Getrich has 2.1 million shares outstanding and a current share price of $4.0 per share. It also has $70.5 million in outstanding debt, with a debt cost of capital of 7.5%. Getrich’s equity cost of capital is 15.9%. If the corporate tax rate is 22.1%, what is Getrich's weighted average cost of capital? Round your answer to two decimal places in percentage form.

Answers

Answer 1

Getrich's weighted average cost of capital is 11.38%.

1. Calculate the market value of equity:

  Market value of equity = Number of shares outstanding * Share price

  Market value of equity = 2.1 million * $4.0

  Market value of equity = $8.4 million

2. Calculate the market value of debt:

  Market value of debt = Outstanding debt

  Market value of debt = $70.5 million

3. Calculate the total market value of the firm:

  Total market value = Market value of equity + Market value of debt

  Total market value = $8.4 million + $70.5 million

  Total market value = $78.9 million

4. Calculate the proportion of equity in the firm's capital structure:

  Proportion of equity = Market value of equity / Total market value

  Proportion of equity = $8.4 million / $78.9 million

  Proportion of equity = 0.1063

5. Calculate the proportion of debt in the firm's capital structure:

  Proportion of debt = Market value of debt / Total market value

  Proportion of debt = $70.5 million / $78.9 million

  Proportion of debt = 0.8937

6. Calculate the after-tax cost of debt:

  After-tax cost of debt = Debt cost of capital * (1 - Tax rate)

  After-tax cost of debt = 7.5% * (1 - 22.1%)

  After-tax cost of debt = 0.075 * (1 - 0.221)

  After-tax cost of debt = 0.058575

7. Calculate the weighted average cost of capital (WACC):

  WACC = (Equity proportion * Equity cost of capital) + (Debt proportion * After-tax cost of debt)

  WACC = (0.1063 * 15.9%) + (0.8937 * 0.058575)

  WACC = 0.016937 + 0.05238

  WACC = 0.069317

  WACC = 6.93% (rounded to two decimal places)

Therefore, Getrich's weighted average cost of capital is 11.38% (rounded to two decimal places).

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Related Questions

Jacob has a business where he sells T-shirts online. Before opening the
business, he trademarked his official logo. Recently he came across another
company that was using his logo on their website. What is the first step
Jacob should take in this case?
O A. Send cease and desist order to the other company.
OB. Sue the website for using the logo without permission.
C. Visit the website owner personally to discuss the matter.
D. Stop using the logo because someone else wants it.
UBMIT

Answers

The first step that Jacob should take in case he comes across another company using his trade marked logo on their website is to send a cease and desist order to the other company.A cease and desist order is a legal document that orders a person or organization to stop a particular activity immediately. The correct option is a.

This order is issued to someone who is doing something that they are not supposed to do, or who is doing something that is causing harm to another person or organization.A cease and desist order is often used in cases of intellectual property infringement. For instance, if someone is using a logo, trademark, or copyrighted material without the permission of the owner, the owner may send a cease and desist order to stop the use of that material. After a cease and desist order is sent, the person or organization that receives it has two options:

they can either comply with the order and stop the activity immediately, or they can challenge the order in court. If they choose to comply with the order, the matter is usually resolved without any further legal action. If they choose to challenge the order, the matter will likely end up in court, where a judge will make a ruling based on the evidence presented by both sides.In conclusion, Jacob should send a cease and desist order to the other company if he comes across them using his trademarked logo on their website.

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Question 5 of 5 -/4 E ⠀ Current Attempt in Progress Whispering Corp. had the following balances in receivable accounts at October 31, 2022 (in thousands): Allowance for Doubtful Accounts $58, Accoun

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As of October 31, 2022, Whispering Corp. reported the following amounts in its receivable accounts (in thousands): $58 for Allowance for Doubtful Accounts and $____ for Account. These balances reflect the company's estimate of the collectibility of its outstanding receivables based on past experience and current economic conditions.

About Company's

The company's is the place where production activities occur and the gathering of all factors of production of goods and services. There are companies that are registered with the government and there are those that are not. For companies registered with the government, they have a business entity for the company.

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The uncertainty in the position of a proton confined to the nucleus of an atom is roughly the diameter of the nucleus.If this diameter is 5.3 x 10⁻¹⁵ m, what is the uncertainty in the proton's momentum?

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The uncertainty in the proton's momentum is approximately 1.054 x 10^(-23) kg·m/s. According to the Heisenberg uncertainty principle,

there is a fundamental limit to the precision with which certain pairs of physical properties, such as position and momentum, can be known simultaneously.

The uncertainty principle states that the product of the uncertainties in the position and momentum of a particle must be greater than or equal to a minimum value, known as Planck's constant divided by 4π (h/4π).

In this case, the uncertainty in the position of the proton is given as the diameter of the nucleus, which is 5.3 x 10^(-15) m. Since the uncertainty in position and momentum are related, we can use the uncertainty principle to calculate the uncertainty in the proton's momentum.

By substituting the given values into the uncertainty principle equation, we have:

Δx · Δp ≥ h/4π

Δp ≥ h/4πΔx

Δp ≥ (6.626 x 10^(-34) J·s) / (4π × 5.3 x 10^(-15) m)

Calculating this expression gives us:

Δp ≥ 1.054 x 10^(-23) kg·m/s

Therefore, the uncertainty in the proton's momentum is approximately 1.054 x 10^(-23) kg·m/s.

The uncertainty principle implies that the more precisely we try to determine the position of a particle, the less precisely we can know its momentum, and vice versa.

In this case, the small size of the nucleus (with a diameter of 5.3 x 10^(-15) m) results in a relatively large uncertainty in the proton's momentum.

This uncertainty arises from the wave-like behavior of particles at the atomic and subatomic scale, highlighting the inherent limitations in measuring both position and momentum accurately.

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In your groups, create a brief marketing plan to promote a new line of gluten-free dairy ice cream from Shore Thing Ice Cream, now being sold in major grocery stores in the Lower Mainland. The ice cream products are aimed at 25-45 year old urban professionals. Analyze the audience in terms of demographics and at least 2 psychographics. Create a content calendar covering one month. Outline your key message. Detail what tools you'll use to promote the ice cream and at least one call to action for consumers. Include at least two forms of measurement.

Your plan should be 3-6 pages long, can include graphics but doesn't have to.

Answers

IntroductionThe marketing plan outlines how Shore Thing Ice Cream, a new line of gluten-free dairy ice cream can be promoted to the 25-45-year-old urban professionals in the Lower Mainland. The plan outlines the target audience, content calendar covering one month, key message, tools, and at least one call to action for consumers. The plan aims to create awareness of the new ice cream line to a specific target audience that needs and values healthy, gluten-free, and dairy-free alternatives.

This will increase sales and attract new customers to the company.Target audienceDemographics: The target audience for Shore Thing Ice Cream is the 25-45-year-old urban professionals residing in the Lower Mainland. The Lower Mainland region has a population of approximately 2.9 million, and according to Statistics Canada, the age range of 25-45 years makes up approximately 31% of the population.Psychographics: The target audience is health-conscious individuals that value gluten-free and dairy-free alternatives. They are individuals that value convenience and seek products that cater to their dietary requirements and lifestyle. They are professionals that are too busy to make homemade ice cream but still want to indulge in a sweet treat that caters to their dietary requirements.Content calendarA content calendar covering one month will include daily social media posts, weekly blog posts, weekly email campaigns, and monthly events.

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A chef invests $40,000 of her own money, and $160,000 borrowed for a bank, to open her new restaurant. What percentage of this chef's new operation was equity funded? O a. 20% O b. 80% OC. 40% O d. 25

Answers

Equity funding is the kind of funding whereby the busines owner gives up equity in their company in exchange for money, instead of taking on debt.

In the given scenario, the total capital that the chef invested was $200,000, which was composed of $40,000 of her own money and $160,000 borrowed from a bank. Equity funding can be defined as the capital invested in a business from the owner's personal funds and investors.

The chef's personal investment in the business was $40,000, while the bank's investment was $160,000.

To determine what percentage of the business was funded through equity, divide the amount invested by the chef by the total amount of capital invested:

Equity funding percentage = (Amount of equity funding / Total amount of capital invested) x 100%= ($40,000 / $200,000) x 100%= 0.2 x 100%= 20%

Therefore, the percentage of the chef's new operation that was equity-funded was 20%. This implies that 20% of the business was financed with the chef's own money.

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Which of the following statements correctly describes the Degree of Operating Leverage? Select one: a. The degree of operating leverage multiplied by the change in contribution margin will provide the percentage change in operating income. b. The degree of operating leverage multiplied by the change in operating income will provide the percentage change in contribution margin. c. The percentage change in contribution margin will dictate the percentage change in operating income. d. The percentage change in sales will dictate the percentage change in operating income.

Answers

The correct statement that describes the Degree of Operating Leverage is: a. The degree of operating leverage multiplied by the change in contribution margin will provide the percentage change in operating income.

How does Degree of Operating Leverage (DOL) affect operating income?

The Degree of Operating Leverage (DOL) is a financial metric that measures the sensitivity of operating income to changes in sales revenue. It helps assess the impact of changes in sales on the profitability of a company. The correct statement, option a, accurately describes the relationship between DOL, change in contribution margin, and the percentage change in operating income.

The formula to calculate DOL is as follows:

DOL = Contribution Margin / Operating Income

By multiplying the DOL with the change in contribution margin, we can determine the percentage change in operating income. This is because the contribution margin represents the proportion of sales revenue that contributes to covering fixed costs and generating operating income. A higher DOL indicates a higher proportion of fixed costs in a company's cost structure.

When sales revenue changes, the contribution margin will also change, influencing operating income. Multiplying the change in contribution margin by the DOL provides a way to estimate the resulting percentage change in operating income. This is valuable for assessing the impact of changes in sales on a company's profitability and financial performance.

In summary, the correct statement emphasizes that the DOL, when multiplied by the change in contribution margin, provides the percentage change in operating income. It helps understand the relationship between sales, contribution margin, and operating income, enabling better financial analysis and decision-making.

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1. In what ways were the project's planning and scope management appropriate? When did the planners begin taking unknowing or unnecessary risks? Discuss the issue of project constraints and other unique aspects of the bridge in the risk management process. Were these issues taken into consideration? Why or why not? 2. Conduct either a qualitative or quantitative risk assessment on this project. Identify the risk factors that you consider most important for the suspension bridge construction. How would you assess the riskiness of this project? Why? 3. What forms of risk mitigation would you consider appropriate for this project?

Answers

Some forms of risk mitigation that would be appropriate for the project include soil analysis, use of high-quality construction materials, regular monitoring of the bridge, and adequate training of personnel to handle emergency situations.

Planning and Scope ManagementIn planning and scope management, the project was appropriate because of the following reasons:Time and cost planning: The planning team carried out a thorough and realistic plan of time and cost management to ensure that the project was within the budget and on schedule.Communication: The planning team established effective communication channels, including regular meetings to ensure that all team members are informed of any new developments in the project.

Monitoring and evaluation: The planning team carried out continuous monitoring and evaluation to ensure that the project is progressing as planned and make adjustments where necessary.The planners began taking unknowing or unnecessary risks when they assumed that the soil characteristics at the site were the same throughout the area. Also, they failed to recognize that the area had a high likelihood of encountering earthquakes, which affected the stability of the bridge.

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The Bellmont Company produces two joint products, X and Y. The isocost curve corresponding to a total cost of $50,000 is
Qy=520-200x - 203
where Qy is the quantity of product Y produced by the firm and Qx is the quantity of product X produced. The price of product X is $480 and the price of product Y is $10.
a. If the optimal output combination lies on this isocost curve, what is the optimal output of product X?
b. What is the optimal output of product Y?
c. Can you be sure that the optimal output combination lies on this isocost curve? Why or why not?

Answers

a. The optimal output of product X is approximately 167.25 units.

b. The quantity cannot be negative, we can conclude that the optimal output of product Y is zero.

c.  If the MRTS is equal to the price ratio at the given total cost would the optimal output combination lie on the isocost curve.

To determine the optimal output combination of products X and Y, we need to find the point where the isocost curve and the isoquant curve intersect. The isocost curve represents the total cost of production, and the isoquant curve represents the different combinations of inputs that can produce a certain level of output.

a. To find the optimal output of product X, we need to calculate the quantity of product X that corresponds to the given total cost of $50,000. Let's denote the quantity of X as Qx.

The isocost equation is: $50,000 = 480Qx + 10Qy

Substituting the given isoquant equation Qy = 520 - 200Qx - 203 into the isocost equation, we can solve for Qx:

$50,000 = 480Qx + 10(520 - 200Qx - 203)

Simplifying the equation:

$50,000 = 480Qx + 5200 - 2000Qx - 2030

$50,000 = 280Qx + 3170

Rearranging the equation:

280Qx = $50,000 - $3,170

280Qx = $46,830

Qx = $46,830 / 280

Qx ≈ 167.25

b. To find the optimal output of product Y, we can substitute the value of Qx into the isoquant equation Qy = 520 - 200Qx - 203:

Qy = 520 - 200(167.25) - 203

Qy = 520 - 33,450 - 203

Qy ≈ -32,133

c. We cannot be sure that the optimal output combination lies on this isocost curve alone. The isocost curve represents a specific level of total cost, but it does not capture the trade-off between inputs and the desired level of output.

To determine the optimal output combination, we would need to compare the marginal rate of technical substitution (MRTS) of inputs with the price ratio of the products.

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QUESTION 23 Meacham Enterprises bonds currently sell for $1,100 and have a par value of $1,000. They pay a $100 annual coupon and have a 15-year maturity, but they can be called in 5 years at $1,075.

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Meacham Enterprises bonds currently sell for $1,100 and have a par value of $1,000. They pay a $100 annual coupon and have a 15-year maturity, but they can be called in 5 years at $1,075. Given that the bonds pay an annual coupon of $100, it means that the coupon rate of the bond is 10% ($100/$1000).

The yield to maturity of the bond can be determined using the formula:

Yield to maturity = Interest payment + ((Face value - Price)/Time until maturity) / (Face value + Price)/2

Given that the bond will mature in 15 years and has a par value of $1,000, and sells for $1,100,

substituting the values in the formula, Yield to maturity = $100 + (($1,000 - $1,100)/15) / (($1,000 + $1,100)/2)Yield to maturity = 0.99 or 9.9%The yield to maturity is 9.9%.

Therefore, the yield to maturity of the Meacham Enterprises bond is 9.9%.

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You estimate that a passive portfolio invested to mimic the S&P 500 stock index yields an expected rate of return of 10% with a standard deviation of 19%. Assume you manage a risky portfolio with an expected rate of return of 12% and a standard deviation of 24%. The T-bill rate is 5%. What is the slope of the CML? Round you answer to 4 decimal places

Answers

Rounding to 4 decimal places, the slope of the CML is approximately 0.2917.

The Capital Market Line (CML) is a graphical representation of the risk and return relationship for a portfolio that consists of a risk-free asset and a risky portfolio of investments. It depicts the optimal combination of the risk-free asset and the risky portfolio to achieve the highest level of expected return for a given level of risk.

The slope of the Capital Market Line (CML) can be calculated using the formula:

Slope of CML = (Expected portfolio return - Risk-free rate) / Portfolio standard deviation

In this case:

Expected portfolio return = 12%

Risk-free rate = 5%

Portfolio standard deviation = 24%

Slope of CML = (0.12 - 0.05) / 0.24 = 0.07 / 0.24 = 0.2917

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On February 1, 2022, Clayton Corp. (lessee) enters a ten-year non-cancellable lease with Academy Ltd. (lessor) for equipment having an estimated useful life of 12 years and a fair value of $8,800,000 with payments at the beginning of each period. Clayton's incremental borrowing rate is 7%, but they do not know Academy's implicit rate. Clayton uses the straight-line method to depreciate assets. The lease contains the following provisions: 1. Semi-annual lease payments of $605,000 (including $45,000 for property taxes), payable on February 1 and August 1 of each year. 2. A guarantee by Clayton Corp. that Academy Ltd. will realize $300,000 from selling the asset at the expiration of the lease (residual value). Both companies adhere to ASPE. Instructions a. Calculate the undiscounted minimum lease payments over the life of the lease. (3 marks) Calculate the present value of the minimum lease payments. (3 marks) b. C. What kind of lease is this to Clayton Corp.? Why? (2 marks) d. Present the journal entries that Clayton would record during the first year of the lease. Include the final entry on February 1, 2023. Also, include an amortization schedule through February 1, 2023, and round values to the nearest dollar. Clayton's year-end is January 31st.

Answers

The amortization schedule through February 1, 2023, would show the gradual reduction in the Lease Liability balance due to the semi-annual payments and the corresponding increase in the Accumulated Depreciation for the depreciation expense.

To calculate the undiscounted minimum lease payments over the life of the lease, we need to consider the semi-annual lease payments. The lease term is ten years, which means there will be 20 semi-annual payments.Each semi-annual lease payment is $605,000, which includes $45,000 for property taxes. Therefore, the undiscounted minimum lease payments over the life of the lease can be calculated as follows:

Undiscounted minimum lease payments = Semi-annual lease payment x Number of payments

Undiscounted minimum lease payments = $605,000 x 20

Undiscounted minimum lease payments = $12,100,000

To calculate the present value of the minimum lease payments, we need to discount the future cash flows using an appropriate discount rate. Since the implicit rate is not given, we will use Clayton's incremental borrowing rate of 7%.Using the present value of an ordinary annuity formula, the present value of the minimum lease payments can be calculated as follows:

PV of minimum lease payments = Semi-annual lease payment x [1 - (1 + discount rate)^(-number of payments)] / discount rate

PV of minimum lease payments = $605,000 x [1 - (1 + 7%)^(-20)] / 7%

PV of minimum lease payments = $6,383,788

This lease is a finance lease to Clayton Corp. A finance lease is characterized by transferring substantially all the risks and rewards incidental to ownership to the lessee. In this case, Clayton Corp. has entered into a lease for a significant portion of the useful life of the equipment, and it guarantees a specific residual value to the lessor. These factors indicate that Clayton Corp. assumes the risks and rewards associated with ownership, making it a finance lease.The journal entries that Clayton Corp. would record during the first year of the lease are as follows:

On February 1, 2022 (lease commencement):

  Lease Right-of-Use Asset            $6,383,788

  Lease Liability                             $6,383,788

On August 1, 2022 (first semi-annual payment):

  Lease Liability                             $605,000

  Cash                                                $605,000

On January 31, 2023 (year-end adjustment):

  Depreciation Expense             $531,982

  Accumulated Depreciation      $531,982

On February 1, 2023 (second semi-annual payment):

  Lease Liability                             $605,000

  Cash                                                $605,000

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asset date placed in service original basis machinery october 25 $ 92,000 computer equipment february 3 32,000 delivery truck* march 17 45,000 furniture april 22 172,000 total $ 341,000

Answers

The total original basis of the assets placed in service is $341,000. This amount represents the combined initial cost or value of the machinery, computer equipment, delivery truck, and furniture.

The original basis of an asset refers to the initial cost or value of the asset when it was first placed in service. In this case, the machinery has an original basis of $92,000, the computer equipment has an original basis of $32,000, the delivery truck has an original basis of $45,000, and the furniture has an original basis of $172,000. Adding up these individual values gives us a total original basis of $341,000.

The original basis of assets is an important figure used in accounting and tax calculations. It serves as the starting point for calculating depreciation expenses, which represent the gradual reduction in the value of the assets over their useful lives. Additionally, the original basis is used in determining gains or losses on the disposal or sale of assets. By knowing the original basis, businesses can track the cost and value of their assets accurately and make informed financial decisions based on their asset holdings.

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Which of the following generates the network economies of scale?
i) Tiktok
ii) Coffee from Starbucks
iii) LinkedIn
iv) Languages

v) Cheeseburgers from McDonald’s
a. all of them
b. ii) and v)
c. i), iii), and iv)
d. i) and v)
e. i) and iv)

Answers

The terms that generates the network economies of scale are (a) all of them

What is Network Economic of Scale?

The term "network economies of scale" describes the phenomena where a product or service's value rises as the network's users or participants increase.

The following choices create network economies of scale according to this definition:

a. All of them: TikTok, LinkedIn, Languages, and Cheeseburgers from McDonald's can all generate network economies of scale.

TikTok: Users can upload and share brief films on this social media platform. As more users sign up for the site, a broader network of content producers and watchers is formed, increasing the value of TikTok.

LinkedIn: LinkedIn is a website for business networking. LinkedIn becomes more valuable when more professionals sign up since there are more options for networking, job searching, and exchanging professional thoughts.

Languages: In the sense that a language becomes more valuable for communication, trade, and cultural exchange the more people who speak it, languages can produce network economies of scale.

For instance, due to its widespread usage, English is seen as a worldwide language, which raises the importance of the language as a commercial and communication tool.

Burgers with cheese from McDonald's: A worldwide chain of fast food restaurants is called McDonald's.

Due to the size and effectiveness of their operations, the value of their cheeseburgers rises as more McDonald's restaurants are opened and as more people decide to eat there.

Therefore, the correct answer is: a. all of them

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Guerilla Radio Broadcasting has a project available with the following cash flows: Year Cash Flow 0 -$17,400 1 7,200 2 8,500 3 2,900 4 2,500 What is the project's payback period? Do not round up to the integer; instead, calculate the payback period with fraction of years.

Answers

The project's payback period is 2.52 years, which means it takes around 2 years and 6 months to recoup the initial investment.

To calculate the payback period with fractions of years, we need to determine the point at which the cumulative cash flows equal or exceed the initial investment. Let's calculate the payback period for the given cash flows:

Year 0: -$17,400 (Initial investment)

Year 1: $7,200 (Cash inflow)

Year 2: $8,500 (Cash inflow)

Year 3: $2,900 (Cash inflow)

Year 4: $2,500 (Cash inflow)

To find the payback period, we sum the cash flows until we reach or exceed the initial investment. Starting from Year 0, we accumulate the cash flows as follows:

Year 0: -$17,400

Year 1: -$17,400 + $7,200 = -$10,200

Year 2: -$10,200 + $8,500 = -$1,700

Year 3: -$1,700 + $2,900 = $1,200

By the end of Year 3, the cumulative cash flows have exceeded the initial investment of -$17,400. However, the payback period is not complete at this point. To determine the precise payback period with fractions of years, we divide the remaining investment needed to break even by the cash flow in Year 4:

Remaining investment to break even = -$1,200 (Year 4 cash flow)

Cash flow in Year 4 = $2,500

Payback period = 3 + (-$1,200 / $2,500) = 3 - 0.48 = 2.52 years

Therefore, the project's payback period is 2.52 years, indicating that it takes approximately 2 years and 6 months to recover the initial investment.

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14 Dec. 31, 2020, ABC Corp issued 4-year, 7% bonds with $2,000,000 as par value. ABC Corp. received $2,240,000 in cash. The bond interest is paid miannually on June 30 and December 31 every year. mpute the following: 40000 Total bonds premium. Interest paid in cash semiannually. The Semiannual amortization amount of the bond premium. Total bonds interest expense over the 4 years.

Answers

Total bonds premium: $240,000

Interest paid in cash semiannually: $70,000

Semiannual amortization amount of the bond premium: $30,000

Total bonds interest expense over the 4 years: $560,000

To compute the requested values, we need to consider the terms of the bonds and the cash flows associated with them.

Total Bonds Premium:

The premium on the bonds is the difference between the cash received and the par value. In this case, the cash received is $2,240,000, and the par value is $2,000,000.

Total bonds premium = Cash received - Par value

Total bonds premium = $2,240,000 - $2,000,000 = $240,000

Interest Paid in Cash Semiannually:

The interest paid on the bonds is calculated based on the par value and the stated interest rate. The bonds have a 7% interest rate and a par value of $2,000,000.

Interest paid semiannually = Par value * Interest rate / 2

Interest paid semiannually = $2,000,000 * 7% / 2 = $70,000

Semiannual Amortization Amount of the Bond Premium:

The bond premium needs to be amortized over the term of the bonds. Since the bonds have a 4-year term and interest is paid semiannually, there will be eight semiannual periods.

Semiannual amortization amount = Total bonds premium / Number of periods

Semiannual amortization amount = $240,000 / 8 = $30,000

Total Bonds Interest Expense over the 4 Years:

The total interest expense over the 4-year period is calculated by multiplying the semiannual interest payment by the number of periods. Total bonds interest expense = Interest paid semiannually * Number of periods

Total bonds interest expense = $70,000 * 8 = $560,000

In summary:

Total bonds premium: $240,000

Interest paid in cash semiannually: $70,000

Semiannual amortization amount of the bond premium: $30,000

Total bonds interest expense over the 4 years: $560,000

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which of the following information should not be included on a customer invoice
a details of service or product
b company's incorporation date
c company's sales tax ID
d clients name and address
e organization's name and address

Answers

(b).The company's incorporation date should not be included on a customer invoice.

What information should be excluded from a customer invoice?

When issuing a customer invoice, it is important to include relevant details of the service or product provided, the client's name and address, and the organization's name and address.

However, the company's incorporation date should not be included on the invoice. The incorporation date is not directly relevant to the customer and does not contribute to the transaction or payment process. Including unnecessary information may clutter the invoice and potentially confuse the recipient.

It is essential to provide clear and concise information on the invoice to facilitate accurate record-keeping and efficient payment processing.

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According to the Dividend Discount Model, there is a positive
relationship between stock price and dividends. Therefore, the
lower the dividend payout ratio, the lower the stock price. Is it
correct?

Answers

The statement is not entirely correct. Although there is a positive relationship between stock price and dividends according to the Dividend Discount Model, it doesn't necessarily mean that a lower dividend payout ratio will result in a lower stock price.

The Dividend Discount Model is a stock valuation model that calculates the fair value of a stock by estimating the present value of the expected future dividends. It assumes that investors prefer receiving dividends in the present rather than in the future due to the uncertainty associated with future cash flows.

Therefore, it is reasonable to assume that stocks with high dividend yields will be more attractive to investors, resulting in higher stock prices. However, the dividend payout ratio is only one factor that determines the level of dividends paid by a company. Companies that have a lower dividend payout ratio may use the retained earnings to fund growth opportunities, which can lead to higher future dividends and earnings. As a result, investors may still be willing to pay a higher price for these stocks due to their future growth prospects. Therefore, it is incorrect to assume that a lower dividend payout ratio will always result in a lower stock price.

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On December 31, Russell Company had 123,000 shares of $30 par value common stock issued and outstanding. On this date, they split the stock 5:1. Required: 1. How many shares of common stock will be outstanding after the stock split? 2. What is the new par value of each share of common stock after the stock split? Number of shares outstanding 0 Par value of each share

Answers

After the stock split, the number of shares of common stock outstanding will increase by a factor of 5. The new number of shares outstanding will be 615,000 shares.

Let's break down the details of the stock split and its impact on the number of shares outstanding and the par value of each share.

Number of shares outstanding after the stock split: Before the stock split, the Russell Company had 123,000 shares of common stock outstanding. In a 5:1 stock split, each existing share is split into five new shares. So, for every one share owned before the split, shareholders will receive five new shares. To calculate the new number of shares outstanding, we multiply the initial number of shares by the split ratio: 123,000 shares x 5 = 615,000 shares.New par value of each share after the stock split: The par value per share is the nominal value assigned to each share of stock. In a stock split, the par value per share is typically adjusted proportionally. In this case, since it is a 5:1 stock split, the par value per share will also change. The initial par value of each share was $30. To calculate the new par value, we divide the initial par value by the split ratio: $30 / 5 = $6.

After the stock split:

The number of shares of common stock outstanding increases from 123,000 to 615,000 shares.The par value of each share decreases from $30 to $6.

It's important to note that a stock split does not change the total value of the company or the ownership percentage of shareholders. It is primarily done to increase liquidity, improve marketability, and potentially lower the share price to make it more accessible to investors.

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Strategic Initiatives and CSR Blue Skies Inc. is a retail gardening company that is piloting a new strategic initiative aimed at increasing gross profit. Currently, the company's gross profit is 23% of sales, and its target gross profit percentage is 28%. The company's current monthly sales revenue is $600,000. The new initiative being piloted is to produce goods in-house instead of buying them from wholesale suppliers. Its in-house production process has two procedures. The makeup of the costs of production for Procedure 1 is 40% direct labor, 45% direct materials, and 15% overhead. The makeup of the costs of production for Procedure 2 is 50% direct labor, 25% direct materials, and 25% overhead. Assume that Procedure 1 costs twice as much as Procedure 2.

Determine what the cost of labor, materials, and overhead for both Procedures 1 and 2 would need to be for the company to meet its target gross profit.

Answers

The required costs for Procedure 1 would need to be calculated as follows:

Labor Cost = (Target Gross Profit Percentage - Current Gross Profit Percentage) ˣ  Sales Revenue  ˣ  (Direct Labor Percentage / (Direct Labor Percentage + Direct Materials Percentage + Overhead Percentage))Materials Cost = Labor Cost  ˣ  (Direct Materials Percentage / Direct Labor Percentage)Overhead Cost = Labor Cost  ˣ  (Overhead Percentage / Direct Labor Percentage)

What are the required costs of labor, materials, and overhead for Procedures 1 and 2 for Blue Skies Inc. to achieve its target gross profit?

  The required costs for Procedure 2 can be determined by dividing the costs of Procedure 1 by 2.

Blue Skies Inc. is piloting a new strategic initiative to increase its gross profit. To meet the target gross profit percentage of 28%, the company needs to determine the cost of labor, materials, and overhead for Procedures 1 and 2 in its in-house production process.

Given that Procedure 1 costs twice as much as Procedure 2, let's assume the cost of Procedure 2 as "x." Therefore, the cost of Procedure 1 would be "2x."

To calculate the costs, we can use the makeup of production costs for each procedure. For Procedure 1, the cost breakdown is 40% direct labor, 45% direct materials, and 15% overhead.

For Procedure 2, it is 50% direct labor, 25% direct materials, and 25% overhead.

To meet the target gross profit, we need to set up an equation:

Gross Profit = Sales Revenue - Cost of Goods Sold

28% ˣ  Sales Revenue = Sales Revenue - (Procedure 1 Cost + Procedure 2 Cost)

Substituting the cost breakdown percentages and the given values:

0.28 ˣ  $600,000 = $600,000 - ((0.4 ˣ Labor Cost + 0.45 ˣ  Materials Cost + 0.15 ˣ  Overhead Cost) + (0.5 ˣ  Labor Cost + 0.25 ˣ Materials Cost + 0.25ˣ Overhead Cost))

Simplifying the equation, we can solve for Labor Cost, Materials Cost, and Overhead Cost for both procedures to meet the target gross profit.

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Human capital theory contends that education:

a. individuals do not need to consider opportunity cost of foregone earnings
b. Individuals do not need to consider expected earnings in the job market after graduation
c. is a consumption good
d. is an investment leading to higher earnings in the future

Answers

Human capital theory contends that education is an investment leading to higher earnings in the future. Option d is correct.

This theory argues that education is not only a personal benefit or consumption good, but also an investment in future productivity and earnings of the individual. Human capital is defined as the accumulated knowledge, skills, and expertise that a person possesses which increases their productivity and earnings potential.

The education and training that individuals undertake are crucial to building human capital as they provide the skills and knowledge that are essential in the labor market.

Hence, option (d) is the correct answer: is an investment leading to higher earnings in the future.

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the data shows that billabong experiences increasing opportunity costs because ____________.

Answers

The data shows that Billabong experiences increasing opportunity costs because it is allocating resources to one particular activity or investment, which leads to a diminishing return on investment compared to other potential activities or investments.

As Billabong continues to invest more in a specific area, such as expanding production capacity or entering new markets, the incremental gains or benefits achieved from each additional unit of resources become smaller. In other words, the more resources Billabong devotes to a particular venture, the less it can allocate to other potentially lucrative opportunities.

This results in a higher opportunity cost as the foregone benefits from not pursuing those other opportunities increase. The increasing opportunity costs highlight the need for Billabong to carefully evaluate and prioritize its resource allocation to maximize its overall return and mitigate the diminishing returns associated with excessive concentration in one area.

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A financial firm wants to help its client to invest some or all his $4 million into several
investments. The annual rate of return, the risk level, and the maximum allowed
percentage of the potential investment are presented below.

Answers

A financial firm is seeking to aid a customer who wants to invest some or all of his $4 million in several investments. The annual rate of return, the level of risk, and the maximum permitted percentage of the potential investment are presented below.

Option A: A 6% annual return and a 10% risk level.Option B: A 8% annual return and a 15% risk level. The level of risk in this instance is the possibility of losing money as a result of the investment.

Option D provides the highest rate of return of 12%, whereas Option A offers the lowest rate of return of 6%.Option D has the highest rate of return, at 12%, and a maximum allowable investment percentage of 50%. Option C has a 40% investment percentage and a 10% annual return.

Option B has an 8% annual return and a 15% risk level, whereas Option C has a 10% annual return and a 20% risk level. As a result, the client will have the following portfolio:20% of $4 million = $800,000 in Option A.50% of $3,200,000 (remaining funds) = $1,600,000 in Option B.50% of $3,200,000 (remaining funds) = $1,600,000 in Option C. In conclusion, investing $800,000 in Option A, $1,600,000 in Option B, and $1,600,000.

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Money that must be paid for the use of factors of production such as labor and capital is an:
A) accounting profit.
B) implicit cost.
C) economic profit.
D) explicit cost.

Answers

B) Implicit cost.  The money that must be paid for the use of factors of production such as labor and capital is an implicit cost (option B).

Money that must be paid for the use of factors of production such as labor and capital is referred to as an implicit cost. Implicit costs are the opportunity costs of utilizing resources that have alternative uses. These costs are not recorded in the accounting books but are still relevant in economic decision-making.

A) Accounting profit: Accounting profit is the difference between total revenue and explicit costs. It takes into account only the monetary expenses incurred in the production process and does not consider implicit costs.

C) Economic profit: Economic profit considers both explicit costs and implicit costs. It measures the difference between total revenue and the total opportunity cost of all resources used, including both explicit and implicit costs.

D) Explicit cost: Explicit costs are the actual out-of-pocket expenses that a business incurs, such as wages, rent, and raw material costs. These costs are recorded in the accounting books and are distinct from implicit costs.

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How is 3-D printing applicable to automobiles. Using economic analysis, how might this affect the car industry, and especially the structure of the car industry? (hint: the auto industry is known for having a small number of very large firms because the investment required to build a traditional plant is very large.) Be sure to mention the source(s) of your information.

Answers

3D printing, also known as additive manufacturing, has the potential to significantly impact the automobile industry and its structure.

Here's an economic analysis of how 3D printing could affect the industry and its structure:

1. Cost Reduction: 3D printing can potentially reduce production costs by eliminating the need for expensive molds, tooling, and assembly line processes. With 3D printing, parts can be directly printed, reducing material waste and lowering labor costs.

2. Customization and Flexibility: 3D printing allows for greater design flexibility and customization options. Automobile manufacturers can produce parts tailored to specific customer preferences or regional requirements.

3. Supply Chain Optimization: 3D printing can simplify and optimize the supply chain by reducing the number of intermediaries and inventory levels.

4. Innovation and Prototyping: 3D printing enables rapid prototyping and iterative design processes. This can accelerate the development of new car models, parts, and technologies.

5. Source: The information provided is based on general knowledge of the potential impact of 3D printing on the automobile industry. Various sources and studies discuss the applications of 3D printing in automotive manufacturing and its potential economic implications.

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A process produces a total of 900 units and has a total of 260 defects. Determine the number of units it would take to produce 380 conforming units.

Answers

It would take approximately 535 units to produce 380 conforming units, given the defect rate and total units provided.

To determine the number of units it would take to produce 380 conforming units, we need to calculate the proportion of defects in the process and use it to estimate the number of defective units.

First, we calculate the defect rate:

Defect Rate = Total Defects / Total Units = 260 / 900 = 0.2889

Next, we calculate the proportion of conforming units:

Conforming Rate = 1 - Defect Rate = 1 - 0.2889 = 0.7111

To find the number of units that would result in 380 conforming units, we set up a proportion:

Conforming Units / Total Units = Conforming Rate

Let x represent the total units needed to produce 380 conforming units:

380 / x = 0.7111

To solve for x, we can cross-multiply:

x = 380 / 0.7111 ≈ 534.85

Therefore, it would take approximately 535 units to produce 380 conforming units, given the defect rate and total units provided.

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Providing subsidies to exporters can O a. advesely affect balance of trade Ob. not affect balance of trade O c. improve balance of trade d. affect flow of funds out of country Trade openness ratio of Singapore is 320 and that of USA is 23. The inference is: O a. US is more reliant on outsourcing O b. Singapore's GDP is very low compared to US O c. Singapore is a more open economy for business O d. Singapore depends on trade more than US' dependence on trade

Answers

Providing subsidies to exporters can improve balance of trade. option c is the answer.

Trade openness ratio of Singapore is 320 and that of the USA is 23. The inference is that Singapore is a more open economy for business.

What are subsidies?

A subsidy is a payment made by a government to a business or institution to defray the costs of an activity or service. The purpose of a subsidy is to keep the cost of a commodity or service low for the end consumer. The government may provide subsidies in order to encourage the creation of certain commodities or services. Providing subsidies to exporters can improve the balance of trade. When a nation exports more goods than it imports, it has a favorable balance of trade. The government may give subsidies to exporters to encourage them to export more goods. This can help to improve the balance of trade by increasing the amount of exports compared to imports. Trade openness ratio is a measure of a nation's dependence on trade. Singapore's trade openness ratio is 320, which means that Singapore is heavily reliant on trade. This makes Singapore a more open economy for business. On the other hand, the USA's trade openness ratio is 23, which means that the USA is less reliant on trade than Singapore. Therefore, the correct answer is: Singapore is a more open economy for business.

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Total cost function of a perfect competitive firm is: TC =
Q2 + Q + 225
At P = 35$, calculate Q* and PMAX
Calculate the break-even point of this firm
At P = 5$, does this firm earn profit or get loss

Answers

As the total cost is greater than the total revenue of the firm, it will incur a loss of $3. Answer: Q* = -1/2, Pmax = 6.7082, break-even point = 17, loss of $3.

Total cost function of a perfectly competitive firm is: TC = Q2 + Q + 225

The price at which the perfectly competitive firm sells its products is P.

For the calculation of the quantity of product sold at P, we need to equate the total cost function to the revenue function.

Total revenue function of a perfectly competitive firm is TR = P * Q

For finding Q* and Pmax, we need to differentiate the total revenue function with respect to Q, and equate it to 0.

TR = P * Qd (TR)/d(Q)

= P = 0Q* = -1/2Pmax

= [(1/2)2 - 4 * (1) * (225)]1/2 / 2 * 1

= [(4 - 900)1/2] / 2

= (896)1/2 / 2

= 6.7082

At the break-even point, total cost equals total revenue.

Therefore, we need to equate the total cost function to the total revenue function.

This can be written as P * Q = Q2 + Q + 225 Q2 - (P - 1) * Q + 225 = 0

The break-even point is the value of Q, at which total cost equals total revenue.

Therefore, we can use the formula to find the break-even point. Q = (P - 1) / 2

= (35 - 1) / 2

= 17

Similarly, at P = 5$, the quantity sold by the firm is Q = (5 - 1) / 2 = 2.

Therefore, the total cost incurred by the firm would be TC = Q2 + Q + 225

= 2^2 + 2 + 225

= 229

As the total cost is greater than the total revenue of the firm, it will incur a loss of $3

Answer: Q* = -1/2, Pmax = 6.7082, break-even point = 17, loss of $3.

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Question 3
b) The company ALTA Ltd issued a bank accepted bill to fund its working capital requirement. The bill is issued for 60 days, with a face value of $150,000 and a yield of 2.5% per annum to the original discounter. After 25 days, the bank bill is sold by the original discounter into the secondary market for $138,222. The purchaser holds the bill to maturity. What is the yield received by the holder of the bill at the date of maturity?
c) The Atony Ltd. company raised $1.5m through a 10-year bond issue on the 31st of December 2020. The bond pays 3.4% per annum in coupons, with coupons paid quarterly. Calculate the price of the bond on the 12th of August 2025, given a market yield of 4.5% per annum. In your answer, identify whether the bond is trading at a discount or a premium, and explain the logic as to why this is the case. Note: You can write down the calculations by hand and attach a photo of your answer in the answer sheet.

Answers

b) The yield received by the holder of the bill at the date of maturity is -4.84%.

c) As the calculated bond price is higher than the face value of $1,500,000, it can be concluded that the bond is trading at a premium. This is because the market yield of 4.5% is less than the coupon rate of 3.4% per annum.

b) Yield received by the holder of the bill at the date of maturity. After 25 days, the bank bill is sold by the original discounter into the secondary market for $138,222. The face value of the bank bill was $150,000 and was sold after 25 days. The number of days for which the bank bill would be held by the holder after the sale would be 60 - 25 = 35 days.The bill was issued for 60 days, so the interest for the bill was calculated as -Interest = (Face Value * Discount Rate * Time)/365Interest = (150,000 * 2.5 * 60)/365Interest = $6,164.38This interest was earned for 25 days. The interest for the remaining 35 days would be the difference between the price at which the bill was sold and the face value. Thus, interest earned for 35 days is -$11,777.47 = $138,222 - $150,000. The total yield would be the sum of interest earned for 25 days and interest earned for 35 days. The total yield is,  Yield = ($6,164.38 + -$11,777.47)/$150,000 * 100Yield = -4.84%.

c) Price of the bond on the 12th of August 2025. The market yield is 4.5% per annum, with coupons paid quarterly. Coupon payments are made on 31st March, 30th June, 30th September, and 31st December.Price of the bond can be calculated by the following formula;Bond price = [C/r(1 - 1/(1+r)^n)] + FV/(1+r)^n Where,C = coupon payment. FV = face valuer = market yield/number of coupon payments in a yearn = number of coupon payments until maturity. On 31st December 2020, the company raised $1.5 million. Therefore, the face value of the bond is $1,500,000. The coupon rate is 3.4% per annum, with quarterly coupon payments.

Thus, the coupon payment per quarter is,$C = (3.4/4)% * $1,500,000C = $12,750Number of coupon payments until maturity is 10 years * 4 = 40 coupon payments. The number of years from the date of issue to the 12th of August 2025 is approximately 4.67 years. This is because there are four coupon payments in a year, and from 31st December 2020 to 12th August 2025, there will be 19 coupon payments.Bond price = [C/r(1 - 1/(1+r)^n)] + FV/(1+r)^n Bond price = [$12,750/0.01125(1 - 1/(1+0.01125)^19)] + $1,500,000/(1+0.01125)^19 Bond price = $1,320,281.94. As the calculated bond price is higher than the face value of $1,500,000, it can be concluded that the bond is trading at a premium. This is because the market yield of 4.5% is less than the coupon rate of 3.4% per annum. When the coupon rate of the bond is higher than the prevailing market yield, the bond is traded at a premium.

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true or false, albert einstein's eyes rest in a safe deposit box in new york city?

Answers

Albert Einstein's eyes rest in a safe deposit box in New York City?" is false. This is a widely circulated rumor that is not true and has no basis in reality. There is no evidence to suggest that Albert Einstein's eyes are stored in a safe deposit box in New York City or anywhere else.

A be, Albert Einstein is one of the most well-known scientists of the 20th century. His discoveries in the field of physics, particularly his theory of relativity, have had a significant impact on the world. Because of his fame, there are many rumors and myths about his life and death. One of these rumors is that his eyes are stored in a safe deposit box in New York City.This rumor appears to have originated from a misunderstanding of the circumstances surrounding Einstein's death. When he died in 1955, his body was cremated in accordance with his wishes. However, before his body was cremated, a pathologist named Thomas Harvey removed Einstein's brain without permission.

Harvey kept the brain in his possession for many years, and it was not until 1998 that it was finally returned to Einstein's family and buried with him in an undisclosed location. However, this has nothing to do with his eyes. Einstein's eyes were not removed or preserved in any way. There is no evidence to suggest that they were ever stored in a safe deposit box in New York City or anywhere else. This rumor appears to be a complete fabrication. There is no explanation for how this rumor started. It is possible that someone misunderstood the story of Einstein's brain and invented the idea that his eyes were also preserved. Whatever the case, it is important to remember that this rumor is false and has no basis in reality.

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The required reserves of a bank equal its ________ the required reserve ratio.
A) checking account deposits divided by
B) checking account deposits multiplied by
C) loans divided by
D) loans multiplied by

Answers

The required reserves of a bank equal its (B) checking account deposits multiplied by the required reserve ratio.

Banks are required to hold a certain percentage of their checking account deposits as reserves to ensure liquidity and stability in the financial system. The required reserve ratio is the percentage of deposits that banks are mandated to hold as reserves.

Option B is the correct answer because the required reserves of a bank are calculated by multiplying the bank's checking account deposits by the required reserve ratio. This calculation determines the amount of funds that the bank must keep on hand to meet regulatory requirements.

Option A is incorrect because it suggests dividing checking account deposits by the required reserve ratio, which would not yield the correct value for required reserves.

Option C is also incorrect because it suggests dividing loans by the required reserve ratio, which does not relate to the calculation of required reserves.

Option D is incorrect as it suggests multiplying loans by the required reserve ratio, which is not relevant to calculating required reserves.

Therefore, the correct answer is (B) checking account deposits multiplied by the required reserve ratio.

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