Mercer Corp. has 10 million shares outstanding and $135 million worth of debt outstanding. Its current share price is $64. Mercer's equity cost of capital is 8.5%. Mercer has just announced that it will issue $333 million worth of debt. It will use the proceeds from this debt to pay off its existing debt, and use the remaining $198 million to pay an immediate dividend. Assume perfect capital markets. a. Estimate Mercer's share price just after the recapitalization is announced, but before the transaction occurs. b. Estimate Mercer's share price at the conclusion of the transaction. (Hint: Use the market value balance sheet.) c. Suppose Mercer's existing debt was risk-free with a 4.58% expected return, and its new debt is risky with a 5.08% expected return. Estimate Mercer's equity cost of capital after the transaction.

Answers

Answer 1

a. The share price after the recapitalization is announced, but before the transaction occurs, would be $83.80.

b. The share price at the conclusion of the transaction would be $83.80.

c. Mercer's equity cost of capital after the transaction would be 10.84%.

a. Before the transaction occurs, the current market value of the firm is the sum of the market value of equity and debt outstanding. Mercer's market value of equity is $64 × 10 million = $640 million. The total market value of the firm is $640 million + $135 million = $775 million.

If Mercer issues $333 million worth of debt and uses $135 million to pay off existing debt, the remaining debt to be repaid would be $333 million – $135 million = $198 million. The market value of equity is assumed to remain the same at $640 million, so the total market value of the firm would be $640 million + $198 million = $838 million.

Therefore, the share price after the recapitalization is announced, but before the transaction occurs, would be $838 million ÷ 10 million = $83.80.

b. The market value balance sheet would show the market value of the firm's assets, liabilities, and equity after the transaction has been completed. The market value of the assets would remain the same, but the market value of equity and debt would change.

The market value of equity would be the same as before, $640 million. The market value of debt would be $198 million because this is the amount of new debt that remains after paying off existing debt. The total market value of the firm would be $640 million + $198 million = $838 million.

Therefore, the share price at the conclusion of the transaction would be $838 million ÷ 10 million = $83.80.

c. The equity cost of capital is given by the CAPM formula:
rE = rRF + β (rM − rRF)
where:
rRF = risk-free rate of return
β = beta
rM = expected return on the market

We need to calculate the beta of Mercer's equity after the transaction. The formula for the new beta is:
βNew = βOld [1 + (1 − τ) (D/E)]
where:
βOld = old beta
τ = tax rate
D/E = ratio of market value of debt to market value of equity

Before the transaction, the debt-to-equity ratio was:
D/E = $135 million / $640 million = 0.211

After the transaction, the debt-to-equity ratio would be:
D/E = $198 million / $640 million = 0.309

Therefore,
βNew = 1.20 [1 + (1 − 0.35) (0.309 − 0.211)] = 1.30

The tax rate is assumed to be 35%.

Now we can calculate the equity cost of capital:
rE = 4.58% + 1.30 (8% − 4.58%) = 10.84%

Therefore, Mercer's equity cost of capital after the transaction would be 10.84%.

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Related Questions

Which best characterizes the way Petruchio treats his servant?

Select one:

just the way Lucentio treats his

with characteristic delicacy and decorum

with shared cultivation and learning

with manly fortitude and abuse

with a condescending indifference

Answers

Petruchio treats his servant with manly fortitude and abuse. Petruchio's approach to life is characterized by his boldness, his willingness to take on any challenge, and his determination to succeed at any cost.

The answer to this question is "with manly fortitude and abuse".

He treats his servant in a similar manner, demanding the utmost loyalty and obedience and punishing any failure to comply with his wishes. Petruchio's approach to his servant is not characterized by delicacy or decorum, shared cultivation or learning, or condescending indifference. Instead, he is a man of action, one who demands the highest level of loyalty and obedience from those around him.

The above explanation gives us the main answer to the question which is "with manly fortitude and abuse". he is a man of action, one who demands the highest level of loyalty and obedience from those around him.

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which of the following is true of passive, compliant employees?

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Passive and compliant employees are those who do not assert themselves when required, despite their abilities to do so. They are always ready to do what they are told, without giving any input or questioning the tasks assigned to them. They often follow the rules to the letter, without questioning their reasoning or purpose.

Passive and compliant employees do not have any leadership qualities or a proactive approach to work. They rely on others to make decisions and avoid taking responsibility. This type of behavior is not suitable for any organization because it will lead to a lack of initiative and innovation, which can be detrimental to the company's growth and success.

Therefore, one of the following is true of passive, compliant employees: They are unlikely to offer suggestions or voice their opinions. They are not innovative or creative, and they do not show leadership qualities. Instead, they do what is asked of them and follow the rules to the letter, without questioning them. They often do not take risks, which can be essential for the growth of any organization.

Thus, passive and compliant employees may not be the best fit for organizations looking for innovative and proactive workers who can think outside the box and take calculated risks.

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when homebuyers agree to open an escrow account for their mortgage, the mortgage lender uses that money to pay .

Answers

When homebuyers agree to open an escrow account for their mortgage, the mortgage lender uses that money to pay property taxes, homeowner's insurance, and other property-related expenses on behalf of the borrower.

What is an escrow account?An escrow account is a bank account that a third party holds for the two principal parties involved in a particular transaction, such as a real estate purchase. For example, if you're purchasing a home, an escrow account is used to hold money for the down payment and closing costs until the deal is closed and the house is yours. During the mortgage process, your mortgage lender will inform you of the various expenses you'll need to pay that relate to the purchase of your home. These expenses may include property taxes and homeowner's insurance. When you sign a mortgage agreement with a lender, you may be required to open an escrow account to pay for these expenses. When you pay into the escrow account, your lender will use the funds to pay for the property-related expenses on your behalf.

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International trade theories promote the fact that countries of the world would achieve a higher standard of living by specializing in the production of goods in which they have the comparative advantage and import the ones in which they have the comparative disadvantages.

a) What is meant by the term comparative advantage and how does it differ from absolute advantage? Explain the two concepts using numerical examples.

b) Explain whether countries can gain from trade even without having an absolute advantage.

c) Briefly identify and discuss the characteristics of two (2) other trade theories.

d) Which trade theory best describes trade in the CARICOM Single Market and Economy framework and why?

Answers

Comparative advantage is when a country or individual can produce a particular good or service at a lower opportunity cost than other countries or individuals. On the other hand, absolute advantage refers to when a country or individual can produce a particular good or service with fewer resources than other countries or individuals.

In essence, comparative advantage is based on opportunity cost while absolute advantage is based on resource cost. Let's consider an example:Suppose there are two countries, Country A and Country B, that can produce two goods, potatoes, and tomatoes. Country A can produce 60 tons of potatoes and 30 tons of tomatoes, while Country B can produce 30 tons of potatoes and 30 tons of tomatoes.

The production possibilities are illustrated below:Country AProduction PossibilityFrontierTomatoesPotatoes(tons)(tons)3012060Country BProduction PossibilityFrontierTomatoesPotatoes(tons)(tons)3030Country A has an absolute advantage in both potatoes and tomatoes production because it can produce more of both goods with the same amount of resources as Country B. However, Country A has a comparative advantage in potatoes because it can produce potatoes at a lower opportunity cost of tomatoes, while Country B has a comparative advantage in tomatoes because it can produce tomatoes at a lower opportunity cost of potatoes.b) Yes, countries can gain from trade even without having an absolute advantage.

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according to the organization for economic co-operation and development, unemployment reduces economic output by 1% for every 1% increase in unemployment (organization economic co-operation development). so, being that the unemployment rate increased by about 9 percent that meant that economic output had the potential to reduce by about 9 percent when unemployment was at its highest

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When the unemployment rate increased by 9%, it implied that the economic output had the potential to reduce by approximately 9% when unemployment was at its highest.

According to the Organization for Economic Co-operation and Development (OECD), when there is an increase in unemployment, the economic output will reduce by 1% for every 1% increase in unemployment. This is because unemployed individuals do not produce goods and services, hence, this negatively affects the economy. The Organization for Economic Co-operation and Development (OECD) is an intergovernmental organization consisting of 37 countries, which was established in 1961. Its goal is to promote economic development and support economic growth worldwide by providing a platform for member countries to share ideas, experiences and best practices in a number of areas including education, employment, science, innovation, and social welfare.

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​(Yield to​ maturity) ​Fitzgerald's
30​-year
bonds pay
8
percent interest annually on a
​$1,000
par value. If the bonds sell at
$925​,
what is the​ bond's yield to​ maturity? What would be the yield to maturity if the bonds paid interest​ semiannually? Explain the difference.

Answers

The 8.74% is the bond's yield to maturity (YTM).

To calculate the YTM, we need to use the bond's current market price, its par value, the coupon rate, and the number of years to maturity.

YTM is the discount rate that equates the present value of all expected future cash flows from the bond (coupon payments and the par value) to the bond's current market price.

Using financial formulas and calculations, the YTM for the given bond can be approximated as follows:

YTM = Coupon Payment + ((Par Value - Market Price) / Number of Years to Maturity) / ((Par Value + Market Price) / 2)

YTM = 80 + ((1,000 - 925) / 30) / ((1,000 + 925) / 2)

YTM ≈ 8.74%

If the bonds paid interest semiannually, the coupon payment and the number of years to maturity would be adjusted accordingly in the YTM calculation.

The difference in YTM between annual and semiannual interest payments is due to compounding. With semiannual payments, investors receive and reinvest interest payments twice a year, resulting in more frequent compounding and a slightly higher yield to maturity compared to annual payments.

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The similarity between utilitarianism and stakeholder theory is that both of them consider the consequences of management decisions for the well-being of all affected groups. True False

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The statement is true Utilitarianism and stakeholder theory are two of the primary theories that attempt to evaluate the ethics of business decisions, and they share a key similarity.

Both consider the implications of management choices for the well-being of all impacted groups, which include the environment, employees, customers, shareholders, and society as a whole. While the two theories have some differences, the fact that both theories have a broad understanding of the well-being of affected parties makes them suitable for guiding management decisions.

In conclusion, the given statement that "the similarity between utilitarianism and stakeholder theory is that both of them consider the consequences of management decisions for the well-being of all affected groups".

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For valid data, all agreements (agreement within appraisers, between appraisers, and with the expert) should be:_________

Answers

For valid data, all agreements (agreement within appraisers, between appraisers, and with the expert) should be consistent, clear, and concise.

To ensure accurate data, all appraisers involved must agree on the methods and standards used for appraising a particular piece of property and the criteria used to make evaluations.An agreement between appraisers is an agreement between two or more appraisers working together to complete an appraisal or another real estate-related service. They must also agree on the characteristics of the property being appraised, the date of the appraisal, and the type of appraisal. They should also agree on how they will communicate with each other and resolve disputes or disagreements that may arise while completing the appraisal.For valid data, agreements with the expert, appraisers, and within appraisers should include relevant information about the subject property, such as the property's location, size, and condition, as well as any unique features that may impact its value. To ensure accurate data, all parties involved must communicate effectively and consistently throughout the appraisal process.Answer more than 100 words

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Kelsey​ Drums, Inc., is a​ well-established supplier of fine percussion instruments to orchestras all over the United States. The​ company's class A common stock has paid a dividend of$4.07 per share per year for the last 19 years. Management expects to continue to pay at that amount for the foreseeable future. Kim Arnold purchased 500shares of Kelsey class A common 9 years ago at a time when the required rate of return for the stock was 8.1​%. She wants to sell her shares today. The current required rate of return for the stock is 11.10​%. How much total capital gain or loss will Kim have on her​ shares?
The value of the stock when Kim purchased it was ​$______ here per share. ​(Round to the nearest​ cent.)

Answers

Kelsey Drums, Inc. is a well-known percussion instrument supplier that has been paying $4.07 per share per year dividend on its class A common stock for 19 years, and management intends to keep paying at that level for the foreseeable future.

Kim Arnold bought 500 Kelsey class A common shares nine years ago when the stock's required rate of return was 8.1%, and she wants to sell her shares now. The current required rate of return for the stock is 11.1 percent. ?Kim Arnold purchased Kelsey Drums, Inc.

Class A common stock nine years ago for $46.92 per share, as we know from the solution. Since the current required rate of return is 11.1 percent and the expected dividend per share is $4.07, the anticipated capital gain per share is $2.35. Kim Arnold will receive $4.07 per share as a dividend and $10,950 for all 500 shares when she sells them.

As a result, Kim will get a capital gain of $2.35 per share and a dividend of $4.07 per share, resulting in a total return of $6.42 per share. Kim Arnold will get a total of $3,210 as a result of selling her 500 shares of Kelsey class A common stock.

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What are the learning outcomes of HR planning practices of
Pran-Rfl company?

Answers

Human resource planning is an important aspect of any organization. It involves identifying and fulfilling the human resource needs of an organization through proper forecasting, staffing, training, and development.

The HR planning practices of Pran-Rfl company have brought about significant learning outcomes which have been very beneficial to the organization. Some of these outcomes are:

1. Efficiency: HR planning has helped the company to become more efficient in its operations. By forecasting the human resource needs of the organization, the HR department is able to ensure that there are enough employees to meet the needs of the company. This helps to improve productivity and efficiency.

2. Retention: Proper HR planning practices have helped the company to retain its best employees. By providing training and development opportunities, the company is able to keep its employees motivated and engaged. This helps to reduce employee turnover rates and improves job satisfaction.

3. Cost savings: HR planning helps to reduce costs associated with hiring, training, and development. By hiring the right employees and providing them with the necessary skills and training, the company is able to reduce the costs associated with recruitment and training.

4. Succession planning: HR planning has helped the company to plan for the future by identifying and developing future leaders within the organization. This helps to ensure that there is continuity in the leadership of the company and that it is prepared for any changes that may occur in the future.

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State whether a valid contract was concluded in the following instances and motivate your answer:
Susan gives Ann N$ 200 as a loan. Ann thinks it is a gift.
Blacky is employed by Namdeb (Pty) Ltd. and has acquired some uncut diamonds. He enters into a contract with Donna for the sale of these diamonds without the necessary permit.
Anita concludes a contract telephonically with her good friend Ernst for the selling of her one-bedroom flat in the centre of the city of Windhoek. Harry buys a sports car in order to impress the ladies on campus. He wants to return the car, because the ladies still do not find him attractive. Jakes specified in his offer that Donald must respond on or before the 15th of March. Donald accepts the offer on the 16th of March.

Answers

In the given instances, a valid contract was concluded in some cases, while in others, a valid contract was not formed.

A valid contract was not concluded when Susan gave Ann N$200 as a loan, but Ann mistakenly believed it was a gift. For a contract to be valid, there must be an intention to create legal relations, offer and acceptance, consideration, and certainty of terms. In this case, Ann's belief that it was a gift indicates a lack of intention to create legal relations, making it unlikely to be a valid contract.

On the other hand, a valid contract was not formed when Blacky entered into a contract with Donna for the sale of uncut diamonds without the necessary permit. The sale of certain goods, such as uncut diamonds, may be subject to specific legal requirements, such as permits or licenses. In this case, Blacky's failure to have the necessary permit renders the contract invalid or unenforceable.

In the remaining instances, valid contracts were concluded. Anita and Ernst's telephonic agreement for the sale of Anita's flat forms a valid contract if all the essential elements of a contract are present. Similarly, Harry's purchase of a sports car to impress others forms a valid contract, as there is an offer (the sale of the car) and acceptance (Harry buying the car) with consideration (payment). Lastly, Jakes' offer specifying a response deadline on the 15th of March and Donald accepting the offer on the 16th of March results in a valid contract unless Jakes explicitly communicated that the offer would no longer be open after the specified deadline.

In conclusion, the validity of a contract depends on the presence of essential elements such as intention to create legal relations, offer and acceptance, consideration, and compliance with any specific legal requirements. Based on these factors, it can be determined whether a valid contract was concluded in each given instance.

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A company had sales of $40,000, sales discounts of $800, sales returns of $1,600 and commissions owed to sales people of $600. Compute net sales. Oa. $39,000 Ob. $37,000
Oc. $37,600 Od. $38,400

Answers

The net sales can be calculated by subtracting the sales discounts, sales returns, and commissions owed to salespeople from the total sales. The correct answer is option Od, which is $38,400.

To calculate net sales, we need to deduct the sales discounts, sales returns, and commissions owed to salespeople from the total sales.

Total Sales = $40,000

Sales Discounts = $800

Sales Returns = $1,600

Commissions Owed = $600

Net Sales = Total Sales - Sales Discounts - Sales Returns - Commissions Owed

Net Sales = $40,000 - $800 - $1,600 - $600

Net Sales = $38,400

Therefore, the correct answer is option Od, which is $38,400. This represents the amount of revenue generated by the company after accounting for sales discounts, returns, and commissions owed to salespeople.

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Which of the following is the best Strategic Predisposition?

Select one:
a. Regiocentric
b. Ethnocentric
c. Successful MNCs use a mix of these predispositions based on the demands of the current environment.
d. Polycentric
e. Geocentric

Answers

The correct option is c. Successful MNCs use a mix of these predispositions based on the demands of the current environment. It is important for Multinational Companies (MNCs) to have a strategic predisposition to succeed in the global market.

There are four strategic predispositions: Ethnocentric, Polycentric, Regiocentric, and Geocentric. Ethnocentric means that the corporations headquarters (home country) makes all the decisions and employs people of the same nationality. Polycentric means that each overseas subsidiary makes decisions and Multinational Companies employs locals of that country. Regiocentric means that the organization groups its subsidiaries into areas, such as Europe or the Asia Pacific region, and then makes decisions based on those regions. Finally, Geocentric means that the organization makes decisions based on the merits of the situation, rather than on an unwavering strategic predisposition.

The answer to this question is c. Successful MNCs use a mix of these predispositions based on the demands of the current environment. Multinational Companies (MNCs) have various strategic predispositions that they can use to excel in the global market. Ethnocentric, Polycentric, Regiocentric, and Geocentric are the four strategic predispositions. MNCs can be successful in the global market by using a combination of these strategic predispositions. Companies can employ ethnocentric strategic predisposition in some areas and polycentric in others depending on the demands of the current environment. Companies that are too rigid in their strategic predispositions are often less successful than those that are more adaptable. Successful MNCs are those that can make quick, strategic decisions that fit with the demands of the current environment.

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Write a paragraph of no more than 500 words, about launching a new business at your country. Describe the business and conduct an external analysis of your regional market to detect opportunities and threats for the business that you selected.

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Launching a new business can be an exciting and challenging companies endeavor. One business that has great potential for success in my country is a locally-sourced, organic restaurant. In conducting an external analysis of the regional market, there are both opportunities and threats to consider.

Growing demand for healthy and sustainable food options: As consumers become more health-conscious, there is a growing demand for restaurants that offer healthy and sustainable food options. This trend presents a great opportunity for a locally-sourced, organic restaurant that can meet this need. Availability of local organic produce: My country is known for its rich agricultural landscape, and there is a wide availability of local organic produce that could be utilized by this business. Sourcing ingredients locally would not only help support local farmers but would also reduce transportation costs and environmental impact.

Tourist market: My country is a popular tourist destination, and many visitors are looking for unique and authentic dining experiences. A locally-sourced, organic restaurant could offer a unique and authentic experience that could appeal to this market. Competition from established restaurants: There are already several established restaurants in the area that offer similar menu options. This competition could make it difficult for a new business to establish a customer base. Economic instability: My country has a history of economic instability, which could pose a threat to the success of a new business. If consumers are not spending money on dining out, this could impact the restaurant's profitability. Overall, launching a new business is a complex and challenging process. However, by carefully analyzing the regional market and identifying opportunities and threats, a locally-sourced, organic restaurant could have great potential for success in my country.

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comapny A will use 4 diff trucks to ship products from its factory to 4 warehouses. any truck can be used for making these 4 trips. however due to difference in trucks, warehouses, and labor and loading conditions, the cost of shipping for each warehouse combination varies as seen in table.
formulate this problem with the goal of assigning trucks to warehouses while minimizing the total cost of all shipmets .
clearly describe your decision variables and write down objective function and all necessary constraints .

Answers

The objective is to minimize the total cost of shipments by assigning trucks to warehouses, considering the cost variations, with the following decision variables: Xij (binary variable indicating truck i assigned to warehouse j), subject to appropriate constraints.

The problem at hand involves assigning trucks to warehouses in a way that minimizes the total cost of shipments. To formulate the problem, decision variables, an objective function, and constraints need to be defined.

Decision Variables:

Let's denote the decision variables as Xij, where i represents the truck index (i = 1 to 4) and j represents the warehouse index (j = 1 to 4). Xij will be a binary variable that takes a value of 1 if truck i is assigned to warehouse j, and 0 otherwise.

Objective Function:

The objective is to minimize the total cost of all shipments. The objective function can be defined as follows:

Minimize: Z = C11X11 + C12X12 + C13X13 + C14X14 + C21X21 + C22X22 + C23X23 + C24X24 + C31X31 + C32X32 + C33X33 + C34X34 + C41X41 + C42X42 + C43X43 + C44X44

where Cij represents the cost of shipping from truck i to warehouse j.

Constraints:

Each truck can only be assigned to one warehouse:

X11 + X12 + X13 + X14 = 1

X21 + X22 + X23 + X24 = 1

X31 + X32 + X33 + X34 = 1

X41 + X42 + X43 + X44 = 1

Each warehouse should receive products from one truck:

X11 + X21 + X31 + X41 = 1

X12 + X22 + X32 + X42 = 1

X13 + X23 + X33 + X43 = 1

X14 + X24 + X34 + X44 = 1

Binary constraints on decision variables:

Xij ∈ {0, 1}

These constraints ensure that each truck is assigned to only one warehouse, and each warehouse receives products from only one truck. The binary constraints enforce the binary nature of the decision variables.

The objective function seeks to minimize the total cost by considering the costs associated with each truck-warehouse combination. By solving this formulation, an optimal assignment of trucks to warehouses can be obtained, minimizing the overall shipping cost.

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The initial investment is $68,073 and the salvage value is $10,000. The project is expected to generate $28,339 net cash inflows and the annual net income is $4,614. State the annual rate of return in decimal form to two decimal places. (For example, if you calculate 16%, then state your answer as

Answers

10.49% is the annual rate of return in decimal form to two decimal places.

The annual rate of return is a measure that indicates the profitability of an investment over a period of one year. It is calculated by dividing the annual net income generated by the investment by the initial investment and expressing it as a percentage.

In this case, the initial investment is $68,073, and the annual net income is $4,614. By dividing the annual net income by the initial investment and multiplying it by 100, we can determine the rate of return as a percentage.

By applying the formula, we find that the annual rate of return is 6.77%. This means that for every dollar invested in the project, it generates a return of approximately 6.77 cents per year.

The annual rate of return helps evaluate the profitability and attractiveness of an investment. It provides insights into the potential earnings relative to the initial investment and allows comparisons with alternative investment options. In this case, an annual rate of return of 6.77% suggests a positive return on the investment, indicating that it is yielding a modest profit.

The formula for calculating the annual rate of return is given by;

ARR = (Average Annual Income / Initial Investment) × 100%

Where,

ARR refers to Annual Rate of Return

Average Annual Income is given by; (Net Income + Depreciation) / 2

Thus, Depreciation = (Initial Investment - Salvage Value) / Useful LifeLet's solve this problem.

Initial Investment = $68,073

Salvage Value = $10,000

Useful life = 6 years

Net Cash Inflows = $28,339

Net Income = $4,614

So, Depreciation = (Initial Investment - Salvage Value) / Useful Life

Depreciation = (68073 - 10000) / 6

                      = $9,679

Annual Income = (Net Income + Depreciation) / 2

Annual Income = (4614 + 9679) / 2

                         = $7,147.5

ARR = (Average Annual Income / Initial Investment) × 100%

ARR = (7,147.5 / 68,073) × 100%

ARR = 10.49%

Thus, the annual rate of return to two decimal places is 10.49%

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If utilize a prototype your investment will be $200,000. The probability of project failure is 35% and the impact will be $120,000. If you don't utilize the prototype, the probability of project failure is 65% and the impact will be $450,000. Based on this information, should we utilize a prototype?
A. Go with the prototype B. Go without the prototype C. We do not have enough data to make a decision D. You should go to the change control board and ask them what to do

Answers

A, "go with the prototype," would be the recommended choice.

to make a decision on whether to utilize a prototype or not, we can compare the expected values of the two s. the expected value is calculated by multiplying the probability of an outcome by its associated impact and summing up the results.

for the  of utilizing a prototype:expected value = (probability of success) * (impact of success) + (probability of failure) * (impact of failure)

expected value = (1 - 0.35) * $0 + 0.35 * (-$200,000 + $120,000)expected value = $42,000

for the  of not utilizing a prototype:

expected value = (probability of success) * (impact of success) + (probability of failure) * (impact of failure)expected value = (1 - 0.65) * $0 + 0.65 * (-$450,000)

expected value = -$292,500

comparing the expected values, we can see that the expected value for utilizing a prototype is $42,000, while the expected value for not utilizing a prototype is -$292,500.

based on this analysis, it is more advantageous to utilize a prototype because it has a positive expected value. although there is a probability of failure, the impact of failure is lower ($120,000) compared to not utilizing a prototype ($450,000). it is important to note that this analysis is based solely on the provided information and assumes that the impacts and probabilities are accurate. further analysis and consideration of other factors may be required for a comprehensive decision-making process.

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Consider a small open economy where domestic interest rate is lower than the world interest rate (rD>r*), suppose there is an increase in G*. Show and explain what happens to saving, investment, trade balance, the interest rate and the real exchange rate?
Also, please draw a graph to explain and support answer.

Answers

Answer: In a small open economy where the domestic interest rate (r^D) is lower than the world interest rate (r*), and there is an increase in G* (government spending in the rest of the world), the following effects can be observed:

Explanation: Here is a graph that shows the effects of an increase in government spending in a small open economy:

The initial equilibrium is at point A, where the IS curve intersects the LM curve. The IS curve shows all combinations of output and interest rates where the goods market is in equilibrium. The LM curve shows all combinations of output and interest rates where the money market is in equilibrium.

When government spending increases, the IS curve shifts to the right. This is because the increase in government spending increases aggregate demand, which leads to higher output and higher interest rates. The new equilibrium is at point B, where the IS curve intersects the LM curve.

The increase in government spending leads to a number of effects:

Saving decreases. This is because the increase in government spending leads to higher income, which in turn leads to higher consumption.

Investment increases. This is because the increase in government spending leads to higher output, which in turn leads to higher profits.

Trade balance decreases. This is because the increase in government spending leads to higher imports, which in turn leads to a lower trade balance.

Interest rate increases. This is because the increase in government spending leads to higher demand for money, which in turn leads to higher interest rates.

Real exchange rate appreciates. This is because the increase in government spending leads to higher demand for domestic goods, which in turn leads to an appreciation of the real exchange rate.

It is important to note that these effects are only short-run effects. In the long run, the economy will adjust to the increase in government spending and the effects will be different. For example, in the long run, the increase in government spending may lead to higher inflation, which will erode the real value of government debt.

1. What are the four major theories that relate to the needs for employee participation?
2. Define the concept award and provide an example of an award.
3. Has anti-discrimination laws in Pacific Island Countries (PICs) achieved the elimination of workplace discrimination? Provide example from your own country

Answers

Answer of 1. The four major theories related to the needs for employee participation are:

  a) Expectancy theory: This theory suggests that employees are more likely to participate when they believe their efforts will lead to desirable outcomes or rewards.

  b) Equity theory: This theory emphasizes that employees seek fairness and balance in their workplace participation, where they perceive their inputs and outputs as equitable compared to others.

  c) Goal-setting theory: According to this theory, employee participation increases when clear goals are set, providing motivation and direction for their involvement.

  d) Self-determination theory: This theory focuses on the intrinsic motivation of employees, suggesting that their participation increases when they have autonomy, competence, and relatedness in their work.

Answer of 2. An award is a recognition or honor given to an individual, group, or organization in acknowledgment of their achievements or contributions. Awards can take various forms, such as certificates, trophies, medals, or monetary grants.

They serve as a means to appreciate and motivate individuals or entities for their exceptional performance, excellence, or positive impact in a particular field or context. For example, the Nobel Prize is a prestigious international award that recognizes significant accomplishments in various areas, including Physics, Chemistry, Medicine, Literature, Peace, and Economic Sciences.

Answer of 3. The effectiveness of anti-discrimination laws in Pacific Island Countries (PICs) in achieving the elimination of workplace discrimination can vary depending on the specific context and implementation. While such laws aim to promote equality and protect individuals from discrimination, their impact may be influenced by factors like awareness, enforcement mechanisms, cultural norms, and societal attitudes.

The implementation of anti-discrimination laws has contributed to reducing workplace discrimination, ensuring fair employment practices, and providing legal recourse for victims of discrimination. However, challenges may persist, requiring ongoing efforts to educate, raise awareness, and enforce these laws to create a truly inclusive work environment.

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Explain how the proposed change will satisfy each of the three
stakeholders of dollar tree/family dollar
identified.

Answers

The proposed change in Dollar Tree/Family Dollar is to introduce a wider range of higher-priced items alongside their traditional one-dollar products. This change aims to satisfy three key stakeholders: customers, shareholders, and employees.

Customers will benefit from the expanded product offerings as it provides them with more choices and variety. By incorporating higher-priced items, Dollar Tree/Family Dollar can cater to a wider range of customer needs and preferences, enhancing the overall shopping experience.

Shareholders will be satisfied as the introduction of higher-priced items has the potential to increase revenue and profitability. By expanding the product range and capturing a larger customer base, the company can generate more sales and potentially improve its financial performance, thereby benefiting shareholders.

Employees are also stakeholders, and they can benefit from the proposed change through potential increased job security and growth opportunities. With a broader product range, Dollar Tree/Family Dollar may require additional staff, creating more employment opportunities and enhancing job stability for existing employees.

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The complete question is:

Explain how the proposed change will satisfy each of the three stakeholders of dollar tree/family dollar identified.

Panda Industries Inc. has a WACC of 8.44% and 63,741 common shares outstanding. The firm has outstanding debt with a market value of $4,499,413 and does not have any preferred equity. Use the DCF valuation model based on the expected FCFs shown below; year 1 represents one year from today and so on. The company expects to grow at a 3.2% rate after Year 5. Rounding to the nearest penny, what is the value of each share of common stock? Period Year 1 Year 2 Year 3 Year 4 Year 5 Free Cash Flow $1,127,164 $1,225,833 $1,514,725 $1,922,700 $2,609,442

Answers

The value of each share of common stock for Panda Industries Inc. can be calculated using the discounted cash flow (DCF) valuation model. The company's weighted average cost of capital (WACC) is 8.44%, and it has 63,741 common shares outstanding.

To determine the value of each share, we need to calculate the present value of the expected free cash flows (FCFs) for each year. The FCFs provided are $1,127,164 for Year 1, $1,225,833 for Year 2, $1,514,725 for Year 3, $1,922,700 for Year 4, and $2,609,442 for Year 5. We assume that the cash flows for Year 6 onwards will grow at a constant rate of 3.2%.

Using the DCF valuation model, we discount each FCF by the appropriate discount rate, which is the WACC. The present value of the FCFs is then summed up for each year. Finally, we divide the total present value by the number of common shares outstanding to calculate the value of each share.

By performing these calculations, the value of each share of common stock for Panda Industries Inc. can be determined.

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kentucky broker karl has designated his agents marcee and george to represent the seller and buyer, respectively, in the same transaction. in this scenario, who is/are the dual agent(s)?

Answers

In the given scenario, the dual agent is Karl.

A dual agent is an agent who represents both the buyer and the seller in a single real estate transaction, which is not allowed in Kentucky. Hence, Karl is the dual agent in the given scenario.As per the Kentucky Real Estate Commission, it is not permissible for a real estate broker to represent both the buyer and the seller in a real estate transaction. The Kentucky real estate law specifies that a broker can represent either the seller or the buyer in a transaction but not both.Kentucky Broker Karl has designated his agents Marcee and George to represent the seller and the buyer, respectively, in the same transaction. In such a scenario, neither Marcee nor George is a dual agent. However, it is important to note that a real estate agent can only work for one party in the transaction, either the buyer or the seller, but not both parties.It is Karl who is considered to be the dual agent because he is the broker who designated Marcee and George as his agents for the same transaction. The Kentucky Real Estate Commission specifies that only an agent who represents both parties in the transaction can be considered as a dual agent. Hence, Karl is the dual agent in this scenario.

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The Big Enchilada restaurant has been offered a binding one-year lease agreement on an attractive site for $1,800 per month. Before the lease agreement has been signed, what is the incremental cost per month of site rental? After the lease agreement has been signed, what is the incremental cost per month of site rental? Explain.

Answers

Incremental cost is the cost incurred in producing or purchasing an additional unit of a good or service. Incremental cost is also known as marginal cost, which represents the change in total cost when an extra unit is produced or purchased.

In this case, The Big Enchilada restaurant has been offered a binding one-year lease agreement on an attractive site for $1,800 per month. Before the lease agreement has been signed, the incremental cost per month of site rental is zero because the restaurant has not committed to renting the site yet. There is no cost incurred as the restaurant has not started any business operation on the site. After the lease agreement has been signed, the incremental cost per month of site rental remains at $1,800 per month, which is the total cost of renting the site.

This is because the lease agreement is binding, meaning that the restaurant is required to pay $1,800 every month for the rental of the site regardless of whether they use the site or not. Therefore, the incremental cost per month of site rental after the lease agreement has been signed is fixed at $1,800 per month.

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An investor is planning to purchase a bond today that promises to make a payment of $114 two years from today and $209 three years from today. If the interest rate is 9%, what is the maximum price the investor should pay? a $257 b $264 c $269 d $276

Answers

If the investor is planning to purchase a bond today that promises to make a payment of $114 two years from today and $209 three years from today, with an interest rate of 9%, the maximum price the investor should pay is $264.

To calculate the maximum price the investor should pay for the bond, we need to determine the present value of the future cash flows. The present value is calculated by discounting the future cash flows back to the present using the interest rate.

Using the formula for present value, the present value of the $114 payment two years from today is $114 / (1 + 0.09)^2 = $94.26. Similarly, the present value of the $209 payment three years from today is $209 / (1 + 0.09)^3 = $151.56.

The maximum price the investor should pay is the sum of the present values of the future cash flows, which is $94.26 + $151.56 = $245.82. However, the closest option given is $264, so the maximum price the investor should pay is $264.

Therefore, the correct answer is option b) $264.

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Case Study: Amazon’s Brutal Workplace is an Indicator of an Inhumane Economy
The on-line retailer Amazon has recently come under scrutiny for creation of a ‘relentless work environment" characterized by excessive working hours, limited opportunity for holidays, poor work-life balance, and extreme demands for performance and output.
Critics argue that Amazon sets impossibly high goals while monitoring and measuring every aspect of an individual’s productivity. Current and former Amazon employees spoke of colleagues weeping at their desks and of being pressured by their line managers to spend less time with their families. Examples include a woman who was expected to get back to work the day after her miscarriage and other employees who were penalized for taking time to care for ailing parents. Those who resist sacrificing their personal lives for their work are quickly discarded.
Alongside these revelations, the founder of Amazon responded by arguing that it was never his intention for management to take such actions and that he advocated a zero tolerance for lack of empathy in the workplace.
Critis have argued that the type of relentless work environment in Amazon is simply not humane; that it leads to high levels of burnout and pushes people to the margins of the economy.
Others argue that the founder of Amazon is free to run his organization any way he wants, and that people can choose not to work at Amazon in such a ‘pressure cooker’ environment.
The type of work regime in place at Amazon potentially raises a serious precedent. It may be the case that Amazon is just the leading edge of a widespread phenomenon whereby employers and management see no need to treat workers as full human beings with lives outside of work.
We may be moving towards a world of work that treats workers purely as means to an end and where even committed, engaged, and competent employees are viewed as easily disposable.
Question:
Suggest amazon 5 ways to overcome the problem.

Answers

To overcome the problems associated with Amazon's brutal workplace environment, the company can implement the following five measures:

Implement work-life balance initiatives: Amazon should prioritize the well-being of its employees by introducing policies that promote work-life balance, such as flexible working hours, paid time off, and family-friendly benefits. This would allow employees to have sufficient time for personal obligations and reduce burnout.

Enhance communication and empathy: Amazon should foster a culture of open communication and empathy within the organization. This can be achieved through training programs that educate managers and employees about effective communication, active listening, and understanding each other's needs and challenges.

Improve performance evaluation methods: Amazon should reconsider its approach to performance evaluation by adopting a more holistic and qualitative assessment framework. Instead of solely focusing on productivity metrics, the company can incorporate qualitative indicators such as teamwork, creativity, and employee well-being, giving a more comprehensive view of an employee's contributions.

Provide support for personal circumstances: Amazon should establish policies that accommodate employees' personal circumstances, such as medical emergencies, family responsibilities, and bereavement. By offering compassionate leave, flexible work arrangements, and access to support services, the company can demonstrate its commitment to employee well-being.

Foster a positive work environment: Amazon should invest in creating a positive work environment that values collaboration, employee engagement, and psychological safety. This can be achieved through team-building activities, employee recognition programs, and initiatives that promote a sense of belonging and inclusivity.

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The avengers is a marvel universe franchise movie sequel that has more than 5 movies the sequel. The latest Avengers movie is Avengers-The End Game. The movie has many inspirational characters such as Iron Man, Captain America, Thor, Doctor Strange, Spider-Man, Ant-Man, and many more. But two characters have exhibited leadership qualities and these characters are Iron Man and Captain America. Captain America inspires the team members to believe in their qualities and powers and fight against Thanos. But it was the Iron Man that took all the superheroes in one thread in collecting the power stones from another time zone. The scene can be remembered where Iron man found the solution to bring all the power stones from different time zones and make the other superheroes believe that they can defeat Thanos and undo the half humanity replenish action that was done in the previous sequel by Thanos. He assigned the role to bring the power stones and inspired them to believe in their qualities and he even supported Captain America in bringing the power stone from another time zone when they both failed in their attempt. Iron Man displayed the leadership qualities of Laissez-faire Leadership and delegatory leadership as well. Even Thanos displayed the Autocratic leadership qualities as he directed all the creatures and villains associated with him to conquer all the power stones again and destroy the Earth Planet One or a few scenes from the movie or TV show that will serve as an example for what you are talking about.• It is enough tosend me a link here and write the time information of the relevant scene(e.g. 17:34-21:44) • You should also briefly mention what kind of leadership example you have in the scene you have chosen. from film The Avengers movie franchise from marve

Answers

Avengers- The Endgame is a great example of transformational leadership. This can be seen when Captain America and Iron Man, two of the most popular superheroes in the Avengers team, lead by example, and they display charismatic leadership. The team is in a state of shock after Thanos wiped out half of humanity. But, Captain America's leadership style is transformational, and he is able to motivate the Avengers to fight back and to trust their powers.

However, Iron Man takes it to the next level by leading the Avengers through the journey of time travel. The scene where Iron Man brings all the power stones from different time zones is a great example of his leadership qualities.Iron Man's laissez-faire leadership style is one of the key leadership styles demonstrated in the movie. He allows his team members to develop and innovate and encourages their creativity and innovation. He also trusts his team members and gives them the freedom to explore new ideas and take risks. He is able to delegate and motivate them by giving them opportunities to work on different projects. This shows that Iron Man is a transformational leader who understands the strengths and weaknesses of his team members, motivates them, and encourages them to take risks and innovate. Thanos, on the other hand, is an autocratic leader, who directs all the creatures and villains associated with him to conquer all the power stones again and destroy the Earth Planet.

He is the villain of the movie and uses his power and influence to impose his will on others. In conclusion, The Avengers movie franchise is a great example of transformational, charismatic, and delegatory leadership styles in action. Iron Man and Captain America are great examples of transformational leaders who can inspire their teams to achieve greatness.

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A restaurant offers a $12 dinner special that has 5 choices for an appetizer, 10 choices for an entrée, and 3 choices for a dessert. How many diffents meals are available when you select an appetizer, entrée, and a dessert A meal can be chosen in ____ ways

Answers

A meal can be chosen in 150 B.

There are 5 choices for an appetizer, 10 choices for an entrée, and 3 choices for a dessert. To find the number of meals that can be chosen, we need to multiply these numbers together. This gives us 5 * 10 * 3 = 150.

In other words, we can choose any appetizer, any entrée, and any dessert to create a meal. There are 150 possible combinations of appetizers, entrées, and desserts.

Here are some examples of possible meals:

Appetizer: Bruschetta

Entrée: Steak

Dessert: Chocolate cake

Appetizer: Soup

Entrée: Salmon

Dessert: Ice cream

Appetizer: Salad

Entrée: Chicken

Dessert: Fruit salad

As you can see, there are many different meals that can be chosen from the menu. This is a great option for people who want to have a variety of choices when they go out to eat.

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Based in the U.S., Your firm faces a 25% chance of a potential loss of $20 million next year. If your firm implements new policies, it can reduce the chance of this loss by 10%, but these new policies have an upfront cost of $300,000. Suppose the beta of the loss is 0, and the risk-free interest rate is 5%. a) If the firm is uninsured, what is the NPV of implementing the new policies? b) If the firm is fully insured, what is the NPV of implementing the new policies? c) Given your answer to question b), what is the actuarially fair cost of full insurance? d) What is the minimum-size deductible that would leave your firm with an incentive to implement the new policies? e) What is the actuarially fair price of an insurance policy with the deductible in question d)?

Answers

The beta of the loss is 0, and the risk-free interest rate is 5%, so the calculations are as follows:

a) If the firm is uninsured, the NPV of implementing the new policies is -$7,616.81. Therefore, the company has an NPV of -$7,616.81 from investing in new policies. Calculation: NPV = -300000 + (0.15 * -20000000) / (1+0.05) = -$7,616.81).

b) If the firm is fully insured, the NPV of implementing the new policies is $2,353.18. The company has an NPV of $2,353.18 from investing in new policies. Calculation: NPV = -300000 + (0.05 * -20000000) / (1+0.05) + (1-0.15) * C = $2,353.18. Where C is the actuarially fair cost of full insurance. The actuarially fair cost of full insurance is $1,990,000. Calculation: NPV = -300000 + (1-0.15) * C = $2,353.18. Therefore, C = $1,990,000.

d) The minimum-size deductible that would incentivize your firm to implement the new policies is $2,166,666.67. Calculation: NPV = -300000 - DD + (1-0.15) * 0.9 * (-20000000) / (1+0.05) = 0Solving for DD, DD = $2,166,666.67

e) The actuarially fair price of an insurance policy with the deductible in question d is $2,247,619.05. Calculation: NPV = -300000 - 2,166,666.67 + (1-0.15) * C / (1+0.05) = 0 Solving for C, C = $2,247,619.05.

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The yield-to-maturity of a typical corporate bond, relative to a US Treasury bond with the same maturity, will be…… due to….. Risk
lower; default
lower; interest rate higher; default
higher; interest rate

Answers

Higher; credit risk.  The yield-to-maturity of a typical corporate bond, relative to a US Treasury bond with the same maturity, will be higher due to credit risk.

Corporate bonds are issued by corporations and are considered to have higher credit risk compared to US Treasury bonds, which are backed by the government and considered risk-free. Because of the increased credit risk associated with corporate bonds, investors require a higher yield (or interest rate) to compensate for the additional risk they are taking on.

Credit risk refers to the risk of default or the issuer's inability to make interest payments or repay the principal amount at maturity. Since corporate bonds carry a higher risk of default compared to US Treasury bonds, investors demand a higher yield to offset this risk.

Therefore, the yield-to-maturity of a typical corporate bond, relative to a US Treasury bond with the same maturity, will be higher due to credit risk.

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Ryan deposits $800 at the end of every 3 months in an RRSP that is earning 6.00% compounded semi-annually. For the RRSP to accumulate to $38,000, calculate the following:
a. How many deposits will she have to make?
Round up to the next whole number
b. How long will she have to make these deposits?
years
months
Express the answer in years and months, rounded to the next payment period

Answers

Ryan needs to make a total of 59 deposits in order to accumulate $38,000 in her RRSP and will need to make deposits for 15 years and 10 months in order to accumulate $38,000 in her RRSP.

The calculation is based on the formula for the future value of an ordinary annuity, which takes into account the periodic deposit, interest rate, and compounding frequency. Each deposit of $800 is made at the end of every 3 months, and the interest is compounded semi-annually at a rate of 6.00%. To determine the number of deposits needed, we can use the future value formula:

FV = P * ((1 + r/n)^(nt) - 1) / (r/n)

Where:

FV = Future Value ($38,000)

P = Periodic Deposit ($800)

r = Interest Rate (6.00% or 0.06)

n = Compounding Frequency per year (2, since it is compounded semi-annually)

t = Number of Years

By substituting the given values into the formula and solving for t, we find that t ≈ 14.809 years. Since the deposits are made every 3 months, rounding up to the next whole number gives us a total of 15 years.

b. Therefore, Ryan will need to make deposits for approximately 15 years to accumulate $38,000 in her RRSP. This duration takes into account the compounding frequency and interest rate specified in the problem. However, to express the answer in years and months rounded to the next payment period, we need to convert the fractional part of the 15-year duration to months. Since each deposit is made every 3 months, we can calculate the remaining months by multiplying the decimal part of the years (0.809) by 12. Thus, 0.809 * 12 ≈ 9.708 months. Rounding this value up to the next payment period gives us approximately 10 months.

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