments:

o Payments are in cash for 20% of purchases

o All credit payments are made one month after the purchase. The cash balance on 1 March 20.22 was R6 500 unfavourable.

REQUIRED: QUESTION 5 Marks

Prepare a cash budget for Candice CC for the month of March 2022.

Show all calculations clearly. Round all calculations and your final answer to 2 decimals.

Answers

Cash budget is a comprehensive projection of an organization's cash inflows and outflows over a specific time period, generally a month.

A cash budget is designed to estimate future cash surpluses or deficits, allowing organizations to optimize their cash flow by scheduling their operations to match their cash inflows and outflows. It aids in determining the quantity of money required for a company's day-to-day operations.

Cash budget for Candice CC for the month of March 2022.

Sales:

Credit Sales = 90% of R170 000

= R153 000

Cash Sales = 10% of R170 000

= R17 000

Total Sales = R170 000

Material Purchases:

80% of R72 000 = R57 600 will be bought on Credit

20% of R72 000 = R14 400 will be bought with Cash

Rent Expense = R16 000

Other Expenses = R97 000

Depreciation Charge = R10 000 per month

Total Cash Disbursements = R140 000

Cash balance on 1 March 20.22 was R6 500 unfavourable.
Cash Receipts for March 2022:

  Month           Sales               Credit Collection             Cash Sales            Total Collections

January         R150 000            R90 000 (60%)             R45 000 (30%)            R135 000

February       R175 000             R105 000 (60%)            R52 500 (30%)           R157 500

March            R170 000            R122 850 (60%+35%)      R17 000                     R139 850

Total Cash Receipts R432 350

Cash Payments for March 2022:

Rent R16 000

Other Expenses R97 000

Material Purchases R57 600

Cash Payment for Material Purchases R14 400

Depreciation Charge R10 000

Total Cash Payments R195 000

Expected Ending Cash Balance:

Total Cash Receipts = R432 350

Total Cash Payments = R195 000

Add: Beginning Cash Balance = R6 500

Less: Required Minimum Cash Balance = R0

Expected Ending Cash Balance = R243 850

Therefore, the expected ending cash balance for Candice CC in March 2022 is R243 850. This indicates that the company will have a positive cash balance at the end of the month.

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Wildhorse uses the units-of-production method to calculate depreciation on its taxicabs. Each cab is expected to be driven 314,700 km over its life. Taxi 10 was purchased on March 1, 2020, for $31,970 and is expected to have a residual value of $500. Taxi 10 was driven 127,160 km in 2020 and 111,530 km in 2021. Wildhorse has a December 31 year end. Calculate the depreciation expense on Taxi 10 for 2020 and 2021.

Answers

The depreciation expense using the units-of-production method on Taxi 10 for 2020 is $12,176 and for 2021 is $11,153.

Depreciation per kilometer = (Initial Cost - Residual Value) / Total Expected Kilometers

Depreciation per kilometer = ($31,970 - $500) / 314,700 km

Depreciation per kilometer = $0.1 per km

Depreciation expense for 2020 = Depreciation per kilometer × Kilometers driven in 2020

Depreciation expense for 2020 = $0.1 per km × 127,160 km

Depreciation expense for 2020 = $12,716

Depreciation expense for 2021 = Depreciation per kilometer × Kilometers driven in 2021

Depreciation expense for 2021 = $0.1 per km × 111,530 km

Depreciation expense for 2021 = $11,153

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An online toy store has a directive that "Failure to deliver the ordered toy within three hours will lead to issuing a warning followed by dismissal if the act is repeated". Specify the part of the standing plan that the statement represents.

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An online toy store has a directive that "Failure to deliver the ordered toy within three hours will lead to issuing a warning followed by dismissal if the act is repeated", specify the part of the standing plan that the statement represents the contingency plan of the online toy store.

A standing plan is an organizational plan that continues to be used as a pattern or model to be followed, this is achieved through the use of guiding principles and policies. The organization will establish contingency plans as a way to address unexpected events or emergencies. A contingency plan is a backup plan that is put in place in case an event or situation arises that has not been anticipated.

It specifies the actions that must be taken to address the situation in question. The online toy store's directive that "failure to deliver the ordered toy within three hours will lead to issuing a warning followed by dismissal if the act is repeated" is a specific contingency plan that will be put in place to address the unexpected event of a delivery failure. So therefore the statement represents the contingency plan of the online toy store.

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Maury and John are opening a paint store. There are no competing paint stores in the area. They must decide how to organize the business. They anticipate profits $150,000 the first year, with the ability to sell franchises in the future. Although they have enough to start the business now as a partnership, cash flow will be an issue as they grow. They feel the corporate form of operation will be best for the long term. They seek your advice.
Read the requirements.
1. What is the main advantage they gain by selecting a corporate form of business now?
2. Would you recommend they initially issue preferred or common stock? Why?
3. If they decide to issue $10 par common stock and anticipate an initial market price of $35 per share, how many shares will they need to issue to raise $1,750,000?
Requirement 1. What is the main advantage they gain by selecting a corporate form of business now?
By selecting the corporate form of business now, Maury and John will
A. avoid the double taxation that affects partnerships and proprietorships.
B. be able to transfer ownership without affecting the continuity of the company.
C. benefit from the ability to exercise mutual agency within a corporation.

Requirement 2. Would you recommend they initially issue preferred or common stock? Why? You would recommend that Maury and John initially issue stock because
Requirement 3. If they decide to issue $10 par common si many shares will they need to issue to raise $1,750,000? The number of shares to issue in order to raise $1,750,000 common preferred initial market price of $
Requirement 2. Would you recommend they initially issue preferred or common stock? Why? You would recommend that Maury and John initially issue stock because initial market p a corporation can only issue a small amount of common stock a share of common stock costs more than a share of preferred stock a share of preferred stock costs more than a share of common stock dividends generally must be paid on preferred stock
Requirement 3. If they decide to issue $10 par common stock and anticipate an initial market price of $35 per share, how many shares will they need to issue to raise $1,750,000? The number of shares to issue in order to raise $1,750,000 is

Answers

They would need to issue 50,000 shares of $10 par common stock to raise $1,750,000.

Answer to the questions

1. The main advantage they gain by selecting a corporate form of business now is the ability to separate personal and business liabilities.

2. It would be recommended for Maury and John to initially issue common stock. Common stock represents ownership in the company and provides voting rights to the shareholders.

3. To raise $1,750,000 by issuing $10 par common stock with an initial market price of $35 per share, they would need to issue:

Number of shares = Amount to raise / Market price per share

Number of shares = $1,750,000 / $35

Number of shares = 50,000 shares

Therefore, they would need to issue 50,000 shares of $10 par common stock to raise $1,750,000.

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Eployee at LaserKinetics.com borrows $10,000 on May 1 and must repay a total of $10,700 exactly 1 year later. Determine the -t amount and the interest rate paid.

Answers

The amount borrowed by the employee of Laser Kinetics.com is $10,000. The total amount to be repaid by the employee is $10,700. The time period for repayment is 1 year or 12 months.To calculate the interest rate and -t amount, we need to use the simple interest formula which is as follows;I = P × r × t Where,I = Simple Interest P = Principal or amount borrowed = Interest rater = Time period-the -t amount is the amount that will be paid as interest.

To calculate the -t amount, we will rearrange the formula.I = P × r × t-t = I/P × r Substituting the given values;P = $10,000I = $10,700 - $10,000 = $700t = 12 months = 1 year Thus,-t = $700/$10,000 × 1 = 0.07 or 7%The interest rate paid is 7%. Therefore, the -t amount is $700, and the interest rate paid is 7%.

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urgent I need it as soon as possible
Arabian Gulf Corporation reports the following stockholders' equity section on December 31, 2020. - Common stock; $10 par value; 500,000 shares authorized; 200,000 shares issued and outstanding $ 2,00

Answers

The stockholders' equity section on December 31, 2020, includes $2,000,000 of common stock with a $10 par value.

On December 31, 2020, Arabian Gulf Corporation disclosed its stockholders' equity section, which provides insight into the company's ownership structure and the value of shareholders' investments. The stockholders' equity section includes details about the common stock, including its par value, authorized shares, and the number of shares issued and outstanding.

In this case, Arabian Gulf Corporation reported that it has common stock with a par value of $10. Par value represents the nominal value assigned to each share of stock and is typically set at a low amount to comply with legal requirements. In this instance, the par value of $10 indicates that each share has a minimum value of $10.

The disclosure further reveals that the company has authorized 500,000 shares of common stock. Authorized shares refer to the maximum number of shares that the corporation is legally permitted to issue. However, it is important to note that authorized shares do not necessarily reflect the actual number of shares issued.

Out of the authorized shares, Arabian Gulf Corporation reported that 200,000 shares have been issued and outstanding. Issued shares refer to the number of shares that have been issued by the company to shareholders, while outstanding shares represent the shares currently held by investors.

Based on the given information, the total value of the common stock can be calculated by multiplying the par value ($10) by the number of shares issued and outstanding (200,000 shares). Therefore, the common stock has a value of $2,000,000.

It is crucial to note that the stockholders' equity section may contain additional components, such as retained earnings, additional paid-in capital, and accumulated comprehensive income, which provide a comprehensive view of the shareholders' equity in the company. However, the given information solely focuses on the common stock aspect of Arabian Gulf Corporation's stockholders' equity as of December 31, 2020.

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1. What is the role and function of transport in the growth of the economy.

2. Differentiate between transport and logistics.

3. Critically discuss the benefits of transport systems.

4. The economic impacts of road supply are the effects a road project has on the economy of an area: the case of N2 Wild Coast Road that will pass a number of communities. Briefly discuss this.

5. Analyze sustainable urban transport and land use in South Africa.

6. Why transport is regarded as a derived demand?

7. Outline the assumptions that relates the number of trips being produced from a zone or site by time period to the land use and demographic characteristics found at that location.

8. Distinguish between public and private transport. NB. Provide practical examples

Answers

1. The transport system plays an important role in the growth of an economy by enabling the movement of goods and services.

2. Transport and logistics are different. Transport refers to the movement of goods and people, while logistics involves the management of goods or services.

3. Benefits of transport systems include creating job opportunities, connecting people, promoting trade, and supporting economic growth.

4. The economic impacts of road supply refer to the effects that road projects have on the economy of an area. The N2 Wild Coast Road will pass through several communities and provide new employment opportunities.

5. Sustainable urban transport and land use involve designing and implementing transportation systems that meet the needs of residents while reducing carbon emissions.

6. Transport is regarded as a derived demand because it is demanded as a result of the need to move goods and services.

7. The number of trips being produced from a site by time period is related to the land use and demographic characteristics found at that location. Assumptions that relate to this include the size of the population and the availability of public transport.

8. Public transport is a shared mode of transport that is open to everyone, while private transport is for individual use. Examples of public transport include buses, trains, and taxis, while private transport includes cars, bikes, and planes.

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Explain the following keywords
1. Dedicated ecotourists
2. Hardcore ecotourists
3. Volunteer ecotourism

Answers

1. Dedicated ecotourists: Dedicated ecotourists are individuals who are deeply committed to the principles of ecotourism.

2. Hardcore ecotourists: Hardcore ecotourists are a subset of dedicated ecotourists who take their commitment to ecotourism to the extreme.

3. Volunteer ecotourism: Volunteer ecotourism involves travelers actively participating in conservation or community development projects while traveling.

Dedicated ecotourists: Dedicated ecotourists are individuals who are deeply committed to the principles of ecotourism. They actively seek out destinations and activities that align with their values of environmental conservation, sustainability, and responsible travel.

These individuals prioritize visiting natural areas and engaging in activities that have minimal negative impact on the environment and local communities. Dedicated ecotourists may choose accommodations and tour operators that have eco-certifications, support local conservation initiatives, or contribute to the well-being of local communities.

Hardcore ecotourists: Hardcore ecotourists are a subset of dedicated ecotourists who take their commitment to ecotourism to the extreme. They are typically highly experienced and knowledgeable about environmental issues and actively seek out challenging and remote destinations.

Hardcore ecotourists may engage in physically demanding activities such as trekking, mountaineering, or diving in pristine and fragile ecosystems. They often prioritize direct contact with nature and wildlife, seeking unique and immersive experiences.

Hardcore ecotourists are dedicated to minimizing their ecological footprint, and they may go to great lengths to ensure their travel and activities have minimal impact, sometimes even foregoing modern conveniences and luxuries.

Volunteer ecotourism: Volunteer ecotourism involves travelers actively participating in conservation or community development projects while traveling. It combines elements of ecotourism and volunteerism, allowing individuals to contribute their time, skills, and resources to environmental or social causes.

Volunteer ecotourism programs can vary widely, from assisting with wildlife conservation efforts, participating in habitat restoration projects, or engaging in community development initiatives. Participants often work alongside local communities, organizations, or researchers to address environmental challenges and promote sustainable practices.

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f ion 1. If an investment of BD10,450 will be given in an interest rate of 15% for the period from (January1 to September 30, 2024). What is the value of the exact simple interest and the total payabl

Answers

The exact simple interest on an investment of BD10,450 at a 15% interest rate for the period from January 1 to September 30, 2024, is BD1,174.63. The total payable amount, including the principal and interest, is BD11,624.63.

The value of the exact simple interest can be calculated as follows:

Interest = Principal * Rate * Time

Where:

Principal = BD10,450

Rate = 15% (0.15 as a decimal)

Time = 9 months (January to September)

Plugging in the values:

Interest = BD10,450 * 0.15 * (9/12)

Interest = BD1,174.625

The value of the exact simple interest is BD1,174.63.

To calculate the total payable amount, we add the interest to the principal:

Total Payable = Principal + Interest

Total Payable = BD10,450 + BD1,174.63

Total Payable = BD11,624.63

Therefore, the value of the exact simple interest is BD1,174.63, and the total payable amount is BD11,624.63 for the investment of BD10,450 at an interest rate of 15% for the period from January 1 to September 30, 2024.

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on april 1, a company purchased two units of inventory, a and b. the cost of unit a was $645, and the cost of unit b was $595. on april 30, the company had not sold the inventory. the net realizable value of unit a was now $665 while the net realizable value of unit b was $510. the adjusting entry associated with the lower of cost and net realizable value on april 30 will be: event account title debit credit 1. cost of goods sold 65 1. inventory 65 2. inventory 65 2. cost of goods sold 65 3. cost of goods sold 85 3. inventory 85 4. inventory 85 4. cost of goods sold 85

Answers

The adjusting entry associated with the lower of cost and net realizable value on April 30 will be: 2. Inventory $65 2. Cost of Goods Sold $65

The adjustment required to represent the reduced net realizable value of Unit B ($510) in comparison to its initial cost ($595) is reflected in this entry. The $85 difference ($595 - $510) is recorded as a decrease in the value of the inventory, which is debited from the Cost of Goods Sold account. The Inventory account is concurrently credited with the equivalent sum to reflect the decline in the value of the inventory.

The decreased value of the inventory and the related decline in potential future revenue is appropriately reflected in the financial statements thanks to this adjustment.

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Please revise the paragraphs below on the vehicle market. Don’t worry about length; instead, find subjects and agents (verbs hidden in nouns) and rewrite the paragraph in Plain Language. Do your best to limit passive voice, strings of prepositional phrases, and nominalizations*. Also, your revision should NOT change the original meaning of the paragraph. Think about the entire paragraph first, and then revise.

It is noted that sales of existing inventory have made a falling for five months in a row ending in the month of November as the once-booming vehicle market slowed further. On Friday a report stating that existing vehicle sales made a slippage in the nature of 0.67 percent to an annual rate of 6.23 million units was made by The Dealers Vehicle Association . Pre-owned vehicle prices have also experienced a drop in value due to the slowdown in sales, and it is duly noted that the average median price of an existing vehicle sold in November dropped to $65,000, which is 2.14 percent below last year. This current situation is now signifying the first year-over-year price decline in more than 12 years. A report last week that production of new hatchbacks and coupes plunged by 6 percent in November has now been followed by the weakness in pre-owned vehicle sales. This weakness is the cause pushing factory activity to the lowest level since early 2021.

Answers

The vehicle market has been experiencing a slowdown with sales of existing inventory falling for five months consecutively until November.

The Dealers Vehicle Association has released a report showing a decline of 0.67 percent in existing vehicle sales to an annual rate of 6.23 million units. The value of pre-owned vehicles has also declined due to the slowdown in sales.

It is noted that the average median price of existing vehicles sold in November has fallen to $65,000, which is 2.14 percent less than last year, signifying the first year-over-year price decline in more than 12 years.

Factory activity has decreased, following a 6 percent decline in new hatchback and coupe production reported last week, due to the weakness in pre-owned vehicle sales.

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Evaluate the financial statement for a company of your choice and write a report of 6 to 8 pages (Excluding index and references). In the paper explain the areas of improvement identified through ratio analysis. following the table of contents below.

1.0 Executive Summary

1.1 Introduction

2.0 Company Financial Situation – A Graphical Look and Explanation

3.0 Financial statement analysis over 5 years & Industry Comparisons

4.0 Areas of Improvement
5.0 Conclusion

Answers

This report analyzes the financial statements of McDonald's Corporation for five years from 2015 to 2019 and compares them to the fast food industry in order to recognize areas of improvement for the corporation.

The report includes the following sections:

1.0 Executive Summary

- Provide a concise overview of the report, highlighting the key findings and recommendations.

1.1 Introduction

- Introduce the purpose and scope of the report.

- Briefly describe the chosen company and its industry.

2.0 Company Financial Situation – A Graphical Look and Explanation

- Present key financial statements (balance sheet, income statement, and cash flow statement) of the company for the past five years.

- Use graphs or charts to visually represent the financial data.

- Provide an explanation of the trends and changes observed in the financial statements.

3.0 Financial Statement Analysis over 5 Years & Industry Comparisons

- Conduct a detailed analysis of the financial statements using ratio analysis.

- Calculate and analyze profitability ratios, liquidity ratios, solvency ratios, and efficiency ratios.

- Compare the company's ratios to industry benchmarks or competitors to assess its performance.

4.0 Areas of Improvement

- Identify specific areas of weakness or concern based on the ratio analysis.

- Discuss the significance of these areas in relation to the company's overall financial health.

- Suggest possible strategies or actions to address the identified areas of improvement.

5.0 Conclusion

- Summarize the key findings from the analysis.

- Reiterate the areas of improvement and their potential impact on the company.

- Provide a final recommendation or conclusion based on the findings.

Remember, it is crucial to have access to accurate and up-to-date financial information about the chosen company to perform a thorough analysis.

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An investor starts off owning the market portfolio. She then identifies a stock with positive alpha and decides to add some of it to her portfolio. Adding a small amount of the stock is guaranteed to:

A. Increase the portfolio’s Sharpe Ratio.
B. Decrease the portfolio’s Sharpe Ratio.
C. Increase the portfolio’s variance.
D. Without knowing the correlation between this stock and the market portfolio, we don’t know whether it increases the portfolio’s Sharpe Ratio or not.

Please provide the answer with an explanation

Answers

The answer to the given problem is option A.

Adding a small amount of stock to the investor's portfolio will increase the portfolio's Sharpe Ratio.

What is Sharpe Ratio?

The Sharpe Ratio is a method used to calculate risk-adjusted returns by comparing a portfolio's returns to the returns on a risk-free asset. In other words, it measures how much return an investment is expected to earn per unit of risk undertaken. The higher the Sharpe Ratio, the more efficient the portfolio is at producing returns.

What is Alpha?

Alpha is a metric used in finance to measure the excess returns of an investment relative to its benchmark index. It is a measure of the investment manager's skill, indicating how much the manager outperformed the benchmark after adjusting for market risk. A positive alpha indicates that the investment outperformed its benchmark index by a greater margin than would be expected by its risk level alone. The opposite is true for negative alpha. Thus, The answer to the given question is option A.

Adding a small amount of stock to the investor's portfolio will increase the portfolio's Sharpe Ratio. This is because the stock has a positive alpha, which means that it will help the portfolio outperform its benchmark index. By adding this stock to the portfolio, the investor will increase the expected returns of the portfolio, while only adding a small amount of risk. This will lead to an increase in the Sharpe Ratio.

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GDP per capita is a measure of prosperity because it divides the total GDP of a country by its population. Which of the below forecasts for a country would result in the highest GDP per capita growth? a. An increase of 4% in GDP and a population growth of 3%
b. An increase of 0% in GDP and a population decline of 0.5% c. An increase of 2% in GDP and a population growth of 0% d. An increase of 2% in GDP and a population growth of 0.5%

Answers

The forecast that would result in the highest GDP per capita growth is d. An increase of 2% in GDP and a population growth of 0.5%.

GDP per capita is a measure of prosperity as it indicates the average economic output per person in a country. To calculate GDP per capita, the total GDP of a country is divided by its population. Therefore, for higher GDP per capita growth, we would want to see a higher increase in GDP relative to the population growth rate.

In option d, there is a 2% increase in GDP, which indicates economic growth, and a population growth of 0.5%. This combination results in a higher GDP per capita growth compared to the other options. Even though options a and c have a higher GDP growth rate, the population growth rate in option d is lower, leading to a higher GDP per capita growth.

While population decline (option b) may result in a temporary increase in GDP per capita, in the long term, sustaining GDP growth without population growth becomes challenging. Therefore, option d, with a moderate GDP growth rate and a smaller population growth rate, would lead to the highest GDP per capita growth.

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Which pricing strategy makes more sense when economies of scale are important? O Skimming pricing O Penetration pricing O Competition-based pricing O Economies of scale are not relevant for pricing decision

Answers

Economies of scale refer to the concept that as production volume increases, the cost per unit decreases.

It is a popular cost-saving strategy used in the manufacturing and distribution of products. When it comes to setting prices, the pricing strategy that makes more sense when economies of scale are important is Penetration pricing.Penetration pricing is the practice of setting a low initial price for a new product or service to attract consumers and capture a large market share. This pricing strategy is usually employed when a new product is launched into a highly competitive market. A lower price makes the product more attractive to consumers, which increases demand. This increase in demand leads to higher production volume and the ability to take advantage of economies of scale.

Economies of scale occur when the cost of production per unit of output decreases as output increases. This is because the fixed cost of producing goods is spread out over a larger number of units. As a result, the company can lower the price of the product while maintaining a healthy profit margin and capturing a larger market share.Penetration pricing is, therefore, the best pricing strategy to employ when economies of scale are important. A lower price will lead to a higher volume of sales, which in turn will lead to increased production volume and economies of scale.

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A) Compare economic and non-economic arguments that
nations use to justify protection for particular
industries.
B). The graph below shows the domestic market of
bicycles. Assume the world price of is

Answers

Economic arguments for bicycles are that they can help reduce costs associated with fuel, maintenance, and traffic congestion. Non-economic arguments include their environmental benefits and their promotion of physical fitness.

Bicycles have both economic and non-economic benefits. Economic arguments for bicycles include the fact that they are a cost-effective alternative to cars. Bicycles do not require fuel or expensive maintenance, and they do not contribute to traffic congestion. This makes bicycles an attractive option for people who want to save money on transportation costs.

Non-economic arguments for bicycles focus on the environmental and health benefits they provide. Bicycles are an environmentally friendly form of transportation that produce zero emissions. They also promote physical fitness and can help reduce obesity rates.

In conclusion, bicycles have both economic and non-economic benefits. Economic arguments focus on the cost savings associated with bicycles, while non-economic arguments focus on their environmental and health benefits. Bicycles are a practical and sustainable form of transportation that offer a range of benefits to individuals and society as a whole.

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Find the interest rate implied by the following combinations of present and future values: (Leave no cells blank - be certain to enter "0" wherever required. Do not round intermediate calculations. Round your answers to 2 decimal places)
Present Value Years Future Value Interest Rate
$ 320 11 $ 674 %
143 4 209 %
220 7 220 %

Answers

The interest rate implied by the given combinations of present and future values are as follows: 11 years with a present value of $320 and a future value of $674 implies an interest rate of 5.47%.

4 years with a present value of $143 and a future value of $209 implies an interest rate of 7.82%. 7 years with a present value of $220 and a future value of $220 implies an interest rate of 0.00%.

To determine the interest rate implied by the combinations of present and future values, we can use the formula for compound interest. The formula is as follows: Future Value = Present Value * (1 + Interest Rate)^Years. By rearranging the formula, we can solve for the interest rate. However, it is important to note that the calculation involves solving for an unknown exponent, which may require the use of logarithms or specialized financial calculators.

In this case, the interest rates have been calculated to be 5.47%, 7.82%, and 0.00% for the respective combinations of present and future values.

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if martha donates $20, is she acting in her own self-interest? explain your answer

Answers

No, if Martha donates $20, she may not be acting solely in her own self-interest. Therefore, Martha's act of donating $20 can be seen as an altruistic or philanthropic behavior rather than solely driven by self-interest.

Self-interest typically refers to actions or decisions that prioritize one's own personal gain or benefit. However, individuals can engage in acts of altruism or philanthropy where they willingly and voluntarily contribute resources, such as money, time, or effort, for the well-being or benefit of others or a cause they believe in. In the case of Martha donating $20, her action suggests that she is willing to give up her own resources for a charitable purpose or to support a cause that she values. While it may not directly benefit her in terms of personal financial gain, Martha's decision to donate could be motivated by empathy, compassion, a desire to make a positive impact or alignment with her personal values and beliefs.

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Question 1 Joshua graduated from college and began working in the family restaurant business. At the end of the third month of the first year he began putting R7 440,00 per quarter in an individual retirement account and contributed to it for a total of ten years. The account earned interest at 11% per annum, compounded quarterly. The amount that was available to him after the ten years is [1] R1614 466.15. [2] R179141,07. [3] R22 021,46. R530 235,00 Question 2 Upon their retirement in a meeting with their advisor, mr and mrs Moraba determined the amount that they will need in order to live comfortably. They expect a 20-year retirement period. How much should mr and mrs Moraba deposit now in a bank account paying 7,5% interest per year, compounded yearly to be able to withdraw the amount of R480 700 at the end of each year, starting one year from now? [1] R20816560,32 [2] R2041 942,02 13] R4900 492,00 R1 201 750,00

Answers

The amount that was available to Joshua after the ten years is R1614 466.15.

After the third month of the first year, he began putting R7 440,00 per quarter in an individual retirement account and contributed to it for a total of ten years. The account earned interest at 11% per annum, compounded quarterly. Joshua's calculation would have been [(1 + (0.11/4))^(4*10)] * (4*7,440) - 1 * [((1 + (0.11/4))^(4*10)) / (0.11/4)] = R1,614,466.15.


Mr and Mrs Moraba should deposit R2041 942,02 in a bank account paying 7.5% interest per year, compounded yearly to be able to withdraw the amount of R480 700 at the end of each year, starting one year from now. To arrive at this answer, you can use the annuity formula, which is An = (P * (1 + r) ^n - 1) / r, where An is the annual amount required, P is the present value, r is the annual interest rate, and n is the number of years. Therefore, P = (A * r) / ((1 + r) ^n - 1) = R2041942.02.

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The ability to reason well is necessary for modern workers because __________.
a.
Communication with other workers will be difficult
b.
Creativity is not valued in the modern workplace
c.
They will often have to solve problems with limited information
d.
Most problems will be straight-forward and easy to solve

Answers

Answer:

C. Or D.

Explanation:

Most Work problems are easy to solve depending on what is the cause of the situation. If you don't have the nesassary Resourses to solve that problem you must find out a way to work out that problem without what you need sometimes.

Answer: it’s C just took the Ed test

Explanation:

Different cash flow. Given the following cash inflow at the end of each year, . what is the future value of this cas flow at 6%, 10%, and 18% interest rates at the end of year 7?

Answers

The given cash inflows at the end of each year for 7 years, an interest rate of 6%, 10%, and 18% will be used to determine the future value of the cash flow at the end of year 7.Using compound interest formula; FV= PV(1+i)n where; FV= Future value PV= Present value i= interest rate n= number of years

Calculating future value at 6%;FV= $1,000(1+0.06)7FV= $1,000(1.503)= $1,503.08C alculating future value at 10%;FV= $1,000(1+0.10)7FV= $1,000(1.967)= $1,967.15Calculating future value at 18%;FV= $1,000(1+0.18)7FV= $1,000(4.854)= $4,854.06Therefore, the future value of this cash flow at 6%, 10%, and 18% interest rates at the end of year 7 are $1,503.08, $1,967.15, and $4,854.06 respectively. This is because the higher the interest rate, the higher the future value of the cash flow, and vice versa.

This can be attributed to the compounding effect, which makes the future value of cash flows grow exponentially over time. Cash flow refers to the amount of cash generated or consumed by a business or an investment. It is an essential metric for determining the viability and profitability of a business or investment. One way to determine the future value of cash flow is by using the compound interest formula. This formula takes into account the present value, the interest rate, and the number of years to calculate the future value of the cash flow. The higher the interest rate, the higher the future value of the cash flow, and vice versa. This is because the interest rate determines the rate at which the cash flow grows over time. In other words, the interest rate has a compounding effect on the future value of the cash flow. Therefore, it is crucial to consider the interest rate when determining the future value of cash flow.

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Unions Group of answer choices and firms paying wages above equilibrium to improve worker effort both create structural unemployment. creates frictional unemployment, while firms paying wages above equilibrium to improve worker effort creates structural unemployment. and firms paying wages above equilibrium to improve worker effort both create frictional unemployment. creates structural unemployment, while firms paying wages above equilibrium to improve worker effort creates frictional unemployment.

Answers

Answer:

And firms paying wages above equilibrium to improve worker effort both create structural unemployment

Explanation:

In the case when union and firm would pay the wages that are over & above equilibrium in order to improve the effort of the workers so this would happen to develop the structural unemployment as it deals with the change in the technology

So first option is correct

But the other options would be considered incorrect




Assume an investor deposits $115,000 in a professionally managed account. One year later, the account has grown in value to $141,000 and the investor withdraws $46,000. At the end of the second year,

Answers

Answer:

Assuming an investor deposits $115,000 in a professionally managed account.

One year later, the account has grown in value to $141,000 and the investor withdraws $46,000. At the end of the second year, the account balance would be $100,900.How much would remain in the account at the end of the second year? During the first year, the investor's account grew in value to $141,000. Therefore, during the first year, the account's earnings are: $141,000 - $115,000 = $26,000.During the first year, the investor withdraws $46,000. Therefore, at the end of the first year, the account balance is $141,000 - $46,000 = $95,000.During the second year, the account earns interest on the $95,000 balance. The account grows to $100,900 at the end of the second year.Therefore, the amount remaining in the account at the end of the second year is $100,900.

About investor's

Investor is a term that refers to someone who invests in a company with the hope that the nominal value given will grow. In general, every industry requires individuals or groups to fill these positions. There are various things that need to be considered in order to become an investor, such as the benefits it generates as well as the risks that need to be faced and considered carefully before investing.

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Human Resources: Motivating Employees through compensation
Explain external vs internal equity as well as differentiation
vs cost strategy in compensation.

Answers

External equity refers to how the organization's pay rates relate to the pay rates of other organizations in the market that are competing for the same workers.

Internal equity refers to how an organization's pay rates relate to one another in its own organization.In differentiation strategy in compensation, companies pay employees in accordance with the importance of their job and the level of value they provide to the company.

A cost strategy, on the other hand, focuses on reducing compensation to employees in order to cut costs.

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Currently, the USD/MXN rate is 19.5400 and the three-month forward exchange rate is 20.1800. The three-month interest rate is 3.7% per annum in the U.S. and 6.7% per annum in Mexico. Assume that you can borrow MXP10,000,000 or its equivalent in USD. How much do you make/lose if you borrow locally and invest abroad?

Answers

You make a profit of 159.98% when you borrow locally and invest abroad.

Given information:

Spot rate of USD/MXN = 19.5400

Forward rate of USD/MXN = 20.1800

Three-month interest rate in the US = 3.7%

Three-month interest rate in Mexico = 6.7%

Borrowing = MXP 10,000,000

To find:

How much do you make/lose if you borrow locally and invest abroad?Solution:

We know that for covered interest arbitrage, the investor will borrow in the country with lower interest rates and invest in the country with higher interest rates by using forward contracts, thereby covering against any exchange rate risk.Let's calculate the arbitrage profit.

Step 1: Borrowing locally MXP 10,000,000 can be converted to USD using the spot rate.

1 MXP = 0.05108 USD10,000,000 MXP

= 10,000,000 × 0.05108 USD

= $510,800 is borrowed in the US.

Step 2: Investing abroad The borrowed amount of $510,800 can be invested in Mexico for three months at a 6.7% annual interest rate.Compound interest for three months

= $510,800(1 + 0.067/4)^(4/12) - $510,800

= $510,800(1.01675)^0.3333 - $510,800

= $510,800 × 1.005564 - $510,800

= $514,481.92

Step 3: Forward contract

At the end of three months, the investment of $514,481.92 should be converted back to USD using the forward rate of 20.1800.So, 514,481.92/20.1800= MXP 25,998,368.16

The MXP liability at the end of three months is MXP 25,998,368.16, which is much higher than the MXP 10,000,000 that was initially borrowed.Profit from Covered Interest Arbitrage

= (MXP Liability – Amount Borrowed) ÷ Amount Borrowed

Profit from Covered Interest Arbitrage

= (MXP 25,998,368.16 – MXP 10,000,000) ÷ MXP 10,000,000

Profit from Covered Interest Arbitrage

= 1.59984, or 159.98%

Therefore, you make a profit of 159.98% when you borrow locally and invest abroad.

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