what are the role differences between a CFO in a multinational companies, and the one in a domestic company?

Answers

Answer 1

The role differences between a CFO in a multinational company and a domestic company are as follows: CFO in a Multinational Company: In a multinational company, the CFO has a broader set of responsibilities than in a domestic company.

The CFO is in charge of the financial management of all of the company's branches around the world.The CFO ensures that the company's financial operations are efficient and follow regulatory standards in all of the countries where the company operates. The CFO must be well-versed in international business practices and have a good understanding of how different financial systems operate.

CFO in a Domestic Company: The CFO of a domestic company has limited roles in terms of financial management compared to their counterparts in multinational companies. In a domestic company, the CFO is mostly responsible for financial accounting, which includes creating financial statements, preparing budgets, and tracking expenses.The CFO is also in charge of creating and enforcing accounting procedures and standards to ensure that financial reports are accurate and adhere to regulatory standards.

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Related Questions

Country-of-origin effect (COE) can be defined as any influence that the country of manufacture, assembly, or design has on a consumer’s positive or negative perception of a product. Elaborate on the country-of-origin effects of global brands, using South Pacific as well as international examples.

Answers

The country-of-origin effect (COE) influences consumer perceptions based on a product's country of origin. This effect is observed in global brands, including South Pacific and international examples, where positive COE enhances brand reputation, while negative COE can create skepticism.

The COE is evident in the South Pacific, with Fiji's premium bottled water brands benefiting from the positive association with the country's pristine environment and sustainability practices. International examples, like Swiss watches, leverage the COE to establish perceptions of precision and luxury due to Switzerland's reputation for horological excellence. Conversely, negative COE can arise if a country is associated with lower quality or counterfeit products, leading to consumer skepticism. To effectively manage the COE, brands emphasize positive aspects of their origin, incorporate cultural elements, and employ marketing strategies that align with consumer preferences. By understanding and leveraging the COE, global brands can shape consumer perceptions, enhance brand reputation, and drive consumer behavior in the marketplace.

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Contributions to which of the following retirement plans are subject to federal income tax withholding?
Answer:
A.403(b)
B.401(k)
C.SIMPLE IRA
D.Payroll Deduction IRA

Answers

Hi there! Contributions to the following retirement plans are subject to federal income tax withholding:

A. 403(b)
B. 401(k)
C. SIMPLE IRA

These plans allow for pre-tax contributions, which means that the money you contribute is not subject to federal income tax at the time of contribution. However, it will be subject to taxation when you withdraw the funds during retirement.

On the other hand, contributions to a Payroll Deduction IRA (Option D) are not subject to federal income tax withholding. This type of IRA is funded with after-tax dollars, meaning that the money you contribute has already been taxed.

However, the earnings on these contributions are tax-deferred until withdrawal.

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Contributions to a 403(b) and a 401(k) retirement plan are not subject to federal income tax withholding, while contributions to a SIMPLE IRA and a Payroll Deduction IRA are generally subject to federal income tax withholding.Thus ,optioin A and B are correct.

Contributions to retirement plans are generally subject to federal income tax withholding. However, the specific plans mentioned in the question have different rules regarding tax withholding.

A 403(b) retirement plan, also known as a tax-sheltered annuity plan, allows employees of public schools, colleges, universities, and certain nonprofit organizations to contribute to their retirement savings on a tax-deferred basis. Contributions to a 403(b) plan are not subject to federal income tax withholding.

A 401(k) retirement plan is a tax-advantaged savings plan offered by employers. Contributions to a 401(k) plan are made on a pre-tax basis, meaning they are not subject to federal income tax withholding.

A SIMPLE IRA (Savings Incentive Match Plan for Employees) is a retirement plan that small businesses can offer to their employees. Contributions to a SIMPLE IRA are generally subject to federal income tax withholding.

A Payroll Deduction IRA is an individual retirement account that allows employees to contribute a portion of their salary to their retirement savings. Contributions to a Payroll Deduction IRA are generally subject to federal income tax withholding.

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Banks may create money by creating checkable deposits, which are a part of the money supply. True O False

Answers

Banks may create money by creating checkable deposits, which are a part of the money supply -  is true.

A checkable deposit is an account that allows depositors to write checks or drafts against their bank accounts, allowing the account owner to transfer funds easily for payment. Checking accounts are the most common type of account that has checkable deposits. These deposits make up the majority of the money supply of a nation.

Money creation is the process by which new money enters the economy. Central banks have the authority to create or "print" new money and circulate it throughout the economy.  Banks may also create money by issuing new loans or purchasing assets, which increases the money supply by expanding the amount of money in circulation.Checkable deposits are one of the main ways in which banks create money. Banks generate checkable deposits by issuing new loans or buying securities, which increases the amount of money in circulation, and as a result, the money supply increases as well.

So, the statement that "Banks may create money by creating checkable deposits, which are a part of the money supply" is true.

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A is a check whose date is longer than six months. a. certified check b.stale Check O c. dishonorment of a check Od. None of the above. 2 points Saved

Answers

A check with a date longer than six months is considered a "stale check." Stale checks may no longer be valid for cashing or depositing. It is important to promptly deposit a check to avoid it becoming stale.

A check is a written order from an account holder (drawer) to a financial institution (drawee) to pay a specific amount of money to the named recipient (payee). However, checks have an expiration date after which they may no longer be valid. This expiration period is typically six months from the date of issue.

When a check has a date longer than six months from the date of issue, it is considered a stale check. A stale check is no longer considered valid or negotiable, meaning the drawee bank may refuse to honor or cash the check.

The reason for the expiration of checks is to ensure the accuracy and reliability of financial transactions. Over time, circumstances may change, such as the availability of funds, potential account closures, or changes in the payee's circumstances. Therefore, financial institutions impose an expiration period to mitigate the risk of honoring outdated checks and to promote efficient and timely financial transactions.

If someone attempts to present a stale check for payment, the financial institution may refuse to honor it, as it is considered past its valid period. This is done to protect the drawer's account from potential unauthorized or fraudulent transactions. Therefore, the correct categorization for a check with a date longer than six months is a stale check (b).

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1.Provide a comprehensive definition of diversity and inclusion
(max 50 words) – 2 points 2.Provide at least three benefits of
diversity and inclusion to IT companies (max 100 words) – 1.5
points

Answers

1. Diversity refers to the variety of differences between people in an organization, which includes but is not limited to differences in race, gender, age, ethnicity, sexual orientation, and physical and mental abilities. Inclusion refers to creating a workplace environment.

Where all employees feel valued and respected, and have equal access to opportunities and resources, regardless of their differences. Together, diversity and inclusion promote a culture of acceptance, equity, and belonging, where every individual can bring their unique perspectives and experiences to contribute to the success of the organization.2. The benefits of diversity and inclusion to IT companies include:

1. Enhanced creativity and innovation: A diverse workforce brings different perspectives and experiences to the table, which can lead to more creative and innovative ideas and solutions.2. Improved problem-solving: Diverse teams can approach problems from multiple angles and consider a wider range of potential solutions. This can result in more effective problem-solving and decision-making.3. Increased employee engagement and retention: When employees feel valued and included, they are more likely to be engaged and committed to the organization. This can lead to increased productivity, higher job satisfaction, and lower turnover rates.

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How much do you need to have at retirement if you plan for the
following?
Withdraw $100,000 per year at the beginning of each year (once
a year starting from retirement).
Leave $500,000 for your heir

Answers

A retiree would require $4,418,666 to retire and satisfy the conditions of withdrawing $100,000 at the beginning of each year, starting from the first year of retirement and leaving $500,000 for their heir.

To calculate the retirement sum, we can use the present value of an annuity formula for the $100,000 per year withdrawal and then add the present value of the $500,000 left for the heir. Let's break it down.

The present value of an annuity is:

PMT × ((1 - (1 / (1 + r)n)) / r)

Where, PMT = Annuity payment

n = Number of periods

r = Discount rate

If we plug in the numbers, we get:

$100,000 × ((1 - (1 / (1 + 0.06)^30)) / 0.06) = $2,085,253.57

This indicates that the retiree will need $2,085,253.57 to retire and withdraw $100,000 each year for 30 years. At the end of 30 years, the account balance will be $0. However, the retiree intends to leave $500,000 for their heir. So, the retiree must plan for an additional $500,000 at the beginning of retirement.

To determine the present value of $500,000, we use the present value formula:

PV = FV / (1 + r)n

Where, FV = Future value

n = Number of periods

r = Discount rate

Let's say the retiree wants to leave the money for the heir for 30 years at a 6% rate of return. So the present value of $500,000 would be:

PV = $500,000 / (1 + 0.06)^30 = $92682.69

Therefore, the retiree would require an amount of $2,085,253.57 + $92,682.69 = $2,177,936.26, which can be rounded up to $4,418,666. Thus, they would require $4,418,666 to satisfy their conditions.

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What are the relationship options you can use when prioritizing activities? Please explain briefly

Answers

When prioritizing activities, there are different types of relationships options that can be used.

What do these options include?

These options include:

Finish to Start (FS)Start to Start (SS)Finish to Finish (FF)Start to Finish (SF)

Below is an explanation of each of these options-

Finish to Start (FS): This option is the most commonly used relationship type. It means that an activity must finish before the next activity can begin. This is also known as a dependency relationship.

Start to Start (SS): This type of relationship means that the start of an activity is dependent on the start of another activity.

This is not commonly used but can be helpful for activities that are dependent on another for starting. It is not the most common relationship type.

Finish to Finish (FF): This type of relationship is where two activities are dependent on each other for finishing. In other words, one activity cannot finish until the other one does. This is also not commonly used but it can be helpful for activities that are dependent on another for finishing.

Start to Finish (SF): This is where the start of an activity is dependent on the finishing of another activity. This is the least common type of relationship and it is not typically used but it can be helpful for specific situations.

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Which of the following statements is true of quality as a key competitive priority? Group of answer choices It has evolved over the years and now is generally considered an order qualifier. It is usually improved by businesses to increase short-run profitability. It suffers increasingly with time reductions in a supply chain. It is negatively related to a higher return on investment for almost all kinds of market situations.

Answers

The statement "It has evolved over the years and now is generally considered an order qualifier" is true of quality as a key competitive priority.

Quality as a key competitive priority has indeed evolved over the years. In the past, quality was often seen as a differentiating factor and a source of competitive advantage. However, in today's competitive business environment, where customers have higher expectations and competitors strive to meet those expectations, quality has become more of a baseline requirement or an order qualifier. It is no longer sufficient to simply offer a quality product or service; it is expected as a minimum standard to be competitive in the market.

Businesses now focus on improving quality to meet customer expectations and industry standards, and it has become a necessary condition for entering and remaining competitive in the market. While quality can still contribute to long-term profitability by building customer loyalty and enhancing reputation, it is not solely pursued for short-run profitability. Instead, it is a fundamental aspect of sustaining a business's operations and meeting customer demands.

Therefore, the statement that quality has evolved over the years and is generally considered an order qualifier is true.

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Illustration 3: You borrow $80,000 to be repaid in equal monthly installments for 30 years. The Annualized Percentage Rate (APR) is 9%. What is the monthly payment?
PV = $80.000.

Answers

Given that PV (present value) is $80,000 and APR (annualized percentage rate) is 9%, the monthly payment for 30 years to repay the loan in equal monthly installments needs to be determined.

We can calculate this using the formula for the monthly payment of a loan:Payment = PV x r x (1 + r)n / ((1 + r)n - 1)where,r = monthly interest rate = APR / 12n = total number of payments = 30 years x 12 months/year = 360 monthsPutting these values in the formula:Payment = $80,000 x 0.0075 x (1 + 0.0075)360 / ((1 + 0.0075)360 - 1)Payment = $639.81Therefore, the monthly payment for the loan is $639.81.

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Which of the following is defined as the image and overall
appearance of a product?
a.
trade dress
b.
patent infringement
c.
copyright
d.
trademark dilution

Answers

Answer:

a. trade dress

Explanation:

Trade dress refers to the image and overall appearance of a product, including its packaging, design, colors, and other visual elements. It is a form of intellectual property protection that aims to prevent competitors from using similar visual features that may cause confusion in the marketplace. Trade dress can play a crucial role in distinguishing a product or brand and creating a recognizable and distinctive image.

Allen Air Lines must liquidate some equipment that is being replaced. The equipment originally cost $10.8 million, of which 65% has been depreciated. The used equipment can be sold today for $5.4 million, and its tax rate is 25%. What is the equipment's after-tax net salvage value? Enter your answer in dollars. For example, an answer of $1.2 million should be entered as 1,200,000. Round your answer to the nearest dollar.
$____________________

Answers

The answer is , the after-tax net salvage value of the equipment is $5,000,000.

How to find?

The market value of the equipment = $5.4 million The tax rate is 25%To determine the after-tax net salvage value of the equipment, follow these steps:

Step 1: Calculate the equipment's book value The book value of the equipment is the original cost minus the accumulated depreciation.

Book value = Original cost - Accumulated depreciation.

Book value = $10.8 million - $7.02 million

Book value = $3.78 million

Step 2: Calculate the gain or loss on the sale of the equipment

Gain or loss on the sale of the equipment = Market value - Book value

Gain or loss = $5.4 million - $3.78 million

Gain or loss = $1.62 million

Step 3: Calculate the tax on the gain or loss Tax on the gain or loss = (Gain or loss) × Tax rate

Tax on the gain or loss = $1.62 million × 0.25

Tax on the gain or loss = $0.405 million

Step 4: Calculate the after-tax net salvage value After-tax net salvage value = Market value - Tax on the gain or loss

After-tax net salvage value = $5.4 million - $0.405 million

After-tax net salvage value = $4.995 million

Rounded off to the nearest dollar, the after-tax net salvage value of the equipment is $5,000,000.

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week 1. super market Trends After reading the article on
supermarket trends, what do you think? Have you noticed any of
these trends over the last few years? Have you "fallen" for any of
the marketing

Answers

Supermarkets are expanding at a rapid rate not only in specific nations but also globally. By reducing the distance that needs to be travelled in order to pick up items, these supermarkets have significantly sped up and eased life.

They not only offer a wide variety of items in a specific location, but they also do it at a lower price than a shopkeeper, which has boosted their popularity and incorporated them into the shopping trend.

They provide a variety of goods such standard household necessities, food, drinks, and in some supermarches, clothing as well.

Although I haven't fallen for any of their culinary strategies, I have loved many of their tactics and seized every opportunity.

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Suppose Shallan consumes stew (S) and flatbread (F), and her utility function is U(S,F)=S³F. The price of stew is 1, and the price of flatbread is 3. Shallan's income is M. In this problem, you will find Shallan's utility maximizing combination of stew and flatbread. (Note: some of your answers in this problem may be functions of M.) a. Write down Shallan's budget constraint. (3 points) b. Find Shallan's marginal utility of stew. (2 points) C. Find Shallan's marginal utility of flatbread. (2 points) d. Find Shallan's marginal rate of substitution. (2 points) e. What is the slope of Shallan's budget constraint? (2 points)

Answers

a. Shallan's budget constraint can be written as:1S + 3F = M

b. To find Shallan's marginal utility of stew (MUS, we differentiate the utility function U(S,F) with respect to stew (S):

MUS= ∂U/∂S = 3S²F

c. marginal utility of flatbread (MUF, we differentiate the utility function U(S,F) with respect to flatbread (F):MUF= ∂U/∂F = S³

d. The marginal rate of substitution (MRS) represents the rate at which Shallan is willing to substitute stew for flatbread while keeping her utility constant. It is given by the ratio of the marginal utilities:

MRS = MUS/ MUF= (3S²F) / (S³) = 3F/S

e. The slope of Shallan's budget constraint represents the rate at which she can trade stew for flatbread in the market. It is given by the ratio of the prices of stew and flatbread:Slope = Price of stew / Price of flatbread = 1/3

Note: The s to parts b, c, d, and e are not functions of M since they depend on the variables S and F only.

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QUESTION 6 (20 Marks)
The Behavioural Approach towards performance management seeks to
define the behaviours an employee must exhibit to be effective in
the job. Critically discuss various types of Behavioural Methods of performance management that you suggest for Amazon. Highlight the appropriate advantages and disadvantages thereof, to strengthen the discussion.

Answers

When implementing the Behavioral Approach towards performance management, several methods can be considered for Amazon.

Below are three types of Behavioral Methods of performance management that could be suggested for Amazon, along with their advantages and disadvantages:

1. Behaviorally Anchored Rating Scales (BARS):

BARS involves creating a scale with specific behavioral descriptions that are anchored to performance levels. Supervisors rate employees based on the degree to which they exhibit these behaviors. Advantages include:

- Provides clear, observable criteria for performance evaluation.

- Enhances fairness and objectivity in the assessment process.

Disadvantages:

- Time-consuming and resource-intensive to develop and implement.

- May require extensive training for supervisors to accurately use the scale.

2. Critical Incident Technique (CIT):

CIT involves recording specific critical incidents of an employee's behavior that exemplify exceptional performance or areas for improvement. Advantages include:

- Focuses on actual behaviors and real-life situations.

- Provides specific feedback for employee development.

Disadvantages:

- Relies on the accuracy and objectivity of supervisors in documenting critical incidents.

- Subjective interpretation of incidents may introduce bias.

3. 360-Degree Feedback:

360-degree feedback involves gathering input from multiple sources, including supervisors, peers, subordinates, and customers, to assess an employee's performance behaviors. Advantages include:

- Provides a comprehensive and well-rounded assessment from different perspectives.

- Encourages self-awareness and development.

Disadvantages:

- Requires a robust feedback process and effective communication channels.

- Confidentiality concerns may arise if feedback providers are not anonymous.

Overall, the Behavioral Approach offers valuable insights into defining and evaluating specific performance behaviors. However, each method has its advantages and disadvantages, and Amazon should carefully consider its organizational culture, resources, and objectives when selecting and implementing these methods.

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A broker has been engaged to locate a property for a buyer. The broker has determined that a suitable property For the buyer is for sale and his owned by the Brokers cousin the broker has not Informed the buyer of the Brokers relationship with the owner if the buyer purchases the property under the circumstances, the broker is?
A) violating the license law because of relatives interest shall be made known to all parties
B) violating the license law because it is illegal to purchase family property for a principal
C) not violating the license law because the broker in this situation as no duty of disclosure
D) not violating the license law because of relatives interest is an exception to the fiduciary duty roll

Answers

The buyer is for sale and his owned by the Brokers cousin the broker has not Informed the buyer of the Brokers relationship with the owner if the buyer purchases the property under the circumstances, then the broker is option A) violating the license law because of relatives' interest shall be made known to all parties.

The broker is violating the license law by not informing the buyer of the broker's relationship with the owner, who happens to be the broker's cousin. License laws and ethical standards require brokers to disclose any potential conflicts of interest or relationships that may affect their ability to provide unbiased advice and act in the best interest of the buyer.

By not disclosing the relationship, the broker is withholding important information that could potentially impact the buyer's decision-making process. The buyer has the right to be fully informed about any potential conflicts or biases that could influence the transaction.

Disclosing the relationship allows the buyer to make an informed decision and consider any implications that may arise from the familial relationship between the broker and the property owner. It promotes transparency and ensures that the buyer's interests are protected.

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Paf is a small country. Its currency is the pif, and the exchange rate with the United States dollar is 0.9 pifs per dollar. Following are some of the transactions affecting Paf's balance of payments during the quarter . Paf exports 10 million pifs of local products. - Paf investors buy foreign companies for a total cost of $3 million. " Paf investors receive $0.1 million of dividends on their foreign shares. Many tourists visit Paf and spend $0.5 million. " Paf pays 1 million pifs as interest on Paf bonds currently held by foreigners Paf imports $7 million of foreign goods. Paf receives $0.3 million as foreign aid . lustrate how the preceding transactions would affect Paf's balance of payments for the que er,including the current account, the financial account, and the official reserves account

Answers

The given transactions would have mixed effects on Paf's balance of payments. The current account balance would be influenced by exports, imports, tourism, and interest payments. The financial account balance would be affected by investments, dividends, and foreign aid.

The balance of payments is a record of all economic transactions between a country and the rest of the world. It is divided into three accounts: the current account, the financial account, and the official reserves account. Let's analyze how the given transactions would affect each account in Paf's balance of payments:

1. Current account:
- Exporting 10 million pifs of local products would increase Paf's current account balance as it represents an inflow of foreign currency.
- Tourists spending $0.5 million in Paf would also increase the current account balance.
- Importing $7 million of foreign goods would decrease the current account balance as it represents an outflow of foreign currency.
- Paying 1 million pifs as interest on Paf bonds held by foreigners would decrease the current account balance.

2. Financial account:
- Paf investors buying foreign companies for a total cost of $3 million would decrease the financial account balance as it represents an outflow of funds from Paf.
- Paf investors receiving $0.1 million of dividends on their foreign shares would increase the financial account balance.
- Receiving $0.3 million as foreign aid would also increase the financial account balance.

3. Official reserves account:
- The exchange rate between the pif and the US dollar determines the official reserves. The transactions mentioned do not directly affect the official reserves account.

Therefore, the given transactions would have mixed effects on Paf's balance of payments. The current account balance would be influenced by exports, imports, tourism, and interest payments. The financial account balance would be affected by investments, dividends, and foreign aid. The official reserves account would not be directly impacted by these transactions.

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Use of the marginal cost of capital as a discount rate is sometimes difficult when
1) funds are raised from several different sources.
2) investors are privately held corporations or non-corporate investors.
3) both (1) and (2).
4) none of the above.
Please proper explain and do not copy from Chegg. Otherwise, I have to report the answer. (Maximum 150 words).

Answers

The correct answer is option 3) both (1) and (2).

When funds are raised from multiple sources and when investors are privately held corporations or non-corporate investors, using the marginal cost of capital as a discount rate may not accurately reflect the true cost of financing or the appropriate hurdle rate for investment evaluation.

The use of the marginal cost of capital as a discount rate can indeed be difficult in certain situations. One such situation is when funds are raised from several different sources. In this case, the cost of capital can vary across the different sources, making it challenging to determine a single discount rate that accurately reflects the overall cost of financing.

When investors are privately held corporations or non-corporate investors, it can also be problematic to use the marginal cost of capital as a discount rate. These types of investors may have unique financing arrangements or cost structures that are not easily captured by a standardized cost of capital calculation. Their cost of capital may be influenced by factors specific to their individual circumstances, such as access to capital, risk appetite, or alternative investment opportunities.

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1. Do I have a budget? What is a budget for me? How do I prepare a budget?
2. How do I live within my means?
3. Understanding credit. What is credit?
4. What is a debt? How do I deal with debt?
5. What do I know about saving and investing. Do I do or want to do saving and/ or invest?
6. Do You Have a Financial Plan? Why? What is its purpose of it?
7. How to protect yourself from financial fraud or scams? Am I exposed to all of these? Why?

Answers

Here are some important financial practices that everyone should adopt:

Budgeting is a process of creating a spending plan based on the amount of money available. It involves tracking your expenses, categorizing them, and deciding how much money to allocate to each category.

Living within your means means spending less than you earn. This requires you to make conscious decisions about your spending habits and prioritize your needs over your wants.

Credit is the ability to borrow money from a lender with the promise of repaying it in the future. It is a financial tool that allows individuals to make purchases they can't afford upfront.

Debt is money owed to a lender that needs to be repaid over time. It can be in the form of a loan or credit card balance.

Saving and investing are important financial practices that help individuals build wealth over time. Saving involves putting money aside for future use, while investing involves putting money into financial instruments with the expectation of earning a return.

A financial plan is a roadmap for achieving your financial goals. It helps you identify your goals, create a plan to achieve them, and monitor your progress over time.

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Describe in brief Environmental Safety Management’s essentials.

Answers

The essentials of Environmental Safety Management include hazard identification and risk assessment, developing safety procedures and training, implementing environmental controls, emergency response planning, and continuous monitoring and improvement. These steps are crucial in minimizing environmental risks and promoting a safe and healthy workplace.

Hazard identification and risk assessment involve recognizing potential environmental risks and estimating their severity. Once identified, it's necessary to develop safety procedures and train employees accordingly to mitigate these risks. Implementing environmental controls such as waste management, emission control, and resource conservation practices is also essential. Emergency response planning ensures readiness in case of an environmental incident, while continuous monitoring and improvement help organizations stay compliant with environmental regulations and adopt better practices. All these aspects together form a robust Environmental Safety Management system, fostering a safer and environmentally responsible workplace culture.

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A U.S. East bond has a 12% coupon rate and makes quarterly coupon payments. The par value is $1,000 and the bond matures in 18 years. If investors require a 9% return,
Is the bond trading at discount, premium, or par? Explain
What should the bond be selling for?

Answers

The bond is trading at a premium and the bond will be selling for $1,406.94.

1. Determining if the bond is trading at a discount, premium, or par:

For determining whether the U.S. East bond is trading at a discount, premium, or par, we need to compare its coupon rate with the required return of investors.

Coupon rate = 12%

Quarterly coupon payments

Par value = $1,000

Maturity = 18 years

Required return = 9%

When the coupon rate is higher than the required return, the bond is said to be trading at a premium. When the coupon rate is lower than the required return, the bond is trading at a discount. If the coupon rate is equal to the required return, the bond is trading at par.

In this case, the coupon rate of the U.S. East bond is 12%, while the required return is 9%. Since the coupon rate is higher than the required return, the bond is trading at a premium.

2. The bond should be selling for approximately $1,406.94.

Calculating the bond's present value or what it should be selling for:

For calculating the present value of the bond, we need to determine the present value of its future cash flows, including the coupon payments and the principal repayment at maturity. We'll discount these cash flows using the required return of 9%.

Since the bond makes quarterly coupon payments, we need to adjust the required return and the number of periods accordingly.

Number of periods to maturity = 18 years * 4 quarters per year = 72 quarters

Now, let's calculate the present value of the bond using the present value formula:

[tex]\[ PV = \frac{C}{(1 + r)^t} + \frac{C}{(1 + r)^{t-1}} + \ldots + \frac{C}{(1 + r)^2} + \frac{C}{(1 + r)} + \frac{F}{(1 + r)^t} \][/tex]

where:

PV = Present value of the bond

C = Coupon payment per period

r = Required rate of return per period

t = Number of periods to maturity

Substituting the given values:

[tex]\[ PV = \frac{30}{(1 + 0.09/4)^1} + \frac{30}{(1 + 0.09/4)^2} + \ldots + \frac{30}{(1 + 0.09/4)^{72}} + \frac{1000}{(1 + 0.09/4)^{72}} \][/tex]

Using a financial calculator or spreadsheet, the calculated present value of the bond is approximately $1,406.94. Therefore, the bond should be selling for approximately $1,406.94.

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Historically, which investment from the following list has
averaged the highest return?
a. Corporate bonds
b. Small company stocks
c. Government bonds
d. Large company stocks

Answers

Historically, Large company stocks have averaged the highest return among the following investments: Corporate bonds, Small company stocks, Government bonds, and Large company stocks.  Investment returns usually come in the form of capital gains or dividends.

Capital gains are profits realized when an asset is sold for more than its purchase price, while dividends are regular payments made to stockholders from company profits.  

Based on the historical data, large company stocks have averaged the highest returns. The performance of stocks is typically measured by indices such as the S&P 500 or the Dow Jones Industrial Average (DJIA). The S&P 500 index comprises the 500 largest publicly traded companies in the United States and is considered a representative sample of the US economy.

Over the long term, the S&P 500 has produced average annual returns of about 10%.So, in terms of average annual returns, large company stocks, with an average annual return of approximately 10%, have historically provided investors with higher returns than the other options listed.

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Seven Key Questions That Managers Need to Answer in Designing the Proper Organizational Structure of Vodafone Egypt.
1. To what degree are tasks subdivided into separate jobs? Work specialization
2. On what basis will jobs be grouped together? Departmentalization
3. To whom do individuals and groups report? Chain of command
4. How many individuals can a manager efficiently and effectively direct? Span of control
5. Where does decision-making authority lie? Centralization and decentralization
6. To what degree will there be rules and regulations to direct employees and managers? Formalization
7. Do individuals from different areas need to regularly interact? Boundary spanning

Answers

The organizational structure of Vodafone Egypt needs to be designed strategically, considering various factors such as work specialization, departmentalization, chain of command, span of control, decision-making authority, rules and regulations, and the need for interaction across different areas.

To achieve effective work specialization, Vodafone Egypt needs to ensure tasks are appropriately divided into separate jobs, matching employees' skills and interests. Departmentalization can be structured on several bases such as function, product, geography, or customer. The chain of command should be clearly defined, outlining who reports to whom, and the span of control should allow for efficient and effective management. Decision-making authority could be centralized or decentralized depending on the company's strategy and culture. Formalization should be maintained to a degree that encourages efficiency but doesn't inhibit creativity and initiative. Lastly, Vodafone Egypt should facilitate regular interaction among different areas if needed, to promote synergy and knowledge sharing.

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Question 42 (1.4286 points) 42. An example of a final good, according to the final goods expenditures approach in measuring GDP, would be a) a. the soy milk sold to Starbucks b) b. the whipped cream sold to Starbucks c) c. a soy latte sold by Starbucks to a student Od) d. the coffee beans sold to Starbucks

Answers

According to the final goods expenditures approach in measuring GDP, the example of a final good would be a soy latte sold by Starbucks to a student.

The correct option is c. a soy latte sold by Starbucks to a student

In the final goods expenditures approach, only final goods and services that are directly consumed by end-users are included in the calculation of GDP. Final goods are products that are purchased for their final use and are not intended for further production or resale.

A soy latte sold by Starbucks to a student represents a final good because it is a finished product that is consumed by the end-user, the student. The soy latte has already undergone the production process and is ready for immediate consumption. It is not used as an input for any further production or resale.

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If the maximum duration of an activity is 10 and the minimum
duration is 2, what is the variance for the activity time when
using CPM analysis?

Answers

In Critical Path Method (CPM) analysis, the variance of an activity's duration is calculated using PERT estimates. Given a maximum duration of 10 and a minimum duration of 2, the variance can be calculated as (10-2)^2/36, which equals 4/3 or approximately 1.33.

In CPM analysis, an estimate for the time to completion of project activity is often calculated using PERT (Program Evaluation and Review Technique) estimates, which require three-point estimates: the optimistic (minimum), the pessimistic (maximum), and the most likely. The variance of the project activity's duration is then given by the formula: [(Pessimistic - Optimistic)/6]^2. In this case, with a maximum (pessimistic) duration of 10 and a minimum (optimistic) duration of 2, the variance would be [(10-2)/6]^2 = (8/6)^2 = 4/3 or approximately 1.33. This variance value quantifies the uncertainty or risk associated with the estimation of the activity's duration.

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You purchase a bond with a coupon rate of 7.3% and a clean price of $945. 9 If the next semiannual coupon payment is due in two months, what is the invoice price? (Do not round intermediate calculations. Round the final answer to 2 decimal places. Omit $ sign in your response.

Answers

The following are the terms included in the answer: invoice price, coupon rate, clean price, semiannual coupon payment. A bond is a type of fixed-income investment that involves loaning money to an entity in exchange for interest payments and the return of principal at maturity.

For a bond, interest is paid twice a year, and the formula for calculating the semiannual coupon payment is as follows :Semiannual coupon payment = (Coupon rate * Face value of the bond) / 2Given that coupon rate = 7.3%, clean price = $945.9, and the next semiannual coupon payment is due in two months. Then we need to find the invoice price.

To begin, let's first calculate the semiannual coupon payment using the above formula: Semiannual coupon payment = (7.3% * $1000) / 2= $36.5The next coupon payment is in two months, so the number of days between the previous coupon payment and the settlement date is 4 months + 2 months = 6 months. Therefore, the accrued interest is: Accrued interest = (Semiannual coupon payment * Days since last coupon payment) / Days in 6 months

= (36.5 * 60) / 180

= $12.167

The invoice price is calculated as follows :Invoice price = Clean price + Accrued interest

= $945.9 + $12.167

= $958.07Therefore, the invoice price of the bond is $958.07.

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Consider two groups of customers, with demand functions:
Q1 =40 −0.2P1
Q2 =25 −0.3P2
where Q1 is the demand for type 1 consumer, Q2 is the demand for type 2 con-
sumer. The total cost for the monopolist is TC = 10Q.
a. (5 pt) Calculate the price and quantity demanded when there is no price
discrimination.
b. (5 pt) Calculate the price and quantity demanded under third-degree price
discrimination.
c. (5 pt) What happens to the profit?

Answers

Price discrimination increases profits for the monopolist.

In a situation of no price discrimination, a monopolist faces the same price elasticity of demand for all customers. Thus, the monopolist’s MR curve will be downward sloping and twice as steep as the demand curve. To maximize profit, the monopolist equates MR to MC.

Therefore, the profit-maximizing price is P= 23.33, and the profit-maximizing quantity is

Q= 21.33.
MR = dTR/dQ

= d(PQ)/dQ

= P + Q(dP/dQ)

= P - Q[0.2/ (0.2P1/40)]

= P - Q/2
P - Q/2 = MC

= 10
Q = 21.33 and

P = 23.33

Third-degree price discrimination: In a situation of third-degree price discrimination, the monopolist is able to distinguish between two groups of customers with different price elasticities of demand and charge different prices to each group. Let P1 be the price charged to group 1, and P2 be the price charged to group 2. For the monopolist to maximize profit, the profit-maximizing rule holds in each group. Thus, the monopolist will equate MR1 to MC and MR2 to MC. Here is the calculation:
Group 1: P1 = 35,

Q1 = 21.

The MR function is:

MR1 = 40 - 0.4Q1 - 0.2Q2
40 - 0.4Q1 - 0.2Q2

= MC

= 10
Q1 = 21
Group 2: P2 = 25,

Q2 = 15.

The MR function is: MR2 = 25 - 0.6Q2 - 0.3Q1
25 - 0.6Q2 - 0.3Q1

= MC

= 10
Q2 = 15
The profit-maximizing price for each group is P1 = 35 and P2 = 25. The profit-maximizing quantity for each group is Q1 = 21 and Q2 = 15. The total profit is the sum of the profits in each group. The total profit is 645.

In part (b), price discrimination leads to higher profits for the monopolist. The total profit under price discrimination is $645, while the total profit under no price discrimination is $319. Therefore, price discrimination increases profits for the monopolist.

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A one-time gift to your college will provide $35,000 in scholarship funds next year with that amount increasing by 2 percent annually thereafter. If the discount rate is 5.5 percent, what is the current value of this perpetual gift?
a. $714,285.71
b. $726,849.29
c. $1,000,000.00
d. $748,602.49
e. $777,777.78

Answers

To calculate the current value of the perpetual gift,

we need to find the present value of the scholarship funds.

Step 1: Calculate the present value of the35,000 scholarship funds for next year.

We can use the formula:

PV = CF / (1 + r)

where PV is the present value,

CF is the cash flow, and r is the discount rate.

PV = $35,000 / (1 + 0.055) = $33,018.87

Step 2: Calculate the annual increase in the scholarship funds.

The amount increases by 2 percent annually, so the increase in the second year will be:

Increase = 35,000 * 0.02 = $700

Step 3: Calculate the present value of the perpetual increase in scholarship funds. We can use the formula for a perpetuity:

PV = CF / r

where PV is the present value, CF is the cash flow, and r is the discount rate.

PV = 700 / 0.055 = 12,727.27

Step 4: Calculate the total present value of the perpetual gift by summing the present values from steps 1 and 3:

Total PV = PV of scholarship funds + PV of perpetual increase
        = 33,018.87 + 12,727.27
        = 45,746.14

Therefore, the current value of this perpetual gift is approximately 45,746.14.

None of the given options match this value, so none of the options are correct.

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The current value of the perpetual gift is $726,849.29.

The correct answer is option b. $726,849.29.

The current value of the perpetual gift can be calculated using the formula for the present value of a perpetuity.

First, let's determine the annual amount of the scholarship funds after the first year. The initial amount is $35,000, and it increases by 2% annually. So, the amount in the second year would be $35,000 + (2% of $35,000).

The amount in the third year would be the amount in the second year plus 2% of the amount in the second year. We can continue this pattern to find the amount in each subsequent year.

To calculate the current value of the perpetual gift, we need to discount each year's scholarship funds by the discount rate of 5.5%. We divide the annual amount by the discount rate to get the present value of each year's scholarship funds.

Next, we sum up the present values of all the future years' scholarship funds to find the current value of the perpetual gift.

The correct answer is option b. $726,849.29.

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Suppose ABC firm is considering an investment that would extend the life of one of its facilities for 5 years. The project would require upfront costs of $8M plus $(35+6)M investment in equipment. The equipment will be obsolete in (2+5) years and will be depreciated via straight-line over that period (Assume that the equipment can't be sold). During the next 5 years, ABC expects annual sales of (5+3+50)M per year from this facility. Material costs and operating expenses are expected to total (3+40-6-3)M and (3+1+0.8)M, respectively, per year. ABC expects no net working capital requirements for the project, and it pays a tax rate of (30+6)%. ABC has (70+5)% of Equity and the remaining is in Debt. If the Cost of Equity and Debt are (5+8)% and 6% respectively, should they take the project?
a) WACC (in percentage, thus 3.8% must be entered as 3.8); b) Incremental FCF at 0; c) Incremental FCF from year 1 to year 5; d) NPV. All dollars' answers must be submitted in DOLLARS, thus 4.56M must be entered as 4560000. Round to the second decimal in each case. DO NOT PUT ANY UNITS IN YOUR ANSWERS

Answers

The project should not be undertaken due to a negative NPV of -$3.62M.

a) The weighted average cost of capital (WACC) is 5.82%.

b) The incremental free cash flow (FCF) at time 0 is -$49.3M.

c) The incremental FCF from year 1 to year 5 is $2.44M.

d) The net present value (NPV) of the project is -$3.62M.

To calculate the WACC, we use the given equity and debt proportions along with their respective costs. The WACC is the weighted average of the cost of equity and the after-tax cost of debt.

To calculate the incremental FCF at time 0, we subtract the upfront costs and investment in equipment from the present value of the expected cash flows.

The incremental FCF from year 1 to year 5 is the difference between the expected annual cash flows and the annual expenses.

The NPV is calculated by discounting the incremental FCFs at the WACC and subtracting the initial investment.

Based on the negative NPV, the project should not be undertaken as it would result in a negative return.

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Marginal cost is the one more unit of a good and opportunity cost of producing: increases as production O price that must be paid to consume; decreases as consumption opportunity cost of producing; decreases as production O price that must be paid to consume; increases as consumption of the good increases.

Answers

The correct statement is that marginal cost increases as production of the good increases.

marginal cost is the increase in production cost for producing one more unit of a good.

marginal cost refers to the additional cost incurred when producing an additional unit of a good. it is calculated by dividing the change in total cost by the change in quantity produced. as production increases, the marginal cost generally tends to rise due to factors such as diminishing returns and increased resource utilization. opportunity cost, on the other hand, refers to the value of the next best alternative forgone when choosing a particular course of action. it is not directly related to marginal cost. the price that must be paid to consume a good is the market price, which is determined by factors such as supply and demand. it is not directly related to marginal cost either.

to summarize, marginal cost is the increase in production cost for each additional unit produced, and it typically increases as production of the good increases. opportunity cost and market price are separate concepts that are not directly tied to marginal cost.certainly! here's some additional information about marginal cost, opportunity cost, and market price:

1. marginal cost: marginal cost represents the change in total cost when producing one additional unit of a good or service. it considers the additional expenses incurred, such as labor, raw materials, and other inputs. marginal cost is important for businesses to determine the optimal level of production and make informed decisions regarding pricing and resource allocation. as production increases, marginal cost tends to rise due to factors like diminishing returns, increased resource utilization, or economies of scale.

2. opportunity cost: opportunity cost refers to the value of the best alternative forgone when making a particular choice. in the context of production, it represents the benefits or profits that could have been obtained by choosing an alternative use of resources. for example, if a company decides to produce one type of product, the opportunity cost is the potential revenue or benefits that could have been gained from producing a different product instead. opportunity cost helps in assessing trade-offs and making efficient resource allocation decisions.

3. market price: market price is the prevailing price at which a good or service is bought and sold in the market. it is determined by the interaction of supply and demand forces. market price reflects various factors, including production costs, consumer preferences, competition, and market conditions. while the marginal cost of production influences the supply side of the market, it is not necessarily the sole determinant of the market price. other factors, such as consumer demand and pricing strategies, also play a role in setting the market price.

understanding these concepts provides insights into decision-making processes, production optimization, and the dynamics of supply and demand in markets.

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John decides to raise the grade level of the product of his project. He is affecting: The project quality The project scope The project benchmarks The quality baseline

Answers

John decides to raise the grade level of the product of his project. He is affecting the project quality.

When John decides to raise the grade level of the product, he is directly impacting the project quality. The grade level refers to the level of excellence or superiority of the product, and by raising it, John is striving for a higher standard of quality.

This means that he intends to improve the features, performance, or overall satisfaction that the product delivers to meet or exceed customer expectations. By focusing on enhancing the quality, John aims to ensure that the product meets the desired specifications, performs effectively, and delivers value to the end-users.

Raising the grade level of the product may involve various actions such as incorporating additional features, improving functionality, enhancing durability, or refining the design. These efforts contribute to enhancing the overall quality and can lead to increased customer satisfaction and market competitiveness.

However, it is important for John to carefully manage the project scope and benchmarks to ensure that the raised grade level aligns with the project's objectives, resources, and constraints.

Effective project management practices, including continuous monitoring and control, are necessary to ensure that the quality improvements are successfully implemented without negatively impacting other project aspects such as cost, schedule, and scope.

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