Summarize the overall condition of Italy's stock markets (stock exchanges (number of listed companies, and size), primary and secondary stock market activities, major players (issuers, investors, intermediaries), etc.)

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Answer 1

Italy's stock markets consist of multiple stock exchanges, with the main one being the Borsa Italiana located in Milan. Here is a summary of the overall condition of Italy's stock markets:

1. Number of Listed Companies: Borsa Italiana is home to a significant number of listed companies. As of the latest available information, there are around 350 companies listed on the Borsa Italiana.

2. Market Size: Italy's stock markets have a considerable market capitalization, which represents the total value of all listed companies' shares. The market size fluctuates based on economic conditions and investor sentiment but has historically been one of the largest in Europe.

3. Primary and Secondary Market Activities: The primary market refers to the initial public offerings (IPOs) and issuance of new securities by companies seeking to raise capital. The secondary market involves the trading of existing securities among investors. Both primary and secondary market activities occur on the Borsa Italiana.

4. Major Players:

  - Issuers: The major players in the Italian stock markets include well-known Italian companies from various sectors such as finance, energy, telecommunications, and manufacturing. Examples of prominent Italian issuers include Enel, Intesa Sanpaolo, Eni, Telecom Italia, and Generali.

 

  - Investors: Italy's stock markets attract a diverse range of investors, including institutional investors such as pension funds, asset management companies, and insurance companies. Additionally, individual retail investors participate in stock market activities.

 

  - Intermediaries: Intermediaries play a crucial role in facilitating stock market transactions. They include banks, brokerage firms, investment banks, and financial intermediaries that provide services such as trading, brokerage, and investment advisory to investors.

Overall, Italy's stock markets offer a significant platform for companies to raise capital and provide opportunities for investors to participate in the growth of Italian businesses.

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Related Questions

you have been asked to explain a few information security principles to a network infrastructure technician who has been in the industry for just a couple of years. after chatting a little while about threat actors, you decide to mention some of the attributes that differentiate attackers from one another, and which can help explain the types of attacks that can be expected from them. which of the following might you decide to include in the conversation?each correct answer represents a complete solution. choose three.

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As you have been asked to explain a few information security principles to a network infrastructure technician, let's first learn about the attributes that differentiate attackers from one another and help explain the types of attacks that can be expected from them.

There are various types of attacks, and it's essential to understand the attributes that differentiate attackers from one another and help explain the types of attacks that can be expected from them. Some of the attributes that you might decide to include in the conversation are: Intentions:Intentions are an attacker's motivation to perform an attack. Some attackers might attack for financial gain, while others may attack to destroy data or gain unauthorized access to a system.

Attackers with more advanced skills can perform more sophisticated attacks. Some attackers may rely on social engineering to exploit vulnerabilities, while others may use advanced malware or exploit kits.3. Resources:Attackers with more resources may be able to perform more successful attacks. Some attackers may have access to more advanced technology or more significant funding, which can make it easier for them to launch successful attacks.Other attributes to differentiate attackers can be added to the list. However, these three attributes can help explain the types of attacks that can be expected from the attackers.

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You are a shareholder in a C-corporation. The corporation earns $13 per share before taxes. After paying corporate taxes, the firm distributes the rest of its earnings to you as a dividend. The dividend is income to you, so you will then pay taxes on these earnings. The corporate tax rate is 37% and your tax rate on dividend income is 26%. How much is the individual dividend tax if the corporation pays all profits as dividends? Enter your answer in the following format: 12.34 Hint: Answer is between 1.92 and 2.34

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In this problem, the corporation earns $13 per share before taxes. After paying the corporate tax rate of 37%, the remaining dividend amount is distributed to the shareholder. Answer: 2.13

The corporation's profit per share before tax = $13The corporate tax rate = 37%Therefore, the amount of tax paid by the corporation = $13 × 0.37 = $4.81The remaining amount of dividend paid per share = $13 - $4.81 = $8.19The shareholder's tax rate on dividend income is 26%.

Therefore, the dividend tax per share paid by the shareholder = $8.19 × 0.26 = $2.13Therefore, the individual dividend tax if the corporation pays all profits as dividends is $2.13 (rounded to two decimal places).

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As the head of the international human resource management of an MNE headquartered in Ghana with 10 subsidiaries from other countries. You have been tasked to interview applicants for the position of country manager for the respective 10 subsidiaries in 14 days amidst Covid-19 challenges.
(a) Discuss any 5 advantages of online interviews.
(b) State the main difference between a Competency Based question and a Situational interview question?
(c) Outline three (3) verbal Do’s and three (3) non-verbal Don’ts applicants should consider when preparing for virtual job interviews.

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(a) Five advantages of online interviews are cost-effective, efficiency, geographical barriers, easy access to information, and recording facility.

(b) Competency-based questions evaluate the candidate's performance in similar situations in the past while situational interview are hypothetical questions to assess the candidate's ability to tackle a particular issue.

(c) Verbal Do's include speaking clearly, using professional language, and showing enthusiasm. Non-verbal Don'ts are excessive movement,  touching your face or hair, and poor posture.

(a) Advantages of online interviews are as follows:

Cost-effective: One of the biggest benefits of conducting online interviews is the cost factor. As interviews are usually conducted in person, both employers and job candidates incur expenses for traveling. The use of online interviews eliminates this cost.Efficiency: Online interviews provide flexibility in terms of scheduling interviews that suit the employer and the job candidate. This can result in a more efficient and streamlined hiring process.Geographical barriers: Online interviews eliminate geographical barriers as interviews can be conducted regardless of the job candidate’s location.Easy access to information: During an online interview, candidates can have quick access to relevant resources like their resume and online portfolio. This helps them refer to the documents and ensures a smoother and more effective interview process.Recording facility: Some online interview platforms allow the interviewer to record the entire interview, which can be reviewed later to evaluate the candidate's skills and abilities.

(b) Competency-based questions are asked to evaluate the candidate's performance in similar situations in the past. This type of question is asked to understand the behavioral traits of the candidate. The aim is to determine whether the candidate is the right fit for the company culture.

Situational interview questions are usually hypothetical questions designed to test the candidate's ability to tackle a particular issue. This question tests how the candidate will react when facing an unfamiliar situation.

(c) During a virtual job interview, the verbal Do's are as follows:

Speak clearly, Use professional language, Show enthusiasm.

The non-verbal Don'ts are as follows:

Fidgeting or excessive movement, Touching your face or hair, Slouching or poor posture.

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Ajax Limited is a company listed on the NZX. Ajax has announced it will make a dividend payment at the end of the year of $1.75 per share. The average annual growth rate in the company's dividends over the past five years has been 5%. Ajax's shareholders have a required rate of return of 15%p.a. Ajax's shares have been trading very consistently around $20 per share for the past few months and analysts suggest this is likely to continue for the foreseeable future. How can you explain this price based on the constant growth dividend discount model?

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Based on the constant growth dividend discount model, as the market price of the shares is higher than the intrinsic value, analysts suggest that company is likely to continue the growth for the foreseeable future.

Constant growth dividend discount model is a valuation technique used for calculating the intrinsic value of a share of stock. A share of stock is considered to have an intrinsic value that is equal to the present value of all of its future dividends. The formula for this model is as follows:

PV of expected dividends = D / (k - g)

where: D = the expected dividend payment, k = the required rate of return of the shareholders, g = the annual growth rate of the dividend payments.

Using the constant growth dividend discount model, the price of Ajax shares can be calculated as follows:

PV of expected dividends = D / (k - g) = $1.75 / (15% - 5%) = $1.75 / 10% = $17.50

Therefore, based on the constant growth dividend discount model, the price of Ajax shares should be $17.50.

Since Ajax's shares are trading consistently around $20 per share, the market price is higher than the intrinsic value. This can be attributed to the fact that the market may be expecting the company to grow faster than it has in the past five years, or it may be due to other factors such as market sentiment or speculation.

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With the use of relevant examples from the case study examine the strategy that Adidas Outdoor is implementing for the Olympic event. With the use of relevant examples from the extract and relevant marketing theory appraise how Adidas Outdoor is engaging in brand revitalisation with the aim to appeal to a changing market segment. Speculate on the advantages Adidas could derive from utilising brand extensions.

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Adidas Outdoor is a division of Adidas that focuses on outdoor apparel and footwear. The company has been a sponsor of the Olympic Games since 1972, and it has used this sponsorship to great effect in promoting its brand and products.

In the case study, Adidas Outdoor is described as "reinventing itself" and "revitalizing its brand." This is being done through a number of initiatives, including:

Sponsorship of the Olympic Games: As mentioned above, Adidas Outdoor has been a sponsor of the Olympic Games since 1972. This sponsorship gives the company a major platform to promote its brand and products to a global audience.

Focus on innovation: Adidas Outdoor is focused on innovation in its products. The company is constantly developing new technologies and materials to improve the performance and durability of its products.

Partnerships with athletes: Adidas Outdoor partners with athletes who are known for their outdoor adventures. These partnerships help to connect the company's brand with the excitement and adventure of the outdoors.

These initiatives are helping Adidas Outdoor to appeal to a changing market segment. The company is targeting a younger audience that is interested in outdoor activities such as hiking, camping, and backpacking. By focusing on innovation and partnerships with athletes, Adidas Outdoor is positioning itself as the leading brand for outdoor apparel and footwear.

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A pharmacy decides to offer customers three choices of vaccines instead of one. It is most likely that
a. Demand uncertainy decreases
b. Total vaccine inventory will be reduced
c. Demand uncertainty increases
d. Supply uncertainty decreases

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When a pharmacy decides to offer customers three choices of vaccines instead of one, it is most likely that c. Demand uncertainty increases.

Offering customers multiple choices of vaccines instead of just one can lead to an increase in demand uncertainty. With a single vaccine option, the pharmacy can estimate demand based on historical data and forecast more accurately. However, when customers have multiple choices, their preferences may vary, making it harder to predict which specific vaccines will be in higher demand.

By providing three choices, the pharmacy introduces more variability into customer preferences and increases the likelihood of uncertain demand patterns. Different customers may have different preferences, leading to fluctuations in demand for each vaccine option. This variability makes it challenging for the pharmacy to accurately forecast demand and plan their inventory levels effectively.

Options a. (Demand uncertainty decreases), b. (Total vaccine inventory will be reduced), and d. (Supply uncertainty decreases) are not the most likely outcomes when offering multiple vaccine choices. Introducing more options does not necessarily decrease demand uncertainty or reduce overall vaccine inventory. It may actually require the pharmacy to manage a larger inventory to accommodate different vaccine options and satisfy customer preferences. Additionally, supply uncertainty is not directly influenced by the number of vaccine choices available to customers.

Therefore, the correct answer is c. Demand uncertainty increases, as offering multiple vaccine choices introduces variability and makes it more challenging for the pharmacy to accurately predict and manage customer demand.

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When a pharmacy decides to offer customers three choices of vaccines instead of one, it is most likely that c. Demand uncertainty increases.

Offering customers multiple choices of vaccines instead of just one can lead to an increase in demand uncertainty. With a single vaccine option, the pharmacy can estimate demand based on historical data and forecast more accurately. However, when customers have multiple choices, their preferences may vary, making it harder to predict which specific vaccines will be in higher demand.

By providing three choices, the pharmacy introduces more variability into customer preferences and increases the likelihood of uncertain demand patterns. Different customers may have different preferences, leading to fluctuations in demand for each vaccine option. This variability makes it challenging for the pharmacy to accurately forecast demand and plan their inventory levels effectively.

Options a. (Demand uncertainty decreases), b. (Total vaccine inventory will be reduced), and d. (Supply uncertainty decreases) are not the most likely outcomes when offering multiple vaccine choices. Introducing more options does not necessarily decrease demand uncertainty or reduce overall vaccine inventory. It may actually require the pharmacy to manage a larger inventory to accommodate different vaccine options and satisfy customer preferences. Additionally, supply uncertainty is not directly influenced by the number of vaccine choices available to customers.

Therefore, the correct answer is c. Demand uncertainty increases, as offering multiple vaccine choices introduces variability and makes it more challenging for the pharmacy to accurately predict and manage customer demand.

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WH Smith Company is evaluating three projects: A, B, C, with cash flows as given in the table. Each project requires an initial investment of $99,000 and has a required return of 10%. Year 1 : 50,000 - 0 - 20,000. Year 2 : 40,000 - 50,000 - 40,000. Year 3: 20,000 - 50,000 - 40,000 . Year 4 : 10,000 - 40,000 - 40,000. Attempt 175 for 10 pts. Part 1 18 What is the payback period for project A (in years)? 2+ decimals Submit Attempt 1/5 for 10 pts. Part 2 IB | What is the payback period for project B (in years)?

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To calculate the payback period for Project A, we need to determine how long it takes for the cumulative cash flows to equal or exceed the initial investment of $99,000.

For Project A:
Year 1 cash flow: $50,000
Year 2 cash flow: $40,000
Year 3 cash flow: $20,000
Year 4 cash flow: $10,000
Cumulative cash flow after Year 1: $50,000
Cumulative cash flow after Year 2: $50,000 + $40,000 = $90,000
Cumulative cash flow after Year 3: $90,000 + $20,000 = $110,000
Cumulative cash flow after Year 4: $110,000 + $10,000 = $120,000
Since the cumulative cash flow exceeds the initial investment in Year 4, the payback period for Project A is between 3 and 4 years. To calculate the exact payback period, we can use linear interpolation:
Payback Period = Year 3 + (Unrecovered Cost at the Start of Year 4 / Cash Flow in Year 4)
Payback Period = 3 + ($99,000 - $90,000) / $10,000
Payback Period = 3.9 years
Therefore, the payback period for Project A is approximately 3.9 years. For Project B, the payback period calculation follows the same process using the given cash flows.

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The production function in a widget factory is described as Widgets = min (2K, √I) The marginal rate of technical substitution is likely to be decreasing as labor increases.

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The given production function of a widget factory is described as Widgets = min (2K, √I). The marginal rate of technical substitution (MRTS) is likely to be decreasing as labor increases.

The formula for MRTS can be given as follows: MRTS = ΔK/ΔL. In the given production function, the value of Widgets is calculated as the minimum of 2K and √I. Let us find out the partial derivative of Widgets with respect to L:∂ Widgets/∂L = 0, if 2K > √I= 1/2√I, if 2K < √IThus, the marginal product of labor (MPL) can be written as: MPL = ∂ Widgets /∂L= 1/2√I, if 2K < √IIt is evident from the above equation that MPL is inversely proportional to the square root of the quantity √I. Thus, as the amount of labor increases, MPL decreases. Hence, MRTS is also likely to decrease as labor increases.

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Sovereign risk refers to the possibility that a ___ will default on debt owned by a ____ A) Foreign banking system; large corporation B) Domestic banking system; government C) Government; bank D) Borrower; bank

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Sovereign risk refers to the possibility that a government will default on debt owned by a bank. The correct option is C.

Sovereign risk can be defined as the risk of default or non-payment by a government on its debt obligations. It is the risk of loss associated with investing in a country's bonds or other government-backed securities. The government's default may affect the value of the nation's currency and raise the risk of other sovereign defaults. When a country's credit rating is lowered, the cost of borrowing money rises.

As a result, investors may be hesitant to lend money to governments with a higher likelihood of default, resulting in higher interest rates on government bonds. Banks are the largest buyers of government securities. When a government defaults on its debts, banks and other financial institutions are the first to suffer losses. Because banks are the largest purchasers of sovereign bonds, they suffer the most significant losses.

Therefore, the correct answer is option C. Government; bank

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Braun Inc. has an investment opportunity that will yield cash flows of $33,000 per year in Years 1 through 4, $37,000 per year in Years 5 through 9, and $43,000 in Year 10. This investment will cost $225,000 today, and the firm's WACC is 10%. What is the payback period for this investment and what is the NPV? Should this project be accepted; why or why not?

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The payback period for the investment is approximately 8.47 years, and the Net Present Value (NPV) is approximately $8,816.91. Based on these calculations, the project should be accepted.

To determine the payback period, we need to find the time it takes for the cumulative cash flows to equal or exceed the initial investment. We sum the cash flows until they surpass the initial cost. In this case:

Year 1-4 Cash Flows: $33,000 × 4 = $132,000

Year 5-9 Cash Flows: $37,000 × 5 = $185,000

Year 10 Cash Flow: $43,000

Total Cash Flows: $132,000 + $185,000 + $43,000 = $360,000

The payback period can be calculated by dividing the initial cost by the average annual cash flows:

Payback Period = Initial Cost / Average Annual Cash Flows

Payback Period = $225,000 / ($360,000 / 10) ≈ 8.47 years

The NPV is determined by discounting the cash flows to their present values using the firm's Weighted Average Cost of Capital (WACC) of 10%. Then we subtract the initial cost from the sum of the discounted cash flows:

NPV = PV of Cash Flows - Initial Cost

NPV = ($33,000 × PVIFA) + ($37,000 × PVIFA) + ($43,000 / (1 + WACC)^10) - $225,000

Calculating the NPV using the present value interest factor of annuity (PVIFA) for each cash flow period, we find NPV ≈ $8,816.91.

Since the payback period is less than the project's expected duration, and the NPV is positive, this project should be accepted. The payback period indicates a relatively quick recovery of the initial investment, and the positive NPV indicates that the project's discounted cash inflows exceed the initial cost. Thus, accepting the investment would be financially beneficial for Braun Inc.

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LIST five differences between a factory that produces car tires
and sell them at National Sports retailer, and, Health Center that
provides medical services

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A factory that produces car tires and sells them at a National Sports retailer differs from a health centre that provides medical services in several ways. Some differences include:

1. Nature of Business: One difference between a factory that produces car tires and a health centre that provides medical services is the nature of their businesses. A factory that produces car tires is a manufacturing business, whereas a health centre that provides medical services is a service business.

2. Tangibility of Products: Another difference between the two businesses is the tangibility of their products. The factory that produces car tires produces tangible products that can be seen and touched, while a health centre provides intangible services that cannot be seen or touched.

3. Market Characteristics: The market characteristics of the two businesses are also different. The market for car tires is generally larger and more competitive than the market for health services.

4. Customer Base: A factory that produces car tires sells its products to retailers like National Sports and other wholesalers. A health centre that provides medical services serves a specific customer base of patients who are seeking medical services.

5. Production Process: The production processes for the two businesses are also different. A factory that produces car tires uses large-scale machinery and equipment to produce its products, whereas a health centre that provides medical services uses human expertise and medical equipment to diagnose and treat patients.

Thus, the five differences between a factory that produces car tires and sells them at a National Sports retailer, and a Health Center that provides medical services are the nature of business, tangibility of products, market characteristics, customer base, and production process.

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A. A market segment that is comprised of brand loyal customers who are already being targeted by a large number of existing companies would make an attractive target market to enter.
B. A market segment that is comprised of people whose needs are not being met well by existing companies, but is a poor match with your company's mission, objectives, and deployment of resources would make an attractive target market to enter.
C. A new soda product called Dr. Pepper Ten was launched with the slogan "It's not for women," targeting men. The marketing campaign was unsuccessful; sex or gender identity don't create different consumption behaviors toward soda. Gender identity was not a good variable to choose for segmentation.

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C. A new soda product called Dr. Pepper Ten was launched with the slogan "It's not for women," targeting men. The marketing campaign was unsuccessful; sex or gender identity don't create different consumption behaviors toward soda. Gender identity was not a good variable to choose for segmentation.

The statement C is correct. The marketing campaign for Dr. Pepper Ten, which targeted men by excluding women, was unsuccessful. Gender identity alone is not a reliable variable fo  in the context of soda consumption behavior. It is important to consider that consumption behaviors and preferences are not solely determined by sex or gender identity. Using gender identity as the basis for segmentation without a strong correlation to consumption behaviors could lead to ineffective targeting and alienation of potential customers.

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A partnership that reports using ASPE has two current partners, Ting and Zoe, who share income and losses of the partnership equally. On January 1, 2020, the net assets of the partnership are $250,000. A new partner, Samantha, is admitted with a 25% ownership share after contributing $150,000 in cash.
How is the bonus allocated when admitting Samantha to the partnership, assuming the bonus method is used?

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In the partnership, Ting and Zoe share income and losses equally, which means that each of them has a 50% ownership share. The bonus allocated when admitting Samantha to the partnership is $90,000

The partnership has a net asset value of $250,000 as of January 1, 2020. A new partner, Samantha, is admitted with a 25% ownership share after contributing $150,000 in cash. If the bonus method is used, the bonus allocation would be done as follows

When a new partner is admitted, the existing partners may decide to grant a bonus to the new partner. The bonus method is a way of distributing the bonus to the existing partners to compensate them for giving up part of their ownership share.

The bonus allocation method allocates the bonus to the partners based on the ratio of their existing ownership interest to the total ownership interest before the admission of the new partner.In this scenario, the total ownership interest before Samantha's admission is 100% (50% for Ting + 50% for Zoe). After Samantha is admitted, the total ownership interest increases to 125% (50% for Ting + 50% for Zoe + 25% for Samantha).

The existing partners have given up part of their ownership share to Samantha, and as such, they are entitled to a bonus. The bonus allocation to Ting and Zoe would be calculated as follows: Ting's bonus = (25% / 125%) x $150,000 = $30,000 Zoe's bonus = (25% / 125%) x $150,000 = $30,000 The bonus allocation to Ting and Zoe would be $30,000 each. Samantha would receive the remaining $90,000 ($150,000 - $30,000 - $30,000).

The total ownership interest in the partnership would be divided as follows: Ting - 37.5%, Zoe - 37.5%, and Samantha - 25%.

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Illustrate all effects that causes a discount loan of $100 made by FED to the First National Bank.

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Here are the effects of a discount loan of $100 made by the Fed to the First National Bank:

The First National Bank's reserves increase by $100.

The First National Bank's lending capacity increases by $100.

The money supply increases by $100.

The interest rate on loans may fall, as banks have more funds to lend.

The economy may grow, as businesses have more access to credit.

Here is a more detailed explanation of each effect:

Increase in reserves: When the Fed makes a discount loan, it credits the bank's account with the amount of the loan. This increase in reserves allows the bank to make more loans.

Increase in lending capacity: The amount of loans that a bank can make is limited by its reserves. When the bank's reserves increase, its lending capacity also increases.

Increase in money supply: When a bank makes a loan, it creates new money. This is because the loan creates a deposit in the borrower's bank account. The borrower then uses this deposit to make purchases, which creates new money in the hands of the seller.

Fall in interest rates: When banks have more funds to lend, they may be willing to lend at lower interest rates. This is because they are more likely to be able to find borrowers who are willing to pay the lower interest rate.

Economic growth: When businesses have more access to credit, they are more likely to invest and hire new workers. This can lead to economic growth.

It is important to note that these are just the immediate effects of a discount loan. The long-term effects may be different, depending on how the loan is used and how the economy responds.

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Spice, Inc. just paid a dividend of $1.80 per share. The dividends are anticipated to maintain a 5.5 percent growth rate, forever. If the stock currently sells for $48.50 per share, what is the dividend yield? What is the capital gains yield? What is the required return?
4.5%; 3.88% ; 8.38% 3.92%; 5.5%; 9.42% 5.5%; 3.92%; 9.42% 3.88%; 4.5% ; 8.38%

Answers

The dividends are anticipated to maintain a 5.5 percent growth rate, forever. If the stock currently sells for $48.50 per share, the dividend yield is  3.71%; 3.88%; 7.6%.

Given data:

Dividend per share (D0) = $1.80

Anticipated growth rate (g) = 5.5%

Price of stock (P0) = $48.50

Formula used: Dividend Yield = Dividend per share / Price per share

Capital Gains Yield = (Price per share - Purchase price per share) / Purchase price per share

Required Return = Dividend Yield + Capital Gains Yield

Dividend Yield:D0 = $1.80P0 = $48.50

Dividend Yield = D0/P0

= $1.80/$48.50

= 0.0371 or 3.71%

Capital Gains Yield:Purchase price per share = Price of stock - Dividend per share

Purchase price per share = $48.50 - $1.80

= $46.70

Capital Gains Yield = (Price per share - Purchase price per share) / Purchase price per share

= ($48.50 - $46.70) / $46.70

= $1.80 / $46.70

= 0.0387 or 3.88%

Required Return:Dividend Yield = 3.71%

Capital Gains Yield = 3.88%

Required Return = Dividend Yield + Capital Gains Yield

= 3.71% + 3.88%= 7.59% ≈ 7.6%

Therefore,The dividend yield is 3.71%, the capital gains yield is 3.88% and the required return is 7.6%.

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Your firm currently has $88 million in debt outstanding with a 8% interest rate. The terms of the loan require the firm to repay $22 million of the balance each year. Suppose that the marginal corporate tax rate is 21%​, and that the interest tax shields have the same risk as the loan. What is the present value of the interest tax shields from this​ debt?

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To calculate the present value of the interest tax shields, we need to determine the cash flows associated with the interest tax shields and discount them to their present value.

The interest tax shield is equal to the interest expense multiplied by the corporate tax rate. In this case, the interest expense is the interest rate multiplied by the remaining debt balance, which is $88 million in the first year. Therefore, the interest tax shield in the first year is 8% * $88 million * 21% = $1.47 million.

Since the terms of the loan require the firm to repay $22 million of the balance each year, the remaining debt balance decreases by $22 million each year. As a result, the interest tax shield also decreases accordingly.

To calculate the present value of the interest tax shields, we need to discount each year's interest tax shield using an appropriate discount rate. Assuming a discount rate of the interest rate (8%), we can calculate the present value of each year's interest tax shield and sum them up.

Using the formula for the present value of a cash flow, the present value of the interest tax shields is given by:

PV = ∑ (Interest tax shield / (1 + r)^t)

Where:

PV = Present value of the interest tax shields

r = Discount rate (interest rate)

t = Number of years

In this case, we need to calculate the present value over the number of years that the loan is outstanding. Since the loan is repaid at a rate of $22 million per year, we can divide the initial debt balance of $88 million by $22 million to determine the number of years, which is 4 years.

Now, we can calculate the present value of the interest tax shields:

PV = $1.47 million / (1 + 8%)^1 + $1.47 million / (1 + 8%)^2 + $1.47 million / (1 + 8%)^3 + $1.47 million / (1 + 8%)^4

By calculating this expression, we find that the present value of the interest tax shields from this debt is approximately $4.63 million.

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Which holds the largest amount of corporate equities in the united states?

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The largest amount of corporate equities in the United States is held by pension funds, mutual funds, and insurance companies.

These types of institutional investors are referred to as "buy-side" investors, as they purchase securities for the purpose of holding them rather than trading them for a profit.Answer more than 100 words:Pension funds are the largest institutional investors in the United States, holding over $8 trillion in assets. They invest in corporate equities as a way to earn returns that can be used to fund future pension liabilities. Mutual funds are another type of institutional investor that invests in corporate equities. They pool money from individual investors and use it to purchase a diversified portfolio of stocks.Insurance companies also hold a significant amount of corporate equities. They invest in stocks as a way to earn returns that can be used to pay out claims to policyholders. Other types of institutional investors that invest in corporate equities include endowments, foundations, and sovereign wealth funds. In contrast, "sell-side" investors, such as investment banks and broker-dealers, facilitate trades between buyers and sellers of securities but do not typically hold them for the long term.To sum up, pension funds, mutual funds, and insurance companies hold the largest amount of corporate equities in the United States.

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How would you determine a company's financial distress (or bankruptcy) risk?

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Determining a company's financial distress or bankruptcy risk involves assessing various financial indicators and analyzing the overall financial health of the company. While there isn't a single formula or method to predict bankruptcy with absolute certainty, you can consider the following key factors and indicators to evaluate the risk:

Financial Statements Analysis:

Income Statement: Evaluate the company's revenue trends, gross profit margin, operating expenses, and net income over time.

Balance Sheet: Assess the company's liquidity, solvency, and leverage ratios, such as current ratio, quick ratio, debt-to-equity ratio, and interest coverage ratio.

Cash Flow Statement: Analyze the company's cash flow from operations, investing, and financing activities to understand its ability to generate cash and manage its obligations.

Trend Analysis:

Compare financial ratios and metrics over multiple periods to identify any significant negative trends, such as declining revenues, increasing expenses, deteriorating profitability, or worsening liquidity.

Look for consistent negative cash flow from operations or a pattern of negative cash flow.

Debt and Liquidity Assessment:

Evaluate the company's debt burden, including short-term and long-term debt obligations. Excessive debt levels, difficulty in servicing debt, or a high debt-to-equity ratio can indicate financial distress.

Assess the company's ability to meet its short-term obligations by examining liquidity ratios like the current ratio or quick ratio. A low liquidity ratio may indicate difficulty in paying short-term obligations.

Profitability and Cash Flow Analysis:

Review the company's profitability trends, profit margins, and operating cash flow. Declining profitability or consistently negative cash flow can be warning signs.

Look for unsustainable business models, unprofitable operations, or shrinking market share.

Industry and Competitive Factors:

Consider the overall health and competitive dynamics of the industry in which the company operates. Significant industry disruptions, intense competition, or technological changes can increase the bankruptcy risk.

Assess the company's market position, customer base, and ability to adapt to changing market conditions.

Legal and Regulatory Issues:

Evaluate any ongoing or potential legal and regulatory challenges the company faces, such as lawsuits, regulatory fines, or non-compliance with industry standards.

Qualitative Factors:

Consider factors beyond financial statements, such as management expertise, corporate governance, strategic initiatives, and market reputation.

Monitor news, industry reports, and analyst opinions to identify any negative signals or concerns.

It's important to note that assessing bankruptcy risk requires a comprehensive analysis and should be done in conjunction with professional expertise, such as financial analysts or consultants. The above factors provide a general framework, but the interpretation and weightage of each factor may vary based on the specific circumstances and industry.

Which of the following statements regarding the Malthusian model are correct when there is a positive Question 7 one-off technological shock (such as an improved seed)? (a) There is an immediate and permanent rise in the average product of labor. (b) The population initially rises but then falls to the pre-technological shock level. (c) Income initially rises but then falls to the subsistence level in equilibrium. (d) A single upward shift of the production function results in both increased population and wages in the long run.

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The correct statements regarding the Malthusian model when companies there is a positive one-off technological shock are (a) There is an immediate and permanent rise in the average product of labor. (b) The population initially rises but then falls to the pre-technological shock level.

A single upward shift of the production function results in both increased population and wages in the long run.What is the Malthusian Model?The Malthusian Model is an economic model that was developed by Thomas Malthus (1766-1834) in the 18th century. According to this model, there is a conflict between population growth and the limited resources available to it.The Malthusian model predicts that if there is a positive one-off technological shock, such as an improved seed, then there will be an immediate and permanent rise in the average product of labor. This is because the improved seed will result in increased productivity, which will lead to higher wages and increased population growth.

However, the model also predicts that the population will initially rise but then fall back to the pre-technological shock level. This is because the increased productivity will lead to increased income and consumption, which will lead to increased population growth, which will in turn lead to decreased wages and increased mortality rates.As a result, in the long run, a single upward shift of the production function results in both increased population and wages. The population will continue to grow until it reaches the subsistence level in equilibrium, at which point both population growth and wages will stabilize.

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Explain the three advantages and disadvantages of business organization

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Business organization refers to the legal structure under which a company operates. Every business has to choose a legal structure that provides the most advantages, while mitigating the disadvantages of each structure. Here are the three advantages and disadvantages of business organization: Advantages of business organization

1. Liability protection: Incorporating your business provides you and your business with liability protection. It shields you from personal liability for any legal action taken against the business.

2. Better access to capital: Corporations have the advantage of easily raising capital. They can sell shares, bonds, or other securities to generate cash. They can also borrow from financial institutions.

3. Business continuity: A corporation can continue to exist even after the death of a shareholder, partner, or director. The ownership of shares can be passed down to heirs, and the company can continue operating.

Disadvantages of business organization1. Higher costs and complexity: Incorporating your business involves more legal paperwork and costs, including legal fees, filing fees, and registration fees.2. Double taxation: Corporations can be subject to double taxation. The company is taxed at the corporate level, and then the shareholders are taxed again on their dividends.3. More regulatory oversight: Corporations have more regulatory oversight than other forms of business organizations. They must comply with many legal requirements, including filing financial statements, conducting annual meetings, and electing directors.

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Briefly explain the difference between goods and services in 150-200 words. Your answer should explain at least 4 differences between goods and services. 7. [10 points] Select an organization of your choice. List at least 5 value addition (core) processes of that organization. List at least 3 inputs for the value addition and list the outputs of value addition.

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Goods and services are two distinct categories in the realm of economic transactions. Goods refer to tangible, physical products that can be seen, touched, and stored.

They are typically manufactured or produced and can be bought and sold. Examples of goods include clothes, furniture, electronics, and vehicles. Services, on the other hand, are intangible actions or efforts provided by individuals or organizations to satisfy the needs or wants of others. Services are consumed at the time they are produced and cannot be stored or transported. Examples of services include haircuts, legal advice, healthcare, and transportation.

Tangibility: Goods are physical objects that can be perceived through the senses, while services are intangible and cannot be held or touched.

Production and Consumption: Goods are typically produced first and then consumed later, allowing for storage and transportation. Services are often produced and consumed simultaneously, making them perishable and location-bound.

Permanence: Goods are generally durable and can be used repeatedly over a period of time. Services, however, are transient and exist only during the time they are performed.

Customization: Goods are often standardized and mass-produced, whereas services can be tailored to meet the specific needs and preferences of individual customers.

In conclusion, goods are tangible products that can be stored, transported, and used over time, while services are intangible actions that are consumed at the time they are produced. Goods have permanence and are usually standardized, while services are transient and customizable.

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The notes to the financial statements are an integral part of the financial statements. They immediately follow the financial statements. The first note is normally the longest and includes discussion of all the following items EXCEPT: The cost flow assumption the company uses for costing inventory on the balance sheet (i.e.. FIFO, LIFO. weighted average method) O The depreciation method used for property and equipment (i.e., straight-line, double-declining balance) O Lawsuits the company faces O The point in which revenue is recognized from retail sales in its stores.

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The notes to the financial statements are an essential part of the financial statements.

The first note in the report is usually the longest, and it incorporates the discussion of all the following items, with the exception of the point at which the revenue is recognized from retail sales in its stores. A company's financial statement may consist of three major parts: a balance sheet, a cash flow statement, and an income statement. The purpose of these statements is to provide information about the company's financial situation and how it's performing. Each statement presents a different aspect of the financials of a business. The balance sheet reports the company's assets, liabilities, and equity. The income statement reports the company's revenue, expenses, and net income or loss for a specified period. The cash flow statement shows the flow of cash in and out of the company during a period. The notes to the financial statements offer additional information about the company's financial position and performance. The financial statement notes explain the accounting policies used by the company, any significant events or transactions, and any other material information. This information provides transparency and allows investors and other stakeholders to make informed decisions. As noted in the question, the first note in the report is usually the longest, and it includes information about various items, such as the depreciation method used for property and equipment, the cost flow assumption that the company uses for costing inventory on the balance sheet, and lawsuits that the company faces. However, it does not include the point in which revenue is recognized from retail sales in its stores. The notes to the financial statements are crucial for understanding a company's financials. They provide details about various aspects of the financial statements, such as accounting policies, significant transactions, and other relevant information. These notes are an integral part of the financial statements, and they help investors and other stakeholders make informed decisions.

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Reflection
Competency 1: Evaluate data-driven processes and approaches of an organization’s operations.
This reflection activity is comprised of two sections, collectively totaling a minimum of 500 words. Complete your reflections by responding to all prompts.
Operations Management
Explain what work in operations management looks like and what key operational decisions a firm needs to make to match supply with demand. Determine how to improve process efficiency by off-loading a bottleneck or how to balance a process by relocating work from one step to another.
Evaluate the Lean Philosophy
Choose 3 of the following questions to discuss:
What is the Lean concept and why is it important to study?
How can Lean be applied to manufacturing and service processes?
Will Lean work in service environments? Why or why not?
Discuss ways to use Lean to improve 1 of the following: a pizza restaurant, a hospital, or an auto dealership.
Why is Lean hard to implement in practice?
Explain the relationship between quality and productivity under the Lean philosophy.

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Operations management involves overseeing various aspects of an organization's activities to ensure efficient production and delivery of goods and services. Key operational decisions include matching supply with demand, improving process efficiency by addressing bottlenecks, and balancing work across different steps.

Operations management involves overseeing the activities and processes within an organization to ensure efficient production and delivery of goods and services.

It encompasses various aspects such as supply chain management, production planning, inventory management, and quality control.

The key operational decisions that a firm needs to make to match supply with demand include forecasting demand, determining production capacity, managing inventory levels, and implementing appropriate scheduling and production control systems.

These decisions aim to optimize resources, minimize costs, and meet customer demands effectively.

To improve process efficiency, one approach is to identify and address bottlenecks. Bottlenecks are points in a process where the flow is constrained, causing delays and inefficiencies.

Off-loading a bottleneck can involve increasing capacity at that particular step by adding more resources or streamlining the process to reduce cycle time. Another approach is to balance the process by redistributing work from one step to another.

This can be achieved by analyzing the workload at each step and identifying opportunities to allocate tasks more evenly, ensuring that no single step becomes overloaded while others remain underutilized.

Overall, the goal of operations management is to optimize processes, resources, and workflows to meet customer demands efficiently, reduce costs, and maximize productivity.

By making informed decisions and continuously improving operations, organizations can achieve competitive advantages in the marketplace.

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1) Price(which pricing strategy Starbucks
Malaysia used?)
2) Place (Distribution strategy: How can customer buy
Starbucks Malaysia products)

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The pricing strategy used by Starbucks Malaysia is the premium pricing strategy. Starbucks Malaysia is a premium brand of coffee that operates within the coffeehouse industry.

They have employed the premium pricing strategy to increase their profit margins by selling their coffee products at higher prices compared to other brands in the market.2. Distribution strategy of Starbucks MalaysiaThe Place strategy employed by Starbucks Malaysia is through company-owned stores and franchisees, which are in line with their mission to "inspire and nurture the human spirit – one person, one cup, and one neighborhood at a time". Customers can purchase Starbucks Malaysia products through these stores and even through the company's online store where they can order the coffee products and have them delivered to their doorstep. This distribution strategy has helped to increase the availability of Starbucks Malaysia products to their customers and also to increase the company's revenue.

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If your monthly after tax income is $2000, what should be your maximum monthly amount spent on consumer credit payments (not including mortgage), according to experts?
a. $1200
b. $1500
c. $100
d. $400

Answers

The maximum monthly amount spent on consumer credit payments, according to experts would be $400. Option d is correct.

According to financial experts, it is generally recommended that you should spend no more than 20% of your monthly after-tax income on consumer credit payments.

Given that your monthly after-tax income is $2000, the maximum monthly amount you should spend on consumer credit payments would be:

Maximum monthly amount = 20% of $2000

Maximum monthly amount = 0.2 × $2000

Maximum monthly amount = $400

Therefore, the maximum monthly amount spent on consumer credit payments, according to experts, would be approximately $400, which corresponds to option d).

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Maya has decided to invest in JYP Corporation’s preferred
shares, which pays RM3.00 dividend and the required rate of return
is 12 percent. Compute the value of preferred share.

Answers

The value of JYP Corporation's preferred share is RM25.00. The value of JYP Corporation's preferred share can be calculated using the dividend discount model.

The formula for calculating the value of a preferred share is: Value of Preferred Share = Dividend / Required Rate of Return

In this case, the dividend is RM3.00 and the required rate of return is 12 percent (0.12 in decimal form). Plugging these values into the formula, we get:

Value of Preferred Share = RM3.00 / 0.12 = RM25.00

Therefore, the value of JYP Corporation's preferred share is RM25.00.

The dividend discount model assumes that the value of a preferred share is equal to the present value of its future dividends. The required rate of return represents the investor's expected return on the investment given its riskiness. By dividing the dividend by the required rate of return, we can estimate the present value of the future dividends and determine the value of the preferred share. In this case, with a dividend of RM3.00 and a required rate of return of 12 percent, the value of the preferred share is calculated to be RM25.00.

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Suppose that the production function is Y=10(K)1/4(L)3/4 and capital lasts for an average of 50 years so that 2 % of capital wears out every year. Assume that the rate of growth of population equals 0. If the savings rate s=0.128, calculate the steady-state level of capital per worker, output per worker, consumption per worker, savings and investment per worker, and depreciation per worker.

Answers

The steady-state level of capital per worker is approximately 3.52, output per worker is approximately 6.19, consumption per worker is approximately 4.67, savings and investment per worker is approximately 0.80, and depreciation per worker is approximately 0.07.

To calculate the steady-state level of capital per worker, we use the equation k* = (sY* - δk*) / (n + g), where k* represents capital per worker, s is the savings rate, Y* is output per worker, δ is the depreciation rate, n is the population growth rate, and g is the technological progress rate. Since the population growth rate is given as 0, n = 0. The technological progress rate is also not specified, so we assume it to be zero, g = 0. The depreciation rate is 2% per year, which means δ = 0.02.

Substituting the given values into the equation, we have k* = (0.128 * 6.19 - 0.02 * k*) / (0 + 0). Solving this equation, we find k* = 3.52.

Next, we can calculate output per worker (Y*) using the production function Y = 10(K^(1/4))(L^(3/4)). Since we know k*, we can substitute it into the production function and solve for Y*. Plugging in k* = 3.52, we find Y* = 6.19.

To calculate consumption per worker, we use the equation c* = Y* - δk*. Substituting the values, c* = 6.19 - (0.02 * 3.52) = 4.67.

Savings and investment per worker are equal to sY*, which is approximately 0.128 * 6.19 = 0.80.

Depreciation per worker is equal to δk*, which is approximately 0.02 * 3.52 = 0.07.

In conclusion, the steady-state level of capital per worker is approximately 3.52, output per worker is approximately 6.19, consumption per worker is approximately 4.67, savings and investment per worker is approximately 0.80, and depreciation per worker is approximately 0.07.

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Which type of life insurance has premiums that increase with age?
a Creditor insurance
b Whole life insurance
c Term insurance
d Long-term care insurance

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The type of life insurance that has premiums that increase with age is term insurance. Term insurance provides coverage for a specific term, such as 10, 20, or 30 years.

The premiums for term insurance are typically lower when the policy is initially purchased but increase as the insured individual gets older. Unlike whole life insurance, which has level premiums that remain constant throughout the policy's duration, term insurance premiums are based on the insured individual's age and health at the time of policy issuance.

As the insured individual ages, the risk of mortality increases, resulting in higher premiums to compensate for the increased risk. Therefore, term insurance is the type of life insurance where premiums generally increase with age.

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Consider the following potential events that might have occurred to Global on December 30, 2018. For each one, indicate which line items in Global's statement of financial decision would be affected and by how much. Also indicate the change to Global's book value of equity. Complete parts a through f below. WIE. Global used $19.1 million of its available cash to repay $19.1 million of its long-term debt.

OA. Long-term liabilities would decrease by $19.1 million, and cash would decrease by the same amount. The book value of equity would be unchanged. O B. Long-term liabilities would decrease by $19.1 million, and cash would decrease by the same amount. The book value of equity would change by $19.1 million. OC. Long-term liabilities would increase by $19.1 million, and cash would increase by the same amount. The book value of equity would be unchanged. O D. Long-term liabilities would decrease by $19.1 million, and cash would increase by the same amount. The book value of equity would be unchanged.

Answers

The events that might have occurred to Global on December 30, 2018, are : WIE.

Global used $19.1 million of its available cash to repay $19.1 million of its long-term debt. Answer and Explanation: a) Long-term liabilities would decrease by $19.1 million, and cash would decrease by the same amount. The book value of equity would be unchanged .b) Long-term liabilities would decrease by $19.1 million, and cash would decrease by the same amount. The book value of equity would be unchanged because the value of the assets decreased by $19.1 million when the liability was repaid .c) Long-term liabilities would increase by $19.1 million, and cash would increase by the same amount. The book value of equity would be unchanged .d) Long-term liabilities would decrease by $19.1 million, and cash would increase by the same amount. The book value of equity would be unchanged because both the liability and the asset would decrease by the same amount, and thus the total assets of Global would be unchanged. The correct option is option A. In this case, the decrease in long-term liabilities will have no impact on the company's equity book value since it was financed by a reduction in cash. A decrease in the value of one asset and an equal decrease in the value of one liability has no net impact on equity, so the book value of equity is unchanged.

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how does the author's choice to use the above passage to impact the development of the ideas of naturalism in the novel?

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The characters' behavior is portrayed as being influenced by their environment rather than by their own individual choices or beliefs.


The passage uses vivid descriptions of the natural world to show how the characters are shaped by their surroundings. For example, the description of the swamp as "a vast, dense tangle, a swampy thicket" suggests that it is a dangerous and inhospitable place that can easily overpower those who venture into it. This creates a sense of foreboding and danger that influences the behavior of the characters who are forced to navigate this environment.

The passage also emphasizes the characters' helplessness in the face of their environment. The phrase "the wilderness masters the colonists" suggests that the colonists are at the mercy of their surroundings, rather than being in control of their own fate. This is a key tenet of naturalism, which argues that individuals are subject to larger forces that are beyond their control.
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