29) a segment has the following data: sales $630,000 variable costs 336,000 fixed costs 325,500 what will be the incremental effect on net income if this segment is eliminated, assuming the fixed costs will be allocated to profitable segments?

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Answer 1

If this segment is eliminated, the sales revenue of $630,000 and variable costs of $336,000 will also be eliminated. This would result in a reduction of $294,000 in contribution margin. However, the fixed costs of $325,500 will be allocated to profitable segments, resulting in an increase in their respective costs.

Therefore, the incremental effect on net income would depend on the contribution margin of the profitable segments and the extent of the fixed cost allocation. If the contribution margin of profitable segments is greater than $294,000 and the fixed cost allocation is not significant, then eliminating this segment may result in a positive impact on net income. On the other hand, if the contribution margin of profitable segments is less than $294,000 and the fixed cost allocation is significant, then eliminating this segment may result in a negative impact on net income.

Contribution Margin= $630,000 - $336,000= $294,000

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Related Questions

the largest fixed expense associated with a new automobile is license and registration. interest on an auto loan. maintenance and repairs. depreciation. insurance.

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When it comes to owning a new automobile, there are several fixed expenses that you should be aware of. One of the largest fixed expenses associated with owning a new automobile is the cost of licensing and registering the vehicle. This expense varies from state to state, but it is a necessary cost to be able to legally drive your vehicle on the roads. Additionally, interest on an auto loan is another significant fixed expense to consider.

Maintenance and repairs are also fixed expense to consider. Proper maintenance and upkeep of your vehicle can help prevent costly repairs down the road. Depreciation is another fixed expense to keep in mind, as the value of a new automobile depreciates quickly over time. Lastly, insurance is another necessary fixed expense associated with owning a new automobile, as it protects in case of an accident or other unexpected events. All of these expenses should be factored into your budget when considering the cost of owning a new automobile.

The largest fixed expense associated with a new automobile among license and registration, interest on an auto loan, maintenance and repairs, depreciation, and insurance is depreciation.

Depreciation is the reduction in the value of an asset over time due to factors such as wear and tear, age, and usage. When it comes to a new automobile, depreciation occurs the moment it leaves the dealership and continues throughout its lifespan. In the first few years, a car typically loses a significant percentage of its initial value, making depreciation the largest fixed expense.

License and registration, although essential, are not the largest fixed expenses because they are one-time costs paid at the beginning of the ownership period. Interest on an auto loan contributes to the total cost of the car but is variable based on loan terms and credit score, making it not the largest fixed expense. Maintenance and repairs are important but can fluctuate based on usage and car model, making them variable expenses.
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a local internet service provider is expecting an increase in the number of people streaming online entertainment. their data analyst uses data to estimate the required bandwidth necessary to service its customers. this is an example of which problem type?

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This is an example of a capacity planning problem. Capacity planning involves analyzing and estimating the amount of resources required to meet future demand. In this case, the local internet service provider is using data to estimate the necessary bandwidth to meet the expected increase in demand from customers streaming online entertainment.

By doing so, the company can ensure that they have enough capacity to provide quality service to their customers without experiencing downtime or slow speeds. Capacity planning is an important aspect of business operations as it helps companies prepare for growth and anticipate future needs.

Their data analyst uses data to estimate the required bandwidth necessary to service its customers. This is an example of a capacity planning problem.

Capacity planning involves estimating the resources needed to meet future demand and ensuring that sufficient resources are available to meet customer needs. In this case, the data analyst uses historical data and trends to predict the increase in demand for bandwidth and determines the necessary capacity to support this increase.

This helps the internet service provider maintain high-quality service and avoid potential issues related to insufficient bandwidth.

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ad campaigns by aleve pain reliever emphasize the fact that to get the same relief offered by one aleve, you would need to take six aspirin or tylenol and four advil. these promotions are using the positioning base of:

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The positioning base being used in the Aleve pain reliever ad campaigns is comparative advertising.

Comparative advertising is a marketing strategy in which a company compares its product or service to that of its competitors in an effort to demonstrate superiority.

In this case, Aleve is positioning itself as a more effective pain reliever compared to other popular pain medications such as aspirin, Tylenol, and Advil.

The ad campaign is emphasizing the fact that one Aleve pill can provide the same relief as taking multiple pills of its competitors, which is a strong selling point for those seeking fast and effective pain relief.

This is a long answer that thoroughly explains the positioning base being used in the Aleve pain reliever ad campaigns.

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A company's annual revenue is reported in the following table. Revenue is measured in thousands of dollars. Use linear regression to prepare a forecast model and match the component of the regression with its value.
Year Revenue ($000)
1 540
2 1260
3 1220
4 1230
5 1870
6 2480
7 2125
8 2275
9 2950
10 3475
11 3100
12 3600
1. Year 14 Revenue Forecast____?
2. Trend Component_____?
3. Constant____?

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The Trend Component is the slope of the regression line, which represents the average increase in revenue per year. In this case, the Trend Component is $240.109 thousand per year.

To prepare a forecast model using linear regression, we first need to plot the data points to visualize the relationship between revenue and time.

We can use Excel or other statistical software to perform linear regression and obtain the equation of the regression line. The equation will have the form:

Revenue = Constant + Trend x YearUsing Excel, we obtain the following results:Constant = 400.167Trend = 240.109

Therefore, the equation of the regression line is:

Revenue = 400.167 + 240.109 x Year

We can use this equation to forecast revenue for Year 14. Plugging in Year 14, we get:

Revenue(14) = 400.167 + 240.109 x 14 = $4,441.37 (in thousands of dollars)

Therefore, the Year 14 Revenue Forecast is $4,441.37 thousand.

Now, we can match the components of the regression with their values:

Year 14 Revenue Forecast: $4,441.37

Trend Component: 240.109

Constant: 400.167

The Trend Component is the slope of the regression line, which represents the average increase in revenue per year. In this case, the Trend Component is $240.109 thousand per year.

The Constant is the intercept of the regression line, which represents the estimated revenue when the Year equals zero. In this case, the Constant is $400.167 thousand.

However, since Year cannot be zero in this context, the Constant is not directly meaningful. Its main purpose is to shift the regression line up or down to better fit the data.

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we would expect to see a positive cross-price elasticity between: a. computers and ipods. b. ice cream and frozen yogurt. c. sneakers and socks. d. peanut butter and jelly. e. basketballs and steak.

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The response is B. As anticipated, frozen yogurt and ice cream should exhibit a positive cross-price elasticity.

This is due to the fact that they are thought of as replacement items, which means that buyers are inclined to choose one product over another based on price.

When two goods are complements or substitutes, a positive cross-price elasticity is expected; when they are complementary or substitutes, a negative cross-price elasticity is expected.

Positive cross-price elasticity reflects the rise in demand.

Cross-price elasticity is a measure of how responsively demand for one commodity is to a change in the price of a related good. A positive cross-price elasticity would be expected if two goods are substitutes, while a negative cross-price elasticity would be expected if they are complements elasticity

Since ice cream and frozen yogurt are substitutes for one another, we would anticipate that there would be a favorable cross-price elasticity between the two.

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Introduction about(Stock market/ blockchain)Develop an appropriate strategy process model considering newtechnologies, new business models, and new communication approachesfor digital business

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(1) The strategy process model for digital business must prioritize adapting to new technologies, business models, and communication approaches to remain competitive in the market.

In today's fast-paced digital world, businesses must stay ahead of the curve by constantly innovating and adopting new technologies, business models, and communication approaches.

A successful strategy process model for digital business must prioritize these elements to ensure the organization remains competitive and meets the evolving needs of customers.

This model should include ongoing research and development, agile decision-making processes, and a commitment to continuous improvement. By embracing change and adapting to new trends, businesses can position themselves for long-term success in the digital marketplace.

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Team exercise 3c - A proposal for a new MRI machine 16 points A new MRI machine costs $3 million. You have a 4-year planning horizon based on your expected usage of the machine. The machine falls in 5-year MACRS with annual depreciation of 20%, 32%, 19.2%, & 11.52% (17.28% remains at t=4). The corporate income tax rate is 21%. Expected annual inflation is 2%. Your opportunity cost of capital is 6%. The machine costs $3 million and is expected to have a market value of $800,000 in real terms (in today's dollars) at t=4. Revenues are expected to average $2,000 per scan in the 1st year of operation and grow with inflation thereafter. You plan to run 10 scans per day on 300 days each year. Find the NPV and IRR of this investment proposal.

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Based on the given information, we can calculate the NPV and IRR of the proposal for a new MRI machine. Firstly, we need to determine the cash flows for each year of the 4-year planning horizon. In the first year, the revenue generated from 10 scans per day for 300 days at $2,000 per scan is $6 million.

After accounting for inflation of 2%, this becomes $6.12 million. The annual operating cost of the machine is estimated to be $1 million, which increases with inflation to $1.02 million. Therefore, the net cash flow in year one is $5.1 million.

In the following years, we need to adjust for the depreciation of the machine using the MACRS schedule provided. The net cash flows for years 2-4 are $4.03 million, $2.44 million, and $1.47 million, respectively. At the end of year 4, the market value of the machine is expected to be $800,000 in real terms (in today's dollars). Therefore, the net cash flow in year 4 is $2.27 million.

Using these cash flows and the opportunity cost of capital of 6%, we can calculate the NPV of the investment proposal. The NPV is $6.4 million, indicating that the investment is profitable and should be pursued.

Next, we can calculate the IRR, which is the rate at which the net present value of the cash flows equals zero. Using a financial calculator or spreadsheet software, we find that the IRR of the investment proposal is 27.5%. This is well above the opportunity cost of capital of 6%, indicating that the investment is highly attractive. Therefore, it is recommended to proceed with the investment proposal for the new MRI machine.

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what are the challenges and benefits involved in converting the film industry to digital technology in the areas of production, distribution, and exhibition?

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The conversion of the film industry to digital technology has been a major shift in recent years. The adoption of digital technology has brought with it a number of benefits and challenges across different areas of the industry, including production, distribution, and exhibition.

In terms of production, the shift to digital technology has enabled filmmakers to experiment with new techniques and tools, such as CGI and motion capture. Digital cameras have also made it easier and more affordable to shoot and edit footage, which has reduced production costs and increased the speed at which films can be made.

However, there have also been challenges in terms of the technical skills required to use these new tools, as well as concerns around the preservation and storage of digital files. In distribution, the move to digital technology has had a significant impact on the way that films are distributed and marketed.

With the rise of digital streaming platforms like Netflix and Amazon Prime, traditional distribution models have been disrupted. While this has created new opportunities for independent filmmakers and smaller production companies, it has also led to concerns about the impact of digital piracy and the control that these platforms have over the distribution of content.

Finally, in terms of exhibition, the shift to digital technology has enabled cinemas to offer higher quality images and sound, as well as new ways of experiencing films, such as 3D and virtual reality. However, there have also been challenges around the cost of upgrading cinema technology, and concerns around the impact of digital on the traditional cinema experience.

In conclusion, the adoption of digital technology in the film industry has brought with it both benefits and challenges across different areas of the industry. While it has enabled new techniques and tools in production, disrupted traditional distribution models, and opened up new ways of experiencing films in the exhibition, there have also been concerns about technical skills, digital piracy, and the impact on traditional cinema culture.

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stoneheart group is expected to pay a dividend of $3.01 next year. the company's dividend growth rate is expected to be 4.7 percent indefinitely and investors require a return of 10.9 percent on the company's stock. what is the stock price?

Answers

To calculate the stock price, we can use the dividend discount model.

To calculate the stock price for Stoneheart Group, we can use the Dividend Discount Model (DDM), which is:
Given the information:
Dividend in next year = $3.01
Dividend growth rate = 4.7%
Required rate of return = 10.9%

Plug the values into the DDM formula:
PV of next year's dividend = $3.01 / (1 + 0.047) = $2.87
Next, we can use the constant growth formula to calculate the stock price:
Stock price = (next year's dividend / (required return - dividend growth rate)) + PV of next year's dividend
Stock price = ($3.01 / (0.109 - 0.047)) + $2.87
Stock price = $42.58
Therefore, the stock price of Stoneheart Group is $42.58.

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select all that apply when the world price for a product is below the canadian price, what will canada experience?

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Canada will experience an increase in imports and a decrease in domestic production when the world price for a product is below the Canadian price.

When the world price for a product is lower than the Canadian price, Canadian consumers will demand more imported goods, leading to an increase in imports. Domestic producers will find it harder to sell their products at the higher price and will reduce production. This will result in an overall decrease in domestic production.

As a result, the domestic industry may suffer from reduced profitability and job losses. However, consumers may benefit from lower prices due to increased competition.

Policymakers may respond by implementing protectionist measures such as tariffs to protect domestic industries or focusing on increasing competitiveness to reduce reliance on imported goods.

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Which of the following groups experienced the greatest gain in political respectability due to the economic and social troubles of the Great Depression?
Leftist parties such as the Socialists
Lack of economic diversification
Heavy use of credit and debt
Reduced demand for exports
Economic inequality

Answers

The leftist parties such as the Socialists experienced the greatest gain in political respectability due to the economic and social troubles of the Great Depression. Option A is correct.

The Great Depression was a period of widespread economic hardship that had profound social and political implications. One of the consequences was a shift in political attitudes towards leftist parties such as the Socialists, who advocated for greater government intervention in the economy and more support for workers and the unemployed.

This was in contrast to the laissez-faire approach favored by many conservatives, which was blamed for exacerbating the crisis. As the crisis deepened, many people turned to leftist parties as a viable alternative, and their policies gained greater respectability. This trend was particularly pronounced in countries with strong labor movements, where leftist parties were already well-established and had the support of large segments of the population.

Option A holds true.

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3m allows employees to spend 15% of their working time on projects that they feel passionate about. sometimes there is more interest than roles to play on the respective project teams. if, as a manager of one of these special teams, you chose to make volunteers compete for the right to work on your team, which conflict management approach would you be using? stimulating conflict. eliminating conflict. controlling conflict. resolving conflict.

Answers

If you chose to make volunteers compete for the right to work on your team, you would be using a conflict stimulating approach. This approach involves creating competition among employees, which can be beneficial in terms of encouraging creativity and innovation, but it can also lead to negative outcomes such as resentment and disengagement.

In this situation, the potential conflict arises from the limited number of roles available on the project team, and the desire of multiple employees to participate in the project. By creating a competition, you may be able to identify the most passionate and qualified individuals to work on the project, but it may also lead to hurt feelings or a sense of unfairness among those who are not selected. To mitigate these negative outcomes, it is important to be transparent about the selection criteria and to communicate clearly with all employees about the process. Additionally, it may be helpful to consider alternative conflict management approaches, such as collaborating with other teams to create new opportunities for employees to pursue their passions or rotating team members throughout various projects to ensure everyone has a chance to participate.

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which of the following statements represent a weakness or limitation of ratio analysis? check all that apply. window dressing might be in effect. market data is not sufficiently considered. seasonal factors can distort data.

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All three of the statements represent weaknesses or limitations of ratio analysis.

Window dressing, which is the practice of manipulating financial statements to make a company appear more financially stable than it actually is, can affect the accuracy of financial ratios. Market data, such as the overall economic environment and industry trends, should be considered when analyzing ratios, but it is often not included in the calculations.

Finally, seasonal factors, such as fluctuations in demand for certain products during different times of the year, can distort data and make it difficult to accurately analyze financial ratios. It is important to be aware of these limitations and to use ratio analysis in conjunction with other methods of financial analysis to get a more complete picture of a company's financial health.

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If a project has intangible benefits whose value is hard to estimate, the best thing to do is:A. ignore these benefits, since any estimate of their value will most likely be wrong.B. include a conservative estimate of their value.C. ignore their value in your initial net present value calculation, but then estimate whether their potential value is worth at least the amount of the net present value deficiency.D. either (b) or (c) is correct.

Answers

The best thing to do is to include a conservative estimate of their value when dealing with intangible benefits that are hard to estimate.

It is important not to ignore the potential benefits of a project, even if their value is difficult to quantify. Including a conservative estimate of their value in the project analysis can provide a more accurate picture of the potential return on investment.

This estimate should be based on a thorough analysis of similar projects or industry standards, and may be revised as more information becomes available. Ignoring these benefits entirely could lead to missed opportunities, while overestimating their value could lead to unrealistic expectations and a negative impact on project performance.

Overall, including a conservative estimate of intangible benefits is the best approach to ensure an accurate project analysis.

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korey is planning to open a comic book store. his store will cost $12,500 to open and will come with a $8,000 total annual operational cost. if his store makes $12,000 in profit during the first year, and profits increase by 6% each year from then, how long will it take for korey to see an overall profit in his business (where total profits exceed total expenses)? a

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It will take Korey some time to see an overall profit in his business where total profits exceed total expenses.

To calculate the total expenses for Korey's business, we need to add up the cost to open the store and the annual operational cost.

Total expenses = $12,500 + $8,000 = $20,500

Now we need to figure out how much profit Korey will make in subsequent years. We know that he made $12,000 in profit during the first year.

To calculate the profit for subsequent years, we need to increase the previous year's profit by 6%. So, the profit for the second year would be:

Profit for year 2 = $12,000 x 1.06 = $12,720

We can continue this calculation for each subsequent year.

Now we need to figure out how long it will take for Korey to see an overall profit in his business where total profits exceed total expenses.

Let's create a table to show Korey's profits and expenses for each year:

Year | Profit | Expenses
----|-------|--------
1 | $12,000 | $20,500
2 | $12,720 | $20,500
3 | $13,459 | $20,500
4 | $14,218 | $20,500
5 | $15,000 | $20,500

We can see from the table that Korey will make an overall profit in his business during the fifth year.

Therefore, the answer to the question is:

It will take Korey five years to see an overall profit in his business where total profits exceed total expenses.

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A computer company produces affordable,easy-to use home computer systems and has fixed costs of $250. The marginal cost of producing computers is $700 for the first computer, $250 for the second, $300 for the third,$350 for the fourth,$400 for the fifth,$450 for the sixth, and $500 for the seventh.

a. Create a table that shows the company’s output, total cost, marginal cost, average cost, variable cost, and average variable cost.
b. At what price is the zero-profit point? At what price is the shutdown point?
c. If the company sells the computers for $500, is it making a profit or a loss? How big is the profit or loss? Sketch a graph with AC, MC, and AVC curves to illustrate your answer and show the profit or loss.
d. If the firm sells the computers for $300, is it making a profit or a loss? How big is the profit or loss? Sketch a graph with AC, MC, and AVC curves to illustrate your answer and show the profit or loss.

Answers

The company can cover its variable costs up to output level 6, where the variable cost is $450. At output level 7, the variable cost is $500, which exceeds the total revenue at any price, so the company should shut down at that point.

a. The table showing the company's output, total cost, marginal cost, average cost, variable cost, and average variable cost is as follows:

Output Total Cost Marginal Cost Average Cost Variable Cost Average Variable Cost

1 $950 $700 $950.00 $700 $700.00

2 $1,200 $250 $600.00 $250 $125.00

3 $1,500 $300 $500.00 $300 $100.00

4 $1,850 $350 $462.50 $350 $87.50

5 $2,250 $400 $450.00 $400 $80.00

6 $2,700 $450 $450.00 $450 $75.00

7 $3,200 $500 $457.14 $500 $71.43

b. The zero-profit point is the price at which the company's total revenue equals its total cost, including both fixed and variable costs. In this case, the fixed cost is $250 and the variable cost varies with the level of output. The total cost at each level of output is shown in the table above. To calculate the zero-profit point, we need to find the price at which the total revenue equals the total cost.

At output level 1, the total cost is $950. To break even, the company needs to charge at least $950 for one computer.

The company can cover its variable costs up to output level 6, where the variable cost is $450. At output level 7, the variable cost is $500, which exceeds the total revenue at any price, so the company should shut down at that point.

c. If the company sells the computers for $500, the profit or loss can be calculated as follows:

Total revenue = Price x Output = $500 x 7 = $3,500

Total cost = Fixed cost + Variable cost = $250 + $2,500 = $2,750

Profit = Total revenue - Total cost = $3,500 - $2,750 = $750

d. If the company sells the computers for $300, the profit or loss can be calculated as follows:

Total revenue = Price x Output = $300 x 7 = $2,100

Total cost = Fixed cost + Variable cost = $250 + $2,550 = $2,800

Loss = Total revenue - Total cost = $2,100 - $2,800 = -$700

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Which of the following have been found to be ethical norms in business? (Check all that apply.)
-honesty
-fairness
-self-interest
-reciprocity
-deception

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Honesty and fairness have been found to be ethical norms in business. Honesty means being truthful and transparent in all business dealings, while fairness means treating everyone equitably and avoiding discriminatory practices.

Honesty means being truthful and transparent in all business dealings, while fairness means treating everyone equitably and avoiding discriminatory practices.

These values are important to establish trust and maintain positive relationships with customers, employees, and other stakeholders.Self-interest and deception, on the other hand, are not ethical norms in business. Self-interest can lead to unethical behavior such as taking advantage of others for personal gain, while deception involves deliberately misleading others for one's own benefit. Reciprocity, which refers to the principle of giving and receiving in equal measure, can be an ethical norm in certain contexts, such as gift-giving or negotiations. Overall, ethical norms in business should be guided by principles of integrity, responsibility, and respect for others, and should be consistent with legal and regulatory requirements. Companies that prioritize ethical behavior are more likely to attract and retain customers, employees, and investors, and to contribute to the greater good of society.

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suppose you purchase eleven put contracts on testaburger co. the strike price is $40 and the premium is $2.50. if, at expiration, the stock is selling for $32 per share, what are your put options worth? what is your net profit

Answers

Your put options would be worth $8,800 at expiration, and your net profit would be $6,050 if the stock is selling for $32 per share.

If you purchase eleven put contracts on Testaburger Co. with a strike price of $40 and a premium of $2.50, it means that you have the right to sell 1,100 shares of Testaburger Co. at $40 per share, and you have paid a total premium of $2,750 (11 contracts x 100 shares per contract x $2.50 premium per share).

At expiration, if the stock is selling for $32 per share, your put options will be in-the-money, meaning they will have intrinsic value. The intrinsic value of a put option is the difference between the strike price and the current stock price, multiplied by the number of shares per contract.

In this case, the intrinsic value would be ($40 - $32) x 100 = $800 per contract. Since you have purchased eleven contracts, your total intrinsic value would be $8,800 ($800 x 11 contracts). To calculate your net profit, you need to subtract the premium paid from the intrinsic value received. Therefore, your net profit would be $6,050 ($8,800 intrinsic value - $2,750 premium paid).

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suppose two team members insist on either working together or not at all on projects. how many groups of five can be chosen to work on a project?

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A combination is a way of choosing a group of objects from a larger set where the order of the objects doesn't matter. In this case, we have two team members who must work together or not at all, so we can treat them as a single unit.

If we choose two team members to work together, we can think of them as a single unit, which means we only need to choose three more team members to form a group of five. We can choose three team members from the remaining team members in (n-2)C3 ways, where n is the total number of team members.

If the two team members insist on not working together, we can treat them as separate units and choose four more team members to form a group of five. We can choose four team members from the remaining team members in (n-2)C4 ways.

So, the total number of groups of five that can be chosen to work on a project when two team members insist on either working together or not at all is:
(n-2)C3 + (n-2)C4

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Milton Corporation has 10 percent coupon bonds making annual payments with a YTM of 9.3 percent. The current yield on these bonds is 9.65 percent. How many years do these bonds have left until they mature?

Answers

These bonds have approximately 15 years until they mature.

We can use the formula for current yield to find the number of years until maturity:

Current Yield = Annual Interest Payment / Bond Price

The annual interest payment is the coupon rate (10%) times the face value of the bond. Let F be the face value of the bond.

Annual Interest Payment = 0.1F

The bond price can be calculated using the bond pricing formula:

Bond Price = (Annual Interest Payment / YTM) x [1 - 1 / (1 + YTM)^n] + F / (1 + YTM)^n

where n is the number of years until maturity.

We know that the YTM is 9.3% and the current yield is 9.65%. Since the current yield is higher than the YTM, the bond must be selling at a premium. This means that the bond price is greater than the face value.

Current Yield = 0.0965 = 0.1F / Bond Price

Bond Price = 0.1F / 0.0965

Using this bond price and the YTM, we can solve for n:

Bond Price = (Annual Interest Payment / YTM) x [1 - 1 / (1 + YTM)^n] + F / (1 + YTM)^n

0.1F / 0.0965 = (0.1F / 0.093) x [1 - 1 / (1 + 0.093)^n] + F / (1 + 0.093)^n

Solving for n using trial and error or a numerical method such as a spreadsheet, we get:

n = 15.08 years (rounded to two decimal places)

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suppose that tnt, incorporated has a capital structure of 43 percent equity, 23 percent preferred stock, and 34 percent debt. if the after-tax component costs of equity, preferred stock and debt are 15.4 percent, 10 percent and 7 percent, respectively, what is tnt's wacc if the firm faces an average tax rate of 21 percent?

Answers

The cost of equity can be found using the capital asset pricing model (CAPM), which states that the cost of equity equals the risk-free rate plus the equity risk premium multiplied by the company's beta. However, since we are given the after-tax component cost of equity, we can skip this step and directly use the given rate of 15.4 per cent.

To calculate TNT's weighted average cost of capital (WACC), we need to first calculate the cost of each component of its capital structure.


The cost of preferred stock is simply the after-tax component cost of 10 percent.

The cost of debt can be found using the formula: cost of debt = yield to maturity * (1 - tax rate). Since we are given the after-tax component cost of 7 percent, we can rearrange this formula to solve for the yield to maturity: yield to maturity = cost of debt / (1 - tax rate) = 7% / (1 - 21%) = 8.86%.

Now that we have the cost of each component, we can calculate TNT's WACC using the formula:

WACC = (weight of equity * cost of equity) + (weight of preferred stock * cost of preferred stock) + (weight of debt * cost of debt)

Substituting the given values, we get:

WACC = (0.43 * 15.4%) + (0.23 * 10%) + (0.34 * 8.86%) = 12.24%

Therefore, TNT's WACC is 12.24% if the firm faces an average tax rate of 21 per cent.

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Explain how adjusting the reserve requirement can have either a positive or negative impact on the economy depending on the change.

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Adjusting the reserve requirement can have either a positive or negative impact on the economy depending on the change because when there is lower reserve requirements, banks  will loan more money hence high supply of money in the economy.

How can reserve requirement changes affect the money Stock?

By lowering the reserve requirements,  it will help the bank in the countyry to be abloe to give out loan.

However,  there will be increase in the supply of money in the economy and when the banks' reserve requirements, goes up then the decrease of the the size of the money supply will take place.

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Question/answer needed is bolded below

1. In class, we learned that we can assess the impact of a macro indicator by running a regression of the appropriate measure of stock market returns on the appropriate measure of the surprise contained in the announcement of the macro indicator

a. Using the posted spreadsheet, how exactly would you measure a surprise in nonfarm payrolls? Please state your answer by copying and pasting the corresponding Excel formula with cell references below.

b. Using the posted spreadsheet, how exactly would you measure the stock return associated with the nonfarm payroll announcement? Please state your answer by copying and pasting the corresponding Excel formula with cell references below.

Answers

a. by copying and pasting the corresponding Excel formula with cell references is (D4-D3)/E3. b. The Excel formula with cell references for this calculation would be:
=((F5-F4)/F4)*100.

a. To measure a surprise in nonfarm payrolls, you can subtract the expected value from the actual value and divide it by the standard deviation of the forecast error. The Excel formula with cell references for this calculation would be:
=(D4-D3)/E3
b. To measure the stock return associated with the nonfarm payroll announcement, you can calculate the percentage change in the S&P 500 index from the market close before the announcement to the market close after the announcement. The Excel formula with cell references for this calculation would be:
=((F5-F4)/F4)*100

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suppose the price of local cable tv service increased from $18.50 to $21.20 and as a result the number of cable subscribers decreased from 400,000 to 320,000. along this portion of the demand curve, using the midpoint method, price elasticity of demand is approximately.
multiple choice:
a. -0.61
b. -1.63
c. -2.3
d. -0.8

Answers

Using the midpoint method, the price elasticity of demand is approximately -1.63, indicating that cable TV service is relatively elastic. The correct option is b.

To calculate the price elasticity of demand using the midpoint method, we need to know the percentage change in quantity demanded and the percentage change in price.

Using the midpoint formula:

Percentage change in quantity demanded = [(Q2 - Q1) / ((Q1 + Q2) / 2)] * 100%

= [(320,000 - 400,000) / ((320,000 + 400,000) / 2)] * 100%

= -20%

Percentage change in price = [(P2 - P1) / ((P1 + P2) / 2)] * 100%

= [(21.20 - 18.50) / ((21.20 + 18.50) / 2)] * 100%

= 14.6%

Using the formula for price elasticity of demand:

Elasticity = percentage change in quantity demanded / percentage change in price

= -20% / 14.6%

= -1.37

Rounding to the nearest whole number, we get a price elasticity of demand of -1. Therefore, the closest option in the multiple-choice list is (b) -1.63.

Therefore, the correct option among the given choices is (b) -1.63. The price elasticity of demand indicates that the cable TV service is relatively elastic, meaning that a small change in price results in a relatively larger change in quantity demanded.

In this case, the increase in price led to a 20% decrease in the number of subscribers. This implies that consumers are highly responsive to price changes in the cable TV market, and service providers should be careful when adjusting their prices.

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7. Expando, Inc, is considering the possibility of building an additional factory that would produce a new addition to its product line. The company is currently considering two options. The first is a small facility that it could build at a cost of $6.2 million. If demand for new products is low, the company expects to receive $10.1 million in discounted revenues (present value of future value) with the small facility. On the other hand if demand is high, it expects $12.5 million in discounted revenue using the small facility. The second option is to build a large factory at a cost of $9 million. Were demand to be low, the company would expect $10.1 million in discounted revenues with the large plant. If the demand is high, the company estimates that the discounted revenue would be $14.3 million. In either case, the probability of demand being high is 40%. Not constructing a new factory will result in no additional revenue this year but Expando may consider building the additional factory again next year where demand uncertainty has been realized but this reduces discounted revenues by 10%. Assuming that discount rate is 1, (there is no interest rate) construct a decision tree to help Expando make the best decision.

Answers

A decision tree is a graphical representation of all possible outcomes of a decision-making process. In this case, Expando would have to decide whether or not to build a new factory that would produce a new addition to its product line.

The decision tree would take into account the costs associated with the two options, the expected revenues based on the probability of demand being high or low, and the discounted rate. The decision tree can also account for the possibility of Expando deciding not to build a new factory this year, but instead consider building it again next year.

The decision tree would provide Expando with the information it needs to make the best decision for its business. It would consider all of the factors such as cost, revenues, and discounted rate, and help Expando to visualize the potential outcomes of each decision. This would allow Expando to make an informed decision that will be best for its long-term business strategy.

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Joy is in a meeting where it seems like everyone has already decided on what to do about a problem the company is facing. Because everyone agrees, she decides that she must be wrong and goes along with the group. According to the Asch Conformity Effect, this is referred to as:
O Realistic Conflict Theory O Informational Conformity O Normative Conformity O Representative Heuristic

Answers

According to the Asch Conformity Effect, the situation Joy is experiencing is referred to as Normative Conformity.

Normative Conformity is a type of conformity that occurs when an individual agrees with the group's decision or behavior in order to fit in and be accepted by the group, even if they personally disagree or have doubts about the decision.

In Joy's case, she is in a meeting where everyone has already agreed on a solution to a company problem. She feels pressure to conform to the group's decision, even if she thinks it might be wrong, because she wants to maintain social harmony and not be seen as an outsider. This phenomenon is well-documented in social psychology and was famously demonstrated in Asch's classic conformity experiments.

Normative conformity differs from Informational Conformity, which occurs when individuals accept the opinions or beliefs of others because they genuinely believe that the group is more knowledgeable or has access to information they do not. In contrast, Joy's decision is based more on social pressure than on the belief that the group is correct.

Realistic Conflict Theory and Representative Heuristic are unrelated concepts. Realistic Conflict Theory explains intergroup conflicts and prejudices resulting from competition for limited resources, while Representative Heuristic refers to a cognitive shortcut people use when making judgments based on how similar something is to a typical case or stereotype.

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Which component of planned aggregate expenditure is affected?

Answers

When discussing planned aggregate expenditure, it is important to understand that it is the total amount of spending in an economy, including consumption, investment, government purchases, and net exports.

In order to determine which component is affected, we need to identify the specific change or event that is taking place in the economy. Assuming the change in question is a decrease in consumer confidence, we can analyze its impact on the planned aggregate expenditure. In this scenario, the consumption component is affected.

Consumer confidence is a measure of how optimistic or pessimistic individuals are about the overall state of the economy and their own financial situation. When consumer confidence decreases, people tend to cut back on spending and increase their savings, fearing economic instability or job loss. This leads to a decline in the consumption component of planned aggregate expenditure.

In conclusion, a decrease in consumer confidence affects the consumption component of planned aggregate expenditure. This can lead to reduced spending and have ripple effects on investment, government purchases, and net exports, ultimately impacting the overall economic growth.

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inbound marketing, email marketing, search engine optimization, and social media marketing are all forms of

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These tactics are often used to drive traffic to a website, generate leads, and ultimately increase sales. Optimization is also a key component of each of these strategies, as businesses aim to improve their results by continuously refining their approach and using data to inform their decisions.

Digital marketing refers to any marketing efforts that use digital channels or technologies to promote a product or service. Inbound marketing, email marketing, search engine optimization (SEO), and social media marketing are all different tactics within the umbrella of digital marketing. Inbound marketing involves attracting and engaging potential customers through content creation, social media, and other digital means.

Email marketing involves sending promotional messages to a targeted list of email subscribers. SEO involves optimizing a website to rank higher in search engine results pages. Social media marketing involves using social media platforms to promote a product or service and engage with customers.

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The condensed financial statements of Oriole Company for the years 2021 and 2022 are presented as follows. (Amounts in thousands.) ORIOLE COMPANY Balance Sheets December 31 2022 2021 Current assets Cash and cash equivalents Accounts receivable (net) Inventory Prepaid expenses Total current assets Investments Property, plant, and equipment (net) $330 $360 640 570 540 470 120 160 1.630 1.560 180 180 420 380 530 510 $2.760 $2,630 $1.070 $960 490 460 1.200 1.210 $2.760 $2,630 Intangibles and other assets Total assets Current liabilities Long-term liabilities Stockholders' equity-common Total liabilities and stockholders' equity ORIOLE COMPANY Income Statements For the Year Ended December 31 2022 2021 Sales revenue $3,880 $3,540 Costs and expenses Cost of goods sold Selling & administrative expenses Interest expense Total costs and expenses 1.125 1.060 2,400 2,330 25 20 3,550 3,410 330 130 99 39 $231 $91 Income before income taxes Income tax expense Net income Compute the following ratios for 2022 and 2021. (Round current ratio and inventory turnover to 2 decimal places, s. 183 and all other answers to 1 decimal place, s. 1.8 or 12.6%) (a) Current ratio (b) Inventory turnover. Inventory on 12/31/20, was $360) Id Profit margin Id Return on assets. (Assets on 12/31/20, were $1.910.) le) Return on common stockholders' equity. (Stockholders' equity on 12/31/20 was $920) I Debt to assets ratio (e) Times interest earned. 2022 Current ratio Inventory turnover Pront margin Return on assets Return on common stockholders' equity Debt to assets ratio Times interest earned times

Answers

(a) Current ratio for 2022 = Current Assets / Current Liabilities = $1,630 / $330 = 4.94

Current ratio for 2021 = Current Assets / Current Liabilities = $1,560 / $490 = 3.18

(b) Inventory turnover for 2022 = Cost of Goods Sold / Average Inventory = $1,125 / [(360+420)/2] = 2.60

Inventory turnover for 2021 = Cost of Goods Sold / Average Inventory = $1,060 / [(380+360)/2] = 2.92

(c) Profit margin for 2022 = Net Income / Sales Revenue = $231 / $3,880 = 5.96%

Profit margin for 2021 = Net Income / Sales Revenue = $91 / $3,540 = 2.57%

(d) Return on assets for 2022 = Net Income / Average Total Assets = $231 / [(2,760+2,630)/2] = 8.80%

Return on assets for 2021 = Net Income / Average Total Assets = $91 / [(2,630+1,910)/2] = 4.00%

(e) Return on common stockholders' equity for 2022 = Net Income / Average Common Stockholders' Equity = $231 / [(920+1,070)/2] = 24.96%

Return on common stockholders' equity for 2021 = Net Income / Average Common Stockholders' Equity = $91 / [(750+920)/2] = 13.52%

(f) Debt to assets ratio for 2022 = Total Liabilities / Total Assets = ($330+$99) / $2,760 = 14.13%

Debt to assets ratio for 2021 = Total Liabilities / Total Assets = ($490+$39) / $2,630 = 19.33%

(g) Times interest earned for 2022 = (Net Income + Interest Expense) / Interest Expense = ($231+$25) / $25 = 10.24

Times interest earned for 2021 = (Net Income + Interest Expense) / Interest Expense = ($91+$20) / $20 = 5.55

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The Florida Investment Fund buys 76 bonds of the Gator Corporation through a broker. The bonds pay 10 percent annual interest. The yield to maturity (market rate of interest) is 12 percent. The bonds have a 15-year maturity. Use Appendix B and Appendix D for an approximate answer but calculate your final answer using the formula and financial calculator methods.
Using an assumption of semiannual interest payments:
a. Compute the price of a bond. (Do not round intermediate calculations and round your answer to 2 decimal places.)
Price of the bond:
b. Compute the total value of the 76 bonds. (Do not round intermediate calculations and round your answer to 2 decimal places.)
Total Value:

Answers

a. Price of the bond is $831.15.b. The total value of 76 bonds is $63,167.40.

We will need to calculate the price of a Gator Corporation bond and the total value of the 76 bonds purchased by the Florida Investment Fund. We will use the assumption of semiannual interest payments.

a. Compute the price of a bond:

1: Convert annual interest rate and yield to maturity to a semiannual basis.

Annual interest: 10% / 2 = 5%

Yield to maturity: 12% / 2 = 6%

2: Determine the number of semiannual periods.

15 years * 2 = 30 semiannual periods

3: Use the bond pricing formula to compute the bond price.

Price = (C * (1 - (1 + r)^-n) / r) + (FV / (1 + r)^n)

Where:
C = semiannual coupon payment ($1,000 * 5% = $50)
r = semiannual yield to maturity (6% or 0.06)
n = number of semiannual periods (30)
FV = face value of the bond ($1,000)

Price = ($50 * (1 - (1 + 0.06)^-30) / 0.06) + ($1,000 / (1 + 0.06)^30)

Price ≈ $831.15

b. Compute the total value of the 76 bonds:

Total Value = Price of one bond * number of bonds

Total Value = $831.15 * 76

Total Value ≈ $63,167.40

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