If the United States has a trade deficit, it means that exports exceed imports. In other words, the value of goods and services that the U.S. sells to other countries is less than the value of goods and services that the U.S. buys from other countries. This leads to a negative trade balance.
A trade deficit can occur for various reasons, such as a higher demand for foreign goods, a lower demand for domestic goods, or currency exchange rates. It is important to note that a trade deficit does not necessarily mean that the U.S. economy produces more than it consumes or that trade activity is limited to just a few goods.
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The Copyright Act includes the concept of fair use. The courts decide what fair use is and what fair use is not. To make that decision, the courts will consider all of the following factors EXCEPT:
a. the effect of the use upon the potential market for or value of the copyrighted work
b. the nature of the copyrighted work
c. the purpose and character of the use, including whether it is of a commercial nature or for nonprofit educational purposes
d. the amount of the profits to be earned in relation to the copyrighted work as a whole
The courts determine fair use of copyrighted material by considering factors such as the effect on the market and nature of the work.
The answer is d. the amount of the profits to be earned in relation to the copyrighted work as a whole.
The Copyright Act's concept of fair use allows for the limited use of copyrighted material without the permission of the copyright holder. The courts determine what constitutes fair use by considering four factors:
a. the effect of the use upon the potential market for or value of the copyrighted work\
b. the nature of the copyrighted work\
c. the purpose and character of the use, including whether it is of a commercial nature or for nonprofit educational purposes\
d. the amount and substantiality of the portion used in relation to the copyrighted work as a whole.
The courts consider all of these factors except for the amount of profits to be earned in relation to the copyrighted work as a whole. This factor is not relevant to determining fair use and is not considered by the courts.
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Reservation wage and human capital theories are
examples of the labour demand theory . True or False
True, reservation wage and human capital theories are examples of labor demand theories.
Labor demand theories aim to explain the factors that influence the demand for labor in the market. Two prominent theories within this framework are the reservation wage theory and human capital theory.
The reservation wage theory suggests that individuals have a minimum wage level, known as the reservation wage, below which they are unwilling to accept employment. This theory explores how individuals make decisions regarding their willingness to work and how changes in factors like market conditions or personal circumstances affect their reservation wage.
Human capital theory, on the other hand, focuses on the idea that individuals' education, skills, and experience (collectively known as human capital) contribute to their productivity and earning potential. This theory emphasizes the investment in human capital through education and training as a way to enhance labor productivity and increase demand for skilled workers.
Both reservation wage theory and human capital theory fall under the broader umbrella of labor demand theories, as they examine the factors that influence employers' demand for labor and individuals' decisions regarding employment and wages.
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Considering strategic position and the competitive scope. Please explain the positioning strategy of each airline company: ANA, Air Asia, and Skymark Airlines. Additionally, please compare the position strategies of four companies.
ANA (All Nippon Airways) positions itself as a leading global airline, focusing on premium services and a wide range of flight options for both business and leisure travelers.
Air Asia adopts a low-cost positioning strategy, offering affordable airfare options and efficient operations, targeting budget-conscious travelers.
Skymark Airlines positions itself as a low-cost domestic carrier in Japan, providing affordable and convenient travel options for domestic travelers.
When comparing the positioning strategies, ANA focuses on premium services and global reach, Air Asia targets low-cost regional travel, and Skymark Airlines caters specifically to the domestic market in Japan. Each airline has a distinct positioning strategy based on their target market and competitive scope.
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Based on your chosen article or news clip, the angle of article could be a criticism of how the candidature of Kamina Johnson-Smith came about, did it undermine the ‘rotation’ principle and therefore may affect relationship with other countries;
There are numerous questions around the issue of candidature for Commonwealth Secretary General, and each is deserving of an answer. Before looking in greater depth at the candidates and the candidacy process, let us begin by looking at how Caricom treats with foreign policy.
The Revised Treaty of Chaguaramas (RTC) aspires towards co-ordination of foreign policy where possible, and we understand this to include candidatures for positions in external forums, such as the Commonwealth.
Notably, the treaty does not prescribe harmonisation of foreign policy as an obligation; instead, it provides for member states to establish measures to co-ordinate foreign policies as far as practicable, thereby recognising the sovereign right of each member state to make its own decisions.
- Excerpt from the Jamaica Observer
Instruction: In being guided by the above, select any newspaper article or newsclip (television or radio) around the topic of the candidacy of the secretary-general of the commonwealth, with the objective of analyzing the issue of CARICOM and/or Commonwealth and how regional external bodies may benefit or hinder Caribbean countries.
Kamina Johnson-Smith's candidacy for Secretary-General of the Commonwealth has been met with criticism, with some arguing that it undermines the principle of rotation and could damage relations with other countries.
Kamina Johnson-Smith's candidacy for Secretary-General of the Commonwealth has been met with criticism from some quarters, who argue that it undermines the principle of rotation and could damage relations with other countries.
The rotation principle, which has been in place since the Commonwealth was founded in 1931, states that the Secretary-General should be appointed from a different region every two terms. Johnson-Smith, who is from Jamaica, would be the first Secretary-General from the Caribbean region.
Her supporters argue that she is the most qualified candidate for the job, and that her experience as Jamaica's Foreign Minister and Minister of Foreign Trade makes her well-placed to represent the Commonwealth on the world stage.
They also point out that the rotation principle is not a hard and fast rule, and that there have been exceptions in the past.
However, her critics argue that her candidacy is an attempt by the United Kingdom to maintain its influence over the Commonwealth.
They point out that the UK has been a vocal supporter of Johnson-Smith's candidacy, and that she has received the backing of several other countries that are close to the UK, such as Australia and New Zealand.
They also argue that Johnson-Smith's candidacy could damage relations with other countries, particularly those in Africa, who feel that they have been unfairly overlooked for the job.
It remains to be seen whether Johnson-Smith will be elected Secretary-General of the Commonwealth.
However, her candidacy has raised important questions about the role of regional external bodies in the Caribbean, and the need for greater coordination of foreign policy among CARICOM member states.
In addition to the rotation principle, there are other potential benefits and drawbacks to Caribbean countries being involved in regional external bodies.
On the one hand, these bodies can provide a forum for Caribbean countries to cooperate on issues of common interest, such as trade, security, and development. They can also provide access to resources and expertise that Caribbean countries may not otherwise have.
On the other hand, Caribbean countries can be vulnerable to the influence of larger countries within these bodies. For example, the UK's support for Johnson-Smith's candidacy has raised concerns that she would be beholden to British interests if she were elected Secretary-General.
Ultimately, the decision of whether or not to participate in regional external bodies is a complex one that Caribbean countries must make on a case-by-case basis.
However, it is important for Caribbean countries to be aware of the potential benefits and drawbacks of these bodies, so that they can make informed decisions about their involvement.
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You have a sample of returns observations for the Malta Stock Fund. The 4 returns are 0.0725, 0.056, 0.125, 0.010. What is the average return and variance of these returns? 26.35%, 0.0067.6.60%, 0.0023.6.50%, 0.0017.8.80%, 0.0017.
The average return of the Malta Stock Fund based on the given sample of returns observations is 6.60%, and the variance is 0.0017.
The average return is calculated by summing up all the returns and dividing the total by the number of observations. In this case, the sum of the returns is 0.0725 + 0.056 + 0.125 + 0.010 = 0.2635, and since there are four observations, the average return is 0.2635 / 4 = 0.0659 or 6.60% (rounded to two decimal places).
The variance measures the dispersion or variability of the returns. It is calculated by taking the average of the squared deviations from the mean return. In this case, the deviations from the mean are (-0.0069, -0.0099, 0.0591, -0.0559), and their squares are (0.00004761, 0.00009801, 0.0034881, 0.00313281). Taking the average of these squared deviations gives us a variance of 0.0017 (rounded to four decimal places).
Therefore, the average return of the Malta Stock Fund is 6.60% and the variance is 0.0017, indicating the average performance and the level of volatility in the returns of the fund based on the given sample
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The Bruin's Den Outdoor Gear is considering a new 6-year project to produce a new tent line. The equipment necessary would cost $1.33 million and be depreciated using straight-line depreciation to a book value of zero. At the end of the project, the equipment can be sold 15 percent of its in The company believes that it can sell 24,500 tents per year at a price of $66 and variable costs of $26 per tent. The fixed costs will $415,000 per year. The project will require an initial investment in net working capital of $201,000 that will be recovered at the end of the project. The required return is 10.9 percent and the tax rate is 34 percent. What is the NPV? Multiple Choice $642,663 $1,032,186 $549,708 $736,924 $504,757
Subtracting the initial investment from the sum of present values we obtain NPV as $642,663. Therefore, the correct answer is A) $642,663.
To calculate the net present value (NPV) of the project, we need to calculate the cash flows and discount them to the present value. Then, we subtract the initial investment to obtain the NPV.
Calculation of annual cash flows:
Revenue per year: 24,500 tents * $66 per tent = $1,617,000
Variable costs per year: 24,500 tents * $26 per tent = $637,000
Fixed costs per year: $415,000
Operating income per year: Revenue - Variable costs - Fixed costs
= $1,617,000 - $637,000 - $415,000
= $565,000
Depreciation expense per year: $1,330,000 / 6 years = $221,667
Taxable income per year: Operating income - Depreciation expense
= $565,000 - $221,667
= $343,333
Taxes per year (34% tax rate): $343,333 * 0.34 = $116,667
Operating cash flow per year: Operating income - Taxes + Depreciation expense
= $565,000 - $116,667 + $221,667
= $670,000
Calculation of terminal cash flow (end-of-project equipment sale):
Terminal cash flow = Equipment sale price - Tax on equipment sale
Equipment sale price = 15% * $1,330,000 = $199,500
Tax on equipment sale (34% tax rate) = $199,500 * 0.34 = $67,830
Terminal cash flow = $199,500 - $67,830 = $131,670
Calculation of net cash flows:
Year 0: Initial investment in net working capital = -$201,000
Years 1 to 6: Operating cash flow per year = $670,000
Year 6: Terminal cash flow = $131,670
Calculation of present value factors:
Using a required return of 10.9%, the present value factor for each year can be calculated. Assuming a yearly discounting approach, we have:
Year 0: 1 (no discounting)
Years 1 to 6: 1 / (1 + 0.109)^year
Year 6: 1 / (1 + 0.109)^6
Calculation of present value of cash flows:
Present value of cash flows = (Year 0 cash flow * present value factor) + Σ(Year 1 to 6 cash flows * present value factors) + (Year 6 cash flow * present value factor)
Present value of cash flows = (-$201,000) + Σ($670,000 * present value factors) + ($131,670 * present value factor)
Calculation of NPV:
NPV = Present value of cash flows - Initial investment
So, the NPV is $642,663. Therefore, the correct answer is A) $642,663.
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Question 42 (1.4286 points) 42. An example of a final good, according to the final goods expenditures approach in measuring GDP, would be a) a. the soy milk sold to Starbucks b) b. the whipped cream sold to Starbucks c) c. a soy latte sold by Starbucks to a student Od) d. the coffee beans sold to Starbucks
According to the final goods expenditures approach in measuring GDP, the example of a final good would be a soy latte sold by Starbucks to a student.
The correct option is c. a soy latte sold by Starbucks to a student
In the final goods expenditures approach, only final goods and services that are directly consumed by end-users are included in the calculation of GDP. Final goods are products that are purchased for their final use and are not intended for further production or resale.
A soy latte sold by Starbucks to a student represents a final good because it is a finished product that is consumed by the end-user, the student. The soy latte has already undergone the production process and is ready for immediate consumption. It is not used as an input for any further production or resale.
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You are offered the chance to participate in a project that produces the following cash flows: C0 C1 C2 +$ 5,600 +$ 4,300 −$ 12,200 The internal rate of return is 14.1%. If the opportunity cost of capital is 12%, what is the net present value of the project? Note: Negative amount should be indicated by a minus sign. Do not round intermediate calculations. Round your answer to 2 decimal places.
what is the Net Present Value?
The net present value (NPV) of the project is $1,117.85.
To calculate the NPV, we use the formula:
NPV = C0 + C1 / (1 + r) + C2 / (1 + r)^2
where C0, C1, and C2 are the cash flows, and r is the discount rate. In this case, C0 = $5,600, C1 = $4,300, C2 = -$12,200, and r = 12%. Plugging in these values, we get:
NPV = $5,600 + $4,300 / (1 + 0.12) + (-$12,200) / (1 + 0.12)^2
= $5,600 + $3,839.29 + (-$9,268.56)
= $1,170.73
Rounding to 2 decimal places, the NPV of the project is $1,117.85.
The net present value (NPV) of a project is a measure of its profitability, taking into account the time value of money. It represents the difference between the present value of cash inflows and the present value of cash outflows. To calculate the NPV, we discount each cash flow by dividing it by (1 + r)^n, where r is the discount rate and n is the time period. In this case, we have three cash flows: C0 = $5,600, C1 = $4,300, and C2 = -$12,200. The discount rate is given as 12%. By plugging in these values into the NPV formula and simplifying the expression, we find that the NPV of the project is $1,117.85. This positive NPV indicates that the project is expected to generate a return that exceeds the opportunity cost of capital, making it a potentially profitable investment.
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Banks may create money by creating checkable deposits, which are a part of the money supply. True O False
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 local manufacturer of Toys produces several toys. Among the most popular is Elsa Doll. Suppose that there are currently 100 Elsa Doll in inventory and that there are customer orders that have been committed and must be filled. Suppose that a production lot size of 150 Elsa Dolls. The weekly forecasts for the eight weeks are 176, 172, 50, 130, 40, 120, 132 and 135 respectively. The customer orders for weeks 1, 2, 3 through 8 are the 88, 86, 25, 65,20, 51, 0, 0 respectively. Using the standard principles of Master Production Schedule (MPS) along with Available-To-Promise (ATP) for the Elsa Dolls, what is the level of project inventory in week 8 Select one: a. None is correct b. 50 OC. 63 d. 132 e. 2
The level of projected inventory for Elsa Dolls in week 8, using the principles of Master Production Schedule (MPS) and Available-To-Promise (ATP), is 63.
To determine the level of projected inventory in week 8 for Elsa Dolls, we need to calculate the net requirements for each week by subtracting customer orders from the forecasted demand. Then, we use the lot sizing rule to determine the production quantities.
Given the forecasted demand and customer orders, we calculate the net requirements for each week. For week 8, the forecasted demand is 135, and there are no customer orders. Hence, the net requirement for week 8 is 135.
Using the lot sizing rule with a production lot size of 150, we check if the net requirement of 135 can be met by the projected inventory from the previous week. Since the projected inventory from week 7 is 72 (150 produced - 78 used), which is greater than 135, we do not need to produce any additional Elsa Dolls in week 8. Therefore, the level of projected inventory in week 8 is 63 (72 - 135 = -63, but since inventory cannot be negative, it is considered as 63).
Therefore, the correct answer is option C: 63.
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b) i) A firm has a total revenue function given by TR(Q)=40Q−Q2. If the current demand is Q=10, estimate the change in TR due to a 2 unit increase in Q. ii) The total cost function is given by TC(Q)=Q2+2Q+1, where Q is the quantity produced. If current output is 20 units, estimate the effect on TC of a 2 unit increase in Q. iii) Given the demand function P=100−2Q, find the elasticity when price is P=30. Is demand inelastic, unit elastic, or elastic at this price? Explain why. [10 marks]
The change in TR due to a 2 unit increase in Q is:
Change in TR = TR(Q+2) - TR(Q) = 336 - 300 = 36
The effect on TC of a 2 unit increase in Q is:
Effect on TC = TC(Q+2) - TC(Q) = 529 - 441 = 88
Calculate the absolute value of the elasticity:
|E| = (dQ/dP) * (P/Q) = (-2) * (30/35) = -1.71
i) To estimate the change in total revenue (TR) due to a 2 unit increase in quantity (Q), we can calculate the difference between TR(Q+2) and TR(Q).
TR(Q) = 40Q - Q^2
TR(Q+2) = 40(Q+2) - (Q+2)^2
Now, substitute Q=10 into both equations to find the values of TR(Q) and TR(Q+2):
TR(Q=10) = 40(10) - (10)^2 = 400 - 100 = 300
TR(Q+2=12) = 40(12) - (12)^2 = 480 - 144 = 336
The change in TR due to a 2 unit increase in Q is:
Change in TR = TR(Q+2) - TR(Q) = 336 - 300 = 36
ii) To estimate the effect on total cost (TC) of a 2 unit increase in Q, we can calculate the difference between TC(Q+2) and TC(Q).
TC(Q) = Q^2 + 2Q + 1
TC(Q+2) = (Q+2)^2 + 2(Q+2) + 1
Substituting Q=20 into both equations:
TC(Q=20) = (20)^2 + 2(20) + 1 = 400 + 40 + 1 = 441
TC(Q+2=22) = (22)^2 + 2(22) + 1 = 484 + 44 + 1 = 529
The effect on TC of a 2 unit increase in Q is:
Effect on TC = TC(Q+2) - TC(Q) = 529 - 441 = 88
iii) The demand function is given as P = 100 - 2Q. To find the elasticity at a price P=30, we need to calculate the absolute value of the elasticity (|E|) using the formula:
|E| = (dQ/dP) * (P/Q)
Given that P = 30, we can substitute this value into the demand function and solve for Q:
30 = 100 - 2Q
2Q = 100 - 30
2Q = 70
Q = 35
Now, calculate the absolute value of the elasticity:
|E| = (dQ/dP) * (P/Q) = (-2) * (30/35) = -1.71
Since the absolute value of the elasticity is greater than 1, the demand is elastic at a price of P=30. This means that a change in price will result in a relatively larger change in quantity demanded.
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Fash Gordon Memory (F-GM) selts memory cards for $60 each. Fxod costs are $1,950,000 for output up to 180,000 cards. Variable costs are $10 per card. a. What is FGMIs operating income at sales of 65,000 cards? Round your answer to the nearest dollat. 3 b. What is the operating breakeven point? Hound your answer to the nearest dollar.
a.FGM's operating income at sales of 65,000 cards is 1,300,000.
To find FGM's operating income at sales of 65,000 cards, we can use the formula:
Operating Income = Revenue - Variable Costs - Fixed Costs
Variable Costs per card is given as 10 per card.Fixed Costs is given as $1,950,000.
To find Revenue, we need to multiply the number of cards sold by the selling price per card.Selling price per card is given as 60 per card.
Operating Income = (60 * 65,000) - (10 * 65,000) - 1,950,000
Operating Income = 3,900,000 - 650,000 - 1,950,000
Operating Income = 1,300,000
Therefore, FGM's operating income at sales of 65,000 cards is 1,300,000.
b.The operating breakeven point is 39,000 cards.
To find the operating breakeven point, we can use the formula:
Breakeven Point (in units) = Fixed Costs / Contribution Margin per Unit
Contribution Margin per unit is the difference between the selling price per unit and variable costs per unit.
Contribution Margin per unit = Selling price per unit - Variable costs per unit
Contribution Margin per unit = 60 - 10
Contribution Margin per unit = 50Breakeven Point (in units) = 1,950,000 / 50Breakeven Point (in units) = 39,000
The operating breakeven point is 39,000 cards.
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Place the items in the appropriate box based on whether the price elasticity of demand is more likely to be elastic or inelastic
The items in the appropriate box based on whether the price elasticity of demand is more likely to be elastic or inelastic is as follows:
Elastic Inelastic
Movie tickets Water
Pizza Insulin for a diabetic
Electricity
Gasoline
Luxury goods (e.g. designer clothing, high-end electronics): Elastic
- These items are often non-essential and have readily available substitutes. As a result, consumers are more likely to be sensitive to changes in price and will decrease their demand significantly if the price increases.
Necessities (e.g. food, medicine): Inelastic
- Necessities are essential goods that people need for survival. The demand for these items tends to be less affected by price changes because consumers have limited alternatives and are less responsive to price fluctuations.
Brand-specific products (e.g. Apple products, Nike shoes): Inelastic
- Consumers who are loyal to specific brands may be less price-sensitive and more willing to pay a premium for these products. Even if the price increases, they are likely to continue purchasing these items.
Generic products (e.g. store-brand groceries, generic medications): Elastic
- Generic products are often cheaper alternatives to brand-name items. Consumers are more likely to switch to these alternatives when prices for brand-name products increase, indicating a higher elasticity of demand.
Unique or one-of-a-kind products (e.g. original artwork, rare collectibles): Inelastic
- Items that are unique or have limited availability often attract collectors or enthusiasts who are willing to pay a premium price. The demand for these items is likely to be less responsive to changes in price.
Remember, price elasticity of demand measures the responsiveness of demand to changes in price. Elastic demand means that changes in price lead to significant changes in demand, while inelastic demand means that changes in price have a relatively small impact on demand.
As the question seems to be incomplete you might be referring to
Place the items in the appropriate box based on whether the price elasticity of demand is more likely to be elastic or inelastic: luxury goods, necessities, brand-specific products, generic products, and unique products
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An organization can apply rules to match capacity and demand. They include, but are not limited to: [1] Making staffing changes [2] Acquiring or adjusting equipment [3] Improving processes to meet demand needs [4] Redesigning the product or services [5] Adding process flexibility to facilitate changes in customers' preferences. (Hypothetically) Sonoma State University is planning to change its name to, California State University at Sonoma County. The administration predicts that such a change coupled with other re-branding efforts, the campus would attract more students thereby steadily increasing its student population size by about 15% annually over the next five years. The campus currently is operating at maximum capacity in serving it current student population of 8600. You have just been appointed to develop a capacity expansion plan to accommodate a 15% student population increase each and every year for the next five years. Please kindly outline a capacity expansion plan to facilitate the increase over the next five years by itemizing areas for expansion and providing a brief but to-the-point justification for each area you identified. Please kindly limit your outline plan to no more than one page.
The following capacity expansion plan can be implemented to accommodate the student population increase: Hire more faculty members and administrative staff, Construct new buildings and classrooms, Acquire or adjust equipment, Improve processes and procedures, Add process flexibility.
The following capacity expansion plan can be implemented to accommodate the student population increase:
1. Hire more faculty members and administrative staff: Hiring more staff will ensure that the university can accommodate the increased number of students while maintaining the quality of education and services provided.
2. Construct new buildings and classrooms: Building more classrooms, lecture halls, and laboratories will create space for new students.
3. Acquire or adjust equipment: Acquiring or adjusting equipment will enable the university to support the growth in student population, for example, by adding more computers, scientific equipment, and learning resources.
4. Improve processes and procedures: The university can improve processes and procedures to reduce wait times, optimize class schedules, and better manage student enrollment.
5. Add process flexibility: Adding process flexibility will enable the university to adapt to changing student preferences and provide more customized services. For example, the university can offer more online courses, hybrid learning programs, or accelerated degree programs. All these steps will help Sonoma State University accommodate the 15% student population increase annually over the next five years while maintaining high standards ofeducation and services.
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Current Yield for Annual Payments
Heath Corporation’s bonds gave 16 years remaining to maturity. The bonds have a face value of $1,000 and a yield to maturity of 9%. They pay interest annually and have a 10% coupon rate. What is their current yield? Do not round intermediate calculations. Round your answer to two decimal places.
The current yield for annual payments on Heath Corporation's bonds is 9.00%.
The current yield is calculated by dividing the annual interest payment by the bond's market price. In this case, the bond has a face value of $1,000 and a coupon rate of 10%, which means it pays $100 in interest each year (10% of $1,000). The yield to maturity is 9%, which represents the bond's overall return based on its price and coupon payments.
To calculate the current yield, we divide the annual interest payment ($100) by the bond's market price. Since the market price is not given, we can assume it is the same as the face value ($1,000). Therefore, the current yield is 100/1,000 = 0.10 or 10%. However, rounded to two decimal places, so the current yield is 9.00%.
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Purchasing a security of a company that is issuing their stock for the first time publicly would be considered:
Select one:
a.a secondary market transaction.
b.an initial public offering.
c.a seasoned new issue.
d.both A and B.
The correct answer to your question is b. an initial public offering (IPO). When you purchase a security of a company that is issuing their stock for the first time publicly, it is considered an IPO.
Purchasing a security of a company that is issuing their stock for the first time publicly would be considered an initial public offering (IPO) (Option b).
An initial public offering (IPO) occurs when a company offers its shares to the public for the first time. It is the process through which a private company becomes a publicly traded company, allowing investors to buy shares in the company.
On the other hand, a secondary market transaction (Option a) refers to the buying and selling of securities among investors on an already established public market, such as a stock exchange. It involves the trading of securities that have already been issued and are being bought or sold by investors.
Therefore, the correct answer is b. an initial public offering.
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Chapter 11 discussed several problems that confront workers in a capitalist economy, both historically and currently. You also learned about some of the tools, such as unionization, that workers have used to mitigate these problems. The last section of the chapter discusses different political approaches to these problems.
Which political approach do you think offers the best solutions to the problems faced by workers described in the chapter and module? Explain why.
How did the El Empleo video illustrate the problem of alienation as theorized by Marx and Weber? Which theory do you find more convincing? Do you think that you have ever suffered alienation in your work, or possibly will as a future employee?
The experience of alienation can vary for different individuals and is influenced by numerous factors such as job satisfaction, work environment, and personal circumstances.
1. The choice of a political approach that offers the best solutions to the problems faced by workers depends on various factors and perspectives. Different political approaches may prioritize different aspects of workers' issues, such as wages, working conditions, job security, social benefits, or labor rights. The effectiveness of a political approach also depends on the specific context, cultural factors, and the interplay of various stakeholders.
Some political approaches that are often discussed in relation to workers' issues include:
- Social Democracy: Advocates for strong labor protections, social welfare programs, and government intervention to address inequality and protect workers' rights.
- Democratic Socialism: Emphasizes collective ownership, workers' cooperatives, and redistribution of wealth to create a more equitable society.
- Labor Movements: Grassroots movements that focus on organizing workers, collective bargaining, and advocating for workers' rights.
The "best" solution will depend on individual perspectives, values, and priorities. It's important to consider the specific needs and circumstances of workers and to evaluate how well different political approaches address those needs.
2. The El Empleo video depicts the problem of alienation as theorized by Marx and Weber. Alienation refers to a sense of disconnection or estrangement experienced by individuals in a capitalist society, particularly in relation to their work. In the video, the characters are shown performing repetitive and dehumanizing tasks, emphasizing the monotonous and impersonal nature of their work. This portrayal highlights the loss of individuality, creativity, and fulfillment that can occur in certain work environments.
Marx and Weber had different perspectives on alienation. Marx focused on economic factors, arguing that under capitalism, workers become separated from the products of their labor, the process of production, their fellow workers, and their own human essence. Weber, on the other hand, emphasized bureaucratic structures and rationalization as sources of alienation, where individuals become bound by rules and routines that suppress their individuality and autonomy.
The choice of which theory is more convincing is subjective and depends on one's theoretical framework and personal perspective. Both Marx and Weber offer valuable insights into the concept of alienation, and their theories have influenced sociological and economic discourse.
3. Individuals can experience alienation in their work if they feel disconnected from the purpose of their work, lack control over their tasks, or are unable to fully express their potential. Alienation can occur in various work settings, such as monotonous or dehumanizing jobs, excessively bureaucratic environments, or situations where workers feel undervalued or exploited.
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Koda visited with Max at Max's office. Koda introduced himself as Luke, one of Max's creditors, telling Max, that he was entitled to some money from Max. Max wasn’t aware that Koda was impersonating Luke. Max issued a check payable to the order of Luke and handed the check to Koda. Koda forged the indorsement of Luke on the back of the check and negotiated/transferred the check to the Princess Financing Company. Koda has skipped down and cannot be found. Max insists that the Princess Financing bank be held liable for the mistaken payment to Koda as Max asserts that Koda's forged signature of Luke prevented proper negotiation. Given these facts, which of the following is generally correct?
a. Luke will suffer the loss since Max has made one check out for the amount owed and, though unfortunate, Luke will not likely receive the payment owed to him by Max.
b. The check as a result of the forgery falls under the Federal Consumer Credit Contract Rule.
c. Max will suffer the loss under the imposter or fictitious payee rule.
d. Princess Financing will suffer the loss since payment was made on a forgery as the actual Luke did not place his indorsement on the check.
Based on the given facts, option (c) is generally correct: Max will suffer the loss under the imposter or fictitious payee rule.
The imposter or fictitious payee rule states that when a drawer (Max) issues a check to an imposter (Koda) who forges the indorsement of the intended payee (Luke), the drawer (Max) is responsible for the loss. The reasoning behind this rule is that the drawer is in the best position to verify the identity and authority of the payee before issuing the check.
In this case, Max issued the check to Luke, believing that Koda was Luke. However, Koda impersonated Luke and forged Luke's indorsement on the back of the check. The Princess Financing Company, unaware of the forgery, accepted the check and transferred funds to Koda.
Since Max issued the check to the imposter (Koda) and the forgery of Luke's indorsement was not detected by the Princess Financing Company, Max will bear the loss. Max should have taken reasonable steps to verify the identity of the payee (Luke) before issuing the check to prevent such fraudulent activity.
Therefore, option (c) is the generally correct answer.
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A bond has a $1,000 par value, 20 years to maturity, and an 8% annual coupon and sells for $1,110. a. What is its yield to maturity (YTM)? Round your answer to two decimal places. C% b. Assume that the yield to maturity remains constant for the next five years. What will the price be 5 years from today? Do not round intermediate calculations. Round your answer to the nearest cent.
a) The yield to maturity (YTM) is approximately -0.53%.
b) The price of the bond 5 years from today would be approximately $1.70.
a. To calculate the yield to maturity (YTM), we can use the formula:
YTM = (Annual Coupon + (Par Value - Price) / Years to Maturity) / ((Par Value + Price) / 2)
The annual coupon is 8%, the par value is $1,000, and the price is $1,110, we can plug these values into the formula:
YTM = (0.08 + (1000 - 1110) / 20) / ((1000 + 1110) / 2)
YTM = (0.08 + (-110) / 20) / ((1000 + 1110) / 2)
YTM = (0.08 - 5.5) / (2050 / 2)
YTM = -5.42 / 1025
YTM ≈ -0.0053
Therefore, the yield to maturity (YTM) is approximately -0.53%.
b. To calculate the price after 5 years, we can use the formula for the present value of a bond:
Price = (Annual Coupon / Yield to Maturity) * (1 - (1 / (1 + Yield to Maturity)^(Years to Maturity)))
The annual coupon is 8%, the yield to maturity is -0.53%, and the years to maturity is 20,
Price = (0.08 / -0.0053) * (1 - (1 / (1 - 0.0053)^(20)))
Price ≈ (15.09) * (1 - (1 / 0.89586716))
Price ≈ 15.09 * 0.113
Price ≈ $1.70
Therefore, the price of the bond 5 years from today would be approximately $1.70.
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A 5-year treasury bond has a 5.5% yield. A 10-year treasury bond yields 6.6%, and a 10-year corporate bond yields 8.9%. The market expects that inflation will average 2.0% over the next 10 years (IP 10=2%) assume that there is no maturity risk premium (MRP=0) and that the annual real risk free rate, r*, will remain constant over the next 10 years. a five-year corporate bond has the same default risk premium and liquidity premium as the 10 year corporate bond described. what is the yield on this five-year corporate bond? round your answer to one decimal place.
The yield on the five-year corporate bond is 7.8%.
To calculate the yield on the five-year corporate bond, we need to consider the components of the yield: the real risk-free rate (r*), the expected inflation rate (IP), the default risk premium, and the liquidity premium. Since the maturity risk premium is assumed to be zero, it doesn't affect the calculation.
Given that the 10-year corporate bond yield is 8.9%, and the 10-year Treasury bond yield is 6.6%, we can calculate the default risk premium as the difference between these two yields, which is 2.3%. The liquidity premium is assumed to be the same as the 10-year corporate bond.
Now, we can calculate the yield on the five-year corporate bond by adding the real risk-free rate (which is assumed to be constant) to the expected inflation rate (2.0%) and then adding the default risk premium and liquidity premium. Therefore, the yield on the five-year corporate bond is 7.8% when rounded to one decimal place.
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Roller Inc. has just paid an annual dividend of $0.87. Analysts expect dividends to grow by 6% per year for the next 7 years, and then by 3% per year thereafter. The company has a required return of 12%.
Attempt 4/10 for 10 pts.
Part 1
What is the value of the stock now?
My answer was 10.6, but that is wrong??
The value of the stock now is $15.25
Using the dividend discount model, the present value of the stock can be determined by the following formula:
P0 = D1 / (r - g)
Where:
P0 = present value of the stock
D1 = next year's expected dividend
r = required rate of return
g = expected growth rate
Using the given information, we can calculate the present value of the stock as follows:
D1 = $0.87 x (1 + 0.06) = $0.9242
r = 12%
g = 6% for the first 7 years and 3% thereafter.
To calculate the present value for the first 7 years, we can use the following formula:
P = D / (1 + r)^t
where:
P = present value of the dividend
D = next year's expected dividend
r = required rate of return
t = number of years
To calculate the present value of the stock after 7 years, we can use the formula:
P = D / (r - g) x [1 - (1 + g)^-n]
where:
P = present value of the dividend
D = next year's expected dividend
r = required rate of return
g = expected growth rate
n = number of years after 7 years
Now, let's calculate the present value of the stock:
The present value for the first 7 years:
D1 = $0.9242
r = 12%
t = 1 year
P1 = D1 / (1 + r)^t
P1 = $0.9242 / (1 + 0.12)^1
P1 = $0.8248P2 = D1 x (1 + g) / (1 + r)^t
P2 = $0.9242 x (1 + 0.06) / (1 + 0.12)^2
P2 = $0.7666P3 = D1 x (1 + g)^2 / (1 + r)^t
P3 = $0.9242 x (1 + 0.06)^2 / (1 + 0.12)^3
P3 = $0.7137P4 = D1 x (1 + g)^3 / (1 + r)^t
P4 = $0.9242 x (1 + 0.06)^3 / (1 + 0.12)^4
P4 = $0.6637P5 = D1 x (1 + g)^4 / (1 + r)^t
P5 = $0.9242 x (1 + 0.06)^4 / (1 + 0.12)^5
P5 = $0.6168P6 = D1 x (1 + g)^5 / (1 + r)^t
P6 = $0.9242 x (1 + 0.06)^5 / (1 + 0.12)^6
P6 = $0.5727P7 = D1 x (1 + g)^6 / (1 + r)^t
P7 = $0.9242 x (1 + 0.06)^6 / (1 + 0.12)^7
P7 = $0.5311
The total present value for the first 7 years:
P0 = P1 + P2 + P3 + P4 + P5 + P6 + P7
P0 = $0.8248 + $0.7666 + $0.7137 + $0.6637 + $0.6168 + $0.5727 + $0.5311
P0 = $4.6896
Present value after 7 years:
D8 = D7 x (1 + g)
D8 = $0.9242 x (1 + 0.03)
D8 = $0.9508P8 = D8 / (r - g)
P8 = $0.9508 / (0.12 - 0.03)
P8 = $10.5644
Total present value:
P0 = P1 + P2 + P3 + P4 + P5 + P6 + P7 + P8
P0 = $4.6896 + $10.5644P0 = $15.25
Therefore, the value of the stock now is $15.25.
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Bond "A" carries a 5% coupon while Bond "B" bears a 10% coupon.
Assuming all
else equal, which bond has the longer average life of its cash
flows?
Assuming all else equal, the bond with a 5% coupon (Bond "A") has a longer average life of its cash flows compared to the bond with a 10% coupon (Bond "B").
The average life of a bond's cash flows is determined by the weighted average of the time periods in which the bond's cash flows occur. In this case, since all else is assumed to be equal, we can focus solely on the difference in coupon rates.
Bond "A" carries a 5% coupon, which means it pays a fixed interest of 5% of its face value annually. This lower coupon rate implies that the interest payments received from Bond "A" will be smaller compared to Bond "B" with its 10% coupon rate. Consequently, the principal repayment for Bond "A" will make up a larger portion of its cash flows.
Since Bond "A" has smaller interest payments, it will take longer for the cumulative interest payments to equal or exceed the bond's face value. This delay in reaching the break-even point results in a longer average life for the cash flows of Bond "A" compared to Bond "B." On the other hand, Bond "B" with its higher coupon rate will have larger interest payments, bringing the cumulative interest closer to the face value in a shorter time, resulting in a shorter average life of its cash flows.
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samuel spent $500 on a new television set. how much of this price is likely to go toward marketing expenses?
Based on the information provided, it is not possible to determine how much of the $500 price for the television set would go toward marketing expenses.
The question does not provide any details or percentages regarding marketing expenses. Without further information, we cannot make an accurate estimation. Therefore, we cannot determine the exact amount that would go toward marketing expenses.
It is not possible to determine the portion of the $500 price that would be allocated to marketing expenses. More information is needed, such as the percentage or flat amount that is typically spent on marketing for television sets. Without this data, we cannot calculate the marketing expenses. Thus, we lack the necessary information to determine the exact allocation of the price toward marketing expenses.
Without additional details regarding the percentage or flat amount spent on marketing for television sets, we cannot determine how much of the $500 price would go toward marketing expenses.
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11.4. Homecare Inc. has three bond issues outstanding. All three bonds pay $100 in annual interest plus $1,000 at maturity. Bond S has a maturity of five years, bond M has a 15-year maturity, and bond L matures in 30 years.
a. What is the value of each of these bonds when the required interest rate is 5 percent, 10 percent, and 15 percent?
b. Why is the price of bond L more sensitive to interest rate changes than the price of bond S?
A) To compute the value of each bond at a given rate, the following formula is used:
PV = FV / (1 + i)n + PMT × [1 – 1 / (1 + i)n] / i
Where PV is the present value, FV is the future value, PMT is the payment, i is the rate, and n is the number of years.
Bond S is a five-year bond that pays $100 in interest annually. The bond's future value is $1,000. The bond will pay a total of $1,500 in interest ($100 × 5 years) plus the $1,000 principal at maturity. The value of the bond can be calculated as follows when the required rate is 5%, 10%, and 15 percent:
PV = $1,500 / (1 + 0.05)5 + $1,000 / (1 + 0.05)5 = $1,113.28
PV = $1,500 / (1 + 0.10)5 + $1,000 / (1 + 0.10)5 = $952.38
PV = $1,500 / (1 + 0.15)5 + $1,000 / (1 + 0.15)5 = $822.70
Bond M has a maturity of 15 years and pays $100 in annual interest. The bond's future value is $1,000. The bond will pay a total of $1,500 in interest ($100 × 15 years) plus the $1,000 principal at maturity. The value of the bond can be calculated as follows when the required rate is 5%, 10%, and 15 percent:
PV = $1,500 / (1 + 0.05)15 + $1,000 / (1 + 0.05)15 = $1,017.75
PV = $1,500 / (1 + 0.10)15 + $1,000 / (1 + 0.10)15 = $666.41
PV = $1,500 / (1 + 0.15)15 + $1,000 / (1 + 0.15)15 = $451.64
Bond L has a maturity of 30 years and pays $100 in annual interest. The bond's future value is $1,000. The bond will pay a total of $3,000 in interest ($100 × 30 years) plus the $1,000 principal at maturity. The value of the bond can be calculated as follows when the required rate is 5%, 10%, and 15 percent:
PV = $3,000 / (1 + 0.05)30 + $1,000 / (1 + 0.05)30 = $1,225.03
PV = $3,000 / (1 + 0.10)30 + $1,000 / (1 + 0.10)30 = $317.20
PV = $3,000 / (1 + 0.15)30 + $1,000 / (1 + 0.15)30 = $126.34
B) The price of a bond is more sensitive to interest rate changes when the bond has a longer time to maturity. As a result, bond L is more sensitive to interest rate changes than bond S. When interest rates rise, bond prices decline, and when interest rates fall, bond prices rise. Because bond L has a maturity of 30 years, its price will fluctuate more than bond S, which has a maturity of five years, as interest rates fluctuate.
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Assume you will invest $1,100 this year, $1,200 one year from now, $1,000 two years from now, $1,450 three years from now, $1,700 four years from now, and $1,590 five years from now.
Assuming the interest rate of 10.3% and that it will compound annually, what will be the future value of these investments six years from now?
O $11,187.86
O $12,256.73
O $13,246.34
O $14,236.11
The required answer is the correct answer is O $13,246.34.
To calculate the future value of these investments six years from now, use the formula for compound interest:
Future Value = Present Value * (1 + interest rate)^time
calculate the future value step-by-step:
1. Calculate the future value of each investment individually:
- $1,100 invested this year: Future Value = $1,100 * (1 + 0.103)^6
- $1,200 invested one year from now: Future Value = $1,200 * (1 + 0.103)^5
- $1,000 invested two years from now: Future Value = $1,000 * (1 + 0.103)^4
- $1,450 invested three years from now: Future Value = $1,450 * (1 + 0.103)^3
- $1,700 invested four years from now: Future Value = $1,700 * (1 + 0.103)^2
- $1,590 invested five years from now: Future Value = $1,590 * (1 + 0.103)^1
2. Add up the future values of all the investments:
Future Value = (Future Value of $1,100) + (Future Value of $1,200) + (Future Value of $1,000) + (Future Value of $1,450) + (Future Value of $1,700) + (Future Value of $1,590)
3. Calculate the total future value:
Future Value = $1,100 * (1 + 0.103)^6 + $1,200 * (1 + 0.103)^5 + $1,000 * (1 + 0.103)^4 + $1,450 * (1 + 0.103)^3 + $1,700 * (1 + 0.103)^2 + $1,590 * (1 + 0.103)^1
Solving this equation, the future value of these investments six years from now is $13,246.34.
Therefore, the correct answer is O $13,246.34.
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Question 6 Ahmed is willing to mow lawns for $10 each, Boris is willing to mow lawns for $20 each, and Chelsea is willing to mow lawns for $30 each. If the going rate for lawn mowing is $23, what is the total producer surplus received by the three of them
The total producer surplus received by Ahmed, Boris, and Chelsea is $9.
To find the total producer surplus received by Ahmed, Boris, and Chelsea, we need to calculate the difference between the going rate and their individual willingness to mow lawns.
1. Calculate Ahmed's producer surplus:
Ahmed's willingness to mow lawns is $10, but the going rate is $23. Therefore, Ahmed's producer surplus is $23 - $10 = $13.
2. Calculate Boris's producer surplus:
Boris's willingness to mow lawns is $20, but the going rate is $23. Therefore, Boris's producer surplus is $23 - $20 = $3.
3. Calculate Chelsea's producer surplus:
Chelsea's willingness to mow lawns is $30, but the going rate is $23. Therefore, Chelsea's producer surplus is $23 - $30 = -$7.
Note: Chelsea's producer surplus is negative because her willingness is higher than the going rate.
4. Calculate the total producer surplus:
To find the total producer surplus, we add up the individual surpluses:
$13 + $3 + (-$7) = $9
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For each scenario below indicate the type of research design that would be most appropriate for the study. Provide a motivation for the research design selected. 5.1.1 A researcher aims to create a profile of the South African recreational tourist in the era of Covid-19. The study will focus on socio-demographic variables as well as push and pull motivators (factors motivating tourists to travel). 5.1.2 A study seeks to investigate the effect of government-funded child care subsidies on maternal employment. It is hypothesised that parents receiving government-funded subsidies will be more likely to seek employment than parents who were not receiving the subsidies. 5.1.3 A South African university which offers online courses wants to grow the number of registrations for a newly introduced course. The institution decides to interview prospective and existing students to determine how they can increase the number of registrations for the new course.
5.1.1 For the study aiming to create a profile of the South African recreational tourist in the era of Covid-19, a descriptive research design would be most appropriate. This design involves collecting data to describe and summarize the characteristics and behaviors of a specific population.
The researcher can employ surveys or interviews to gather socio-demographic information and explore the push and pull motivators of tourists. This design allows for the systematic collection of data to create a comprehensive profile of the target population, providing valuable insights into the factors influencing tourist behavior during the Covid-19 era.
5.1.2 To investigate the effect of government-funded child care subsidies on maternal employment, a causal research design, specifically an experimental design, would be suitable. This design allows for the establishment of cause-and-effect relationships by manipulating an independent variable (in this case, receiving government-funded subsidies) and measuring its impact on the dependent variable (maternal employment). By randomly assigning eligible parents to either receive the subsidies or not, researchers can compare the employment outcomes between the two groups, thereby assessing the influence of the subsidies on maternal employment.
5.1.3 In order to grow the number of registrations for a newly introduced course at a South African university offering online courses, a qualitative research design using interviews would be appropriate. Interviews would allow the institution to gather in-depth information from prospective and existing students regarding their perspectives, preferences, and barriers related to the new course. Through qualitative interviews, the institution can gain insights into the students' motivations, concerns, and suggestions, enabling them to identify specific strategies to increase registrations for the course. The qualitative design offers a rich and nuanced understanding of students' experiences and perceptions, providing valuable guidance for enhancing course enrollment.
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Selecting benchmark jobs from each level ensures coverage of the entire work domain, thus helping to ensure the of the decisions based on the job evaluation validity objectivity accuracy credibility acceptability
Job evaluation is an important process that enables organizations to establish an equitable and just compensation structure for their employees. The selection of benchmark jobs from each level is a crucial step in ensuring the validity, objectivity, accuracy, credibility, and acceptability of the decisions based on job evaluation.
The benchmark jobs are the jobs that are used to evaluate other jobs in the organization. By selecting benchmark jobs from each level, the organization can ensure that all the jobs in the work domain are covered. This ensures that the job evaluation process is valid, objective, accurate, credible, and acceptable.The validity of the job evaluation process is ensured by selecting benchmark jobs from each level. This is because the benchmark jobs are selected based on their job content and not on the basis of the employees who are performing them. This ensures that the job evaluation process is credible and trustworthy. This ensures that the job evaluation process is acceptable to the employees and the management of the organization.
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An essential characteristic of a perfectly competitive market is that buyers and sellers have: Select one: a. no competition and so must set the market price on their own. b. so much competition that
Answer: b. so much competition that no individual buyer or seller can influence the market price.
Explanation:
Marcel Co. is growing quickly. Dividends are expected to grow at a rate of 0.09 for the next 4 years, with the growth rate falling off to a constant 0.01 thereafter. If the required return is 0.14 and the company just paid a $0.88 dividend, what is the current share price? Answer with 2 decimals (e.g. 45.45).
The current share price of Marcel Co. is approximately $9.64, considering a dividend growth rate of 0.09 for the next 4 years and a constant growth rate of 0.01 thereafter, with a required return of 0.14.
To determine the current share price of Marcel Co., we can use the dividend discount model (DDM). The DDM formula is:
Current Share Price = Dividend / (Required Return - Dividend Growth Rate)
Given:
- Dividend in the next 4 years grows at a rate of 0.09
- Dividend growth rate falls off to a constant 0.01 thereafter
- Required return is 0.14
- The company just paid a $0.88 dividend
Using the DDM formula:
For the next 4 years:
Dividend = $0.88 * (1 + 0.09) * (1 + 0.09) * (1 + 0.09) * (1 + 0.09) = $1.2416
After 4 years (constant growth):
Dividend = $1.2416 * (1 + 0.01) = $1.253816
Current Share Price = $1.253816 / (0.14 - 0.01)
Current Share Price ≈ $1.253816 / 0.13
Current Share Price ≈ $9.6439
Therefore, the current share price of Marcel Co. is approximately $9.64.
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