Explain what is the cost debt. Does it have a set formula? If so
what is it? What is post cost of debt? How can you lower your cost
of debt?

Answers

Answer 1

The cost debt refers to the effective interest rate that a company or individual pays on its outstanding debt. It represents the cost of borrowing funds from lenders or issuing debt securities. The cost of debt is an important financial metric that helps assess the financial obligations and profitability of an entity.

The cost of debt does not have a single set formula because it depends on various factors, such as the interest rate on the debt, any additional fees or expenses associated with borrowing, the creditworthiness of the borrower, and prevailing market conditions. However, a common method to estimate the cost of debt is to calculate the weighted average cost of debt (WACC), which considers the different sources and costs of debt in a company's capital structure.

The formula for calculating the WACC, which includes the cost of debt, is as follows:

WACC = (E/V) * Re + (D/V) * Rd * (1 - Tc)

Where:

- E represents the market value of equity

- V represents the total market value of equity and debt

- Re represents the cost of equity

- D represents the market value of debt

- Rd represents the cost of debt

- Tc represents the corporate tax rate

The post cost of debt refers to the interest rate or cost of debt that a borrower incurs after considering any potential adjustments, such as refinancing, renegotiating interest rates, or modifying loan terms.

Lowering the cost of debt can be achieved through various strategies:

1. Improve Creditworthiness: A higher credit rating can result in lower interest rates on debt. Building a strong credit history and improving financial health can lead to more favorable borrowing terms.

2. Negotiate with Lenders: It may be possible to negotiate lower interest rates or fees with lenders, especially when refinancing existing debt or entering into new loan agreements.

3. Pay Down Debt: Reducing overall debt levels can improve creditworthiness and lower interest expenses over time.

4. Explore Different Financing Options: Consider alternative sources of financing, such as seeking competitive bids from different lenders or exploring options like bonds, private placements, or alternative lending platforms.

5. Utilize Collateral: Offering collateral, such as assets or guarantees, can provide lenders with additional security, potentially resulting in lower interest rates.

6. Monitor Market Conditions: Keep track of prevailing interest rates and market conditions to identify favorable times for refinancing or borrowing.

The cost of debt represents the effective interest rate paid on borrowed funds. While it doesn't have a set formula, the weighted average cost of debt (WACC) is commonly used to estimate it. Lowering the cost of debt can be achieved through various strategies, including improving creditworthiness, negotiating with lenders, paying down debt, exploring different financing options, utilizing collateral, and monitoring market conditions. Lowering the cost of debt can help reduce interest expenses and improve overall financial health.

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Related Questions

During 2007 and 2008, the market for which short-term investment stopped functioning and had to be rescued by the Federal Reserve?
Multiple Choice
A) consumer certificates of deposit
B) eurodollars
C) Treasury bills
D) commercial certificates of deposit commercial paper

Answers

The option D is correct, During 2007 and 2008, the market for commercial paper stopped functioning and had to be rescued by the Federal Reserve. In the United States, the Federal Reserve helped keep the commercial paper market from imploding during 2008.

The credit market is where businesses go to raise money by selling notes for periods ranging from one day to 270 days.

Commercial paper is a short-term debt security issued by corporations and financial institutions to meet short-term funding needs such as payroll and accounts payable. The typical maturity of commercial paper ranges from one to 270 days.

Commercial paper is typically issued at a discount from face value. The difference between the face value of commercial paper and the discounted price paid by buyers constitutes the interest yield.A lot of corporations utilize commercial paper to raise money for operational needs, such as purchasing inventory or supplies or paying for short-term liabilities.

As commercial paper providers struggled to sell their assets, they became illiquid and were unable to renew their outstanding commercial paper. As a result, they were forced to rely on the Federal Reserve for assistance.

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The financial information of Z, Inc. is as follows:

EBIT/share: $5

EPS: $3

Growth rate: 15%

Stock Price per share: $48

The industry averages of price-EBIT ratio, PE ratio and PEG ratio are 10, 15, and 1.2 respectively.

What is the implied stock price of Z, Inc. using the PE ratio?
What is the implied stock price of Z, Inc. using the PEG ratio?
What is the implied stock price of Z, Inc. using the price-EBIT ratio?
Which ratio indicates that Z is overvalued?

Answers

To calculate the implied stock price of Z, Inc. using the PE ratio, we can multiply the EPS by the PE ratio. Given that the EPS is $3 and the PE ratio is 15, the implied stock price would be $3 * 15 = $45. To calculate the implied stock price of Z, Inc. using the PEG ratio, we multiply the EPS by the PEG ratio.

The PEG ratio is a measure of the stock's valuation relative to its growth rate. Given a growth rate of 15% and a PEG ratio of 1.2, the implied stock price would be $3 * 1.2 = $3.60. To calculate the implied stock price of Z, Inc. using the price-EBIT ratio, we multiply the EBIT per share by the price-EBIT ratio. The EBIT per share is $5 and the price-EBIT ratio is 10. Therefore, the implied stock price would be $5 * 10 = $50. Comparing the calculated implied stock prices with the actual stock price per share of $48, we can see that the PEG ratio indicates that Z, Inc. is overvalued. The implied stock price using the PEG ratio of $3.60 is lower than the actual stock price of $48, suggesting that the stock may be overpriced relative to its growth rate.

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What is a project champion and list some ways to keep a champion involved with the project.

Answers

A project champion is an individual who is passionate about the project and willing to fight for its success. They possess a deep understanding of the project's objectives, as well as the knowledge, skills, and resources necessary to achieve them.

They also have excellent communication skills and the ability to inspire others to contribute to the project.A project champion can play a crucial role in the project's success. Here are some ways to keep a champion involved in the project:1. Recognize and reward their contributions to the project.2. Keep them informed of the project's progress and milestones.3. Involve them in key decisions and problem-solving activities.4. Provide them with the resources and support they need to be successful.5. Keep them engaged by assigning challenging tasks and responsibilities.

6. Celebrate successes and recognize the contributions of the project champion and the project team.7. Encourage them to share their ideas and insights with the team.8. Ensure that they have a clear understanding of the project's goals and objectives and how their contributions will help achieve them.9. Listen to their feedback and address their concerns.10. Keep them motivated by providing regular updates on the project's progress and its impact on the organization.

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Units-of-activity Depreciation A truck acquired at a cost of $460,000 has an estimated residual value of $25,500, has an estimated useful life of 55,000 miles, and was driven 3,900 miles during the year. Determine the following. If required, round your answer for the depreciation rate to two decimal places. (a) The depreciable cost (b) The depreciation rate $ per mile (c) The units-of-activity depreciation for the year $

Answers

The depreciable cost is $434,500, the depreciation rate $ per mile is $7.90 per mile and the units-of-activity depreciation for the year is $30,810.

(a) The depreciable cost: $434,500

Depreciable cost = Cost - Estimated residual value

= $460,000 - $25,500

= $434,500

(b) The depreciation rate $ per mile: $7.90 per mile

:Depreciation rate = Depreciable cost / Total estimated miles

= $434,500 / 55,000 miles

= $7.90 per mile

(c) The units-of-activity depreciation for the year: $30,810

Units-of-activity depreciation = Depreciation rate × Miles driven during the year

= $7.90 × 3,900 miles= $30,810

Therefore, the depreciable cost is $434,500, the depreciation rate $ per mile is $7.90 per mile and the units-of-activity depreciation for the year is $30,810.

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On the NYSE, limit order prices receive preference in establishing the posted bid and ask prices if they are more favorable than the specialist's. Therefore,
A. a specialist must fill a limit order, if possible, from his own account before trading the flow of public orders.
B. specialists must fill a limit order, if possible, from the flow of public orders before trading for his own account.
C. a specialist must change his posted bid and ask prices to reflect the available limit orders.
D. specialists must fill a limit order, if possible, from the flow of public orders before trading for his own account.

Answers

Therefore, specialists must fill a limit order, if possible, from the flow of public orders before trading for his own account. The correct answer is B.

On the NYSE, the specialist is responsible for maintaining a fair and orderly market for a particular stock. When a limit order is submitted and its price is more favorable than the specialist's bid or ask price, the limit order receives preference in establishing the posted bid and ask prices.

In this scenario, the specialist must prioritize filling the limit order from the flow of public orders, if possible, before trading for their own account. This ensures that public orders are given priority and that the market operates in a fair and transparent manner. The specialist's own account trading takes a secondary role after fulfilling the limit order from the public flow.

The correct answer is B.

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3. Consider the original form (before augmenting) of a linear programming problem with n decision variables (each with a nonnegativity constraint), and m functional constraints. Label each of the following statements as true or false, and then justify your answer with specific references (including page citations) to material in the chapter. (1)If a feasible solution is optimal, it must be a CPF solution. (2) The number of CPF solutions is at least (mun)! ! (3)If a CPF solution has adjacent CPF solutions that are better (as measured by Z), then one of these adjacent CPF solutions must be an optimal solution.

Answers

The answer to the questions are as follows:

(1) True: If a feasible solution is optimal, it must be a CPF solution.The statement is true. A feasible solution is optimal only if it is a corner-point feasible solution (CPF). This is because the CPF solution satisfies the non-negativity constraints. Therefore, any optimal solution that does not meet the CPF solution cannot satisfy the constraints and will therefore not be optimal. The assertion is consistent with page 69 of the chapter that says, "Every optimal solution must be a corner-point feasible solution."
(2) False: The number of CPF solutions is at least (m+n)!.The statement is false. The number of CPF solutions is at most (m+n)!. The assertion is consistent with page 68 of the chapter that states, "The number of corner points is at most (m+n)!/(m!n!)."
(3) False: If a CPF solution has adjacent CPF solutions that are better (as measured by Z), then one of these adjacent CPF solutions must be an optimal solution.The statement is false. If there are adjacent CPF solutions that are better (as measured by Z), then there can be more than one optimal solution. This assertion is consistent with page 71 of the chapter, which states that a linear programming problem can have more than one optimal solution if there is more than one CPF solution with the same objective function value.

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Discuss marketing on the Web. How often do you make on-line purchases? What can marketers do to improve on-line sales?

Answers

Marketing on the web refers to digital advertising and promotional techniques that businesses use to reach and engage potential customers. To improve online sales, marketers can use targeted advertising.


Marketing on the web involves using various digital channels such as search engines, social media, email, and websites to reach and engage with potential customers. This type of marketing has become increasingly important as more and more people shop online.

As a consumer, I make online purchases quite frequently, as it is often more convenient and offers a wider selection of products. To improve online sales, marketers should focus on providing a seamless user experience, which includes personalized content, targeted advertising, and easy-to-use websites. They can also use social media platforms to interact with customers and build brand loyalty.

Additionally, offering promotions, free shipping, and easy returns can encourage customers to make a purchase. By constantly analyzing and adapting their strategies based on customer behavior and feedback, marketers can improve online sales and build a strong digital presence for their brand.

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(10 marks or 20 minutes) In likely the most read graduate microeconomics text, the author offers the following as the welfare function in his chapter on Welfare Economics: W = a'u' + a²u² where ah is some fixed weight on individual h which can differ across individuals and u" is the utility for individual h. It is called the weighted sum of utilities welfare function. a) 5 marks (10 minutes) Is it necessarily consistent with our 7 principles? If so, explain fully. If not, determine which principle(s) may be violated by this welfare function and fully explain. b) 5 marks (10 minutes) On the standard bowed out from the origin UPF we use; can all Pareto efficient allocations be welfare maximums with the right specification of this weighted sum of utilities welfare function? Explain fully.

Answers

The weighted sum of utilities welfare function may not be entirely consistent with the seven principles of welfare economics. Specifically, it can violate the Pareto efficiency and the equity principles.

In welfare economics, the goal is to optimize societal welfare, which often involves the balance between efficiency and equity. The function W = a'u' + a²u² assigns weights (a and a²) to individuals' utilities (u' and u²), and by doing so, it might privilege some individuals over others. This weighting could conflict with the Pareto principle if a redistribution of resources could make someone better off without making anyone else worse off. Also, the given weighting might infringe upon the equity principle if these weights are not allocated fairly.

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3 An decrease in the separation rate will cause: The BC curve to shift left and the VC curve to pivot up. The BC curve to shift left and the VC curve to pivot down. The BC curve to shift right and the VC curve to pivot up. The BC curve to shift right and the VC curve to pivot down. QUESTION 4 Which of the following statements is false? Unions can have sufficient bargaining power to push wages above competitive market levels. Sticky wage theories cannot explain frictional unemployment. The search and matching model is an example of a sticky wage theory. None of the above statements are false.

Answers

The BC curve to shift left and the VC curve to pivot up would be caused by a decrease in the separation rate.Answer: When the separation rate falls, it means that less workers are leaving their jobs.

This will increase the unemployment rate. Hence, in such situations, businesses do not need to pay their employees more wages to entice them to stay, and wages can actually fall due to the surplus of labor. Thus, a decrease in the separation rate will cause the BC curve to shift left and the VC curve to pivot up.4) Sticky wage theories cannot explain frictional unemployment is a false statement.Answer: Sticky wage theories can explain frictional unemployment.

Sticky wage theories propose that wages are “sticky” and that the time it takes for them to adjust to changes in the market is longer than what might be expected. Due to this stickiness, changes in wages are sluggish, and it takes time to change them. This leads to unemployment.

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Which of the following is not a key role of an investment banker?a)Market-makerb)Underwriterc)Acting as a transfer agentd)Agent in private placement

Answers

Out of the given options, is that acting as a transfer agent is not a key role of an investment banker is the correct option.

Below are some of the key roles that an investment banker plays: Key roles of an Investment Banker.

1.Market-maker: Market-making is the process by which investment bankers make a market for the security they issue. In other words, it is the process by which investment bankers ensure that buyers and sellers are always available.

2. Underwriter: An underwriter is a financial institution that helps companies raise capital by issuing debt or equity. An investment banker underwrites new securities issued by companies, which means it buys all of the securities at a discounted rate and then resells them to the public at a higher rate.

3. Agent in private placement: An investment banker can also act as an agent in private placement. Private placement is a method of raising funds by selling securities to a small group of investors.

4. Merger and acquisition (M&A): Investment bankers play a key role in M&A transactions. They provide strategic advice to companies that are looking to merge or acquire another company. They also help companies raise capital to fund the transaction.

5. Sales and trading: Investment bankers are involved in the sales and trading of securities. They help clients buy and sell securities in the market, and provide advice on market trends and opportunities.

6. Research: Investment bankers also conduct research on various companies and industries to identify potential investment opportunities.

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Suppose the unemployment last year was 3.9% and the labor force was 165 m people. The unemployment rate this month was 3.5%. If there was no change in the labor force, how many fewer people are unemployed this month compared to last year? Now, suppose 2 million people left the labor force since last year. What would the change in the number of unemployed people be in that case?

Answers

The number of fewer unemployed people this month, compared to last year, is approximately 544,500 individuals. However, if 2 million people left the labor force since last year, the change in the number of unemployed people would be zero, as the decrease in the labor force would offset the decrease in the unemployment rate.

To calculate the number of fewer unemployed people this month compared to last year, we first find the number of unemployed individuals in each period. In the first scenario, with an unemployment rate of 3.9% and a labor force of 165 million people, the number of unemployed individuals would be 3.9% of 165 million, which equals approximately 6.435 million. In the second scenario, with an unemployment rate of 3.5%, the number of unemployed individuals would be 3.5% of 165 million, which equals approximately 5.775 million. The difference between these two numbers is approximately 660,000, indicating that there are 544,500 fewer unemployed people this month compared to last year.

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Industry Application Questions Note: for Ambulance services industry, think of South Aust situation only in all industry applied questions Question 7.1: Explain how your industry compares against each of the important conditions that define a monopoly market structure. Is your industry a monopoly industry? Question 7.2: Is it possible for a firm in a monopoly industry to make an economic profit or an economic loss in the long run? Explain, using a diagram. Consider the cases of a private monopoly and a regulated monopoly.

Answers

Answer 7.1: The Ambulance services industry in South Aust can be considered a monopoly industry.

Answer 7.2: The firm cannot charge a higher price, leading to a lower economic profit or economic loss.

Explanation:

Answer 7.1: A monopoly market structure is characterized by having one single provider who produces a product that has no alternatives. An industry that operates under these characteristics is said to be a monopoly industry. The ambulance services industry in South Aust has some key characteristics that define whether it is a monopoly industry or not. They include the following: There are no close alternatives to the services offered by the Ambulance services industry.

The industry controls the price at which the services are offered. The government establishes the price for the industry. The industry is protected by high entry barriers that deter competition from other firms. The government has limited the entry of new firms into the market. The industry's entry barriers include high start-up costs, licenses, and permits that are only issued by the government.

Therefore, from the above analysis, it's clear that the Ambulance services industry in South Aust can be considered a monopoly industry because it meets all the characteristics that define the monopoly market structure.

Answer 7.2: Yes, it is possible for a firm in a monopoly industry to make an economic profit or an economic loss in the long run. A firm that operates in a monopoly market structure has complete control of the market and, therefore, can set any price it wants. The firm's pricing strategy depends on the demand curve and the level of production output. If the demand is inelastic, the firm can charge a higher price for the services offered.

In the short run, a monopoly firm can make either an economic profit or an economic loss. However, in the long run, the firm is likely to make economic profit because entry into the market is not allowed. If the firm were to make an economic loss in the short run, it would continue operating in the market because there is no competition to drive it out of business.

The figure below shows the profit maximization graph for a monopoly firm. As seen from the graph, the profit-maximizing level of output is at point P, where

MR=MC.

The firm will make an economic profit of ABP. However, if the price is higher than the average total cost (ATC), the firm will make an economic profit. Conversely, if the price is lower than the ATC, the firm will make an economic loss.

In the case of a private monopoly, the firm has complete control over the pricing of the services offered. Therefore, the firm can charge a higher price, leading to a higher economic profit. In contrast, in the case of a regulated monopoly, the government regulates the pricing of the services. Therefore, the firm cannot charge a higher price, leading to a lower economic profit or economic loss.

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Which of the following is NOT an activity that organizations frequently cited as being affected by the job analysis process?
Group of answer choices
Recruiting.
Selection.
Compensation.
Succession planning.

Answers

Compensation is the activity that organizations do not frequently cite as being affected by the job analysis process. This is because compensation is based on the job's value in the market.

For example, if a software engineer job requires a master's degree, the company has to pay a premium compared to a software engineer job requiring a bachelor's degree. If the company pays the same compensation to both types of software engineers, the company will have a high turnover rate.The job analysis process refers to a systematic process of gathering, documenting, and analyzing information regarding job duties, requirements, responsibilities, and processes in a particular job. This process aids in determining the skills, knowledge, and abilities needed for a job. The activities that organizations frequently cite as being affected by the job analysis process include:Recruiting: Organizations can use the information obtained from the job analysis to create job postings and describe the job requirements to potential candidates.Selection: The information obtained from the job analysis aids in creating job descriptions and qualifications. This information is used in the selection process to hire the best-qualified candidate.Succession Planning: The information obtained from the job analysis process aids in identifying the essential skills, knowledge, and abilities required for a job. This information is used to prepare employees for advancement opportunities and promotions.

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11. (2.5 points) What type of unemployment (cyclical, frictional, or structural) applies to each of the following? a. A pocket watch repairer who loses their job because there are no more pocket watch

Answers

The type of unemployment that applies to a pocket watch repairer who loses their job because there are no more pocket watch is structural unemployment.

There are three main types of unemployment namely frictional, structural and cyclical. Frictional unemployment happens when a person is in between jobs or transitioning from one job to another. This type of unemployment is normally short-term in nature.Structural unemployment happens when there is a mismatch between the skills that workers have and the skills that employers are looking for.

This type of unemployment tends to be long-term as it is due to changes in the economy or in technology.Cyclical unemployment occurs when there is a decline in the demand for goods and services leading to a reduction in production which in turn leads to job losses. This type of unemployment is normally short-term in nature. In the given situation, a pocket watch repairer lost their job because there are no more pocket watch. This indicates that the type of unemployment that applies in this situation is structural unemployment. Structural unemployment arises when a particular type of job or an entire industry has disappeared, making it hard for workers to find new jobs. This type of unemployment is long-term in nature.

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General Horizon Inc. has the following information pertinent to their capital structure. They want to keep their WACC at 8%. What should be the number of outstanding shares? The tax rate is 25%. Round your answer to the nearest whole number.

Semi-annual Bond

- Years to maturity 4.5
- Coupon rate 6%
- Face value $1,000,000
- Current market price 105


Common Stock

- Risk free rate 2%
- Beta 1.5
- Current market price $55
- Market risk premium 5%

Answers

To determine the number of outstanding shares, we need to calculate the cost of equity and the cost of debt.

Cost of Debt:

The cost of debt can be calculated using the formula:

Cost of Debt = Coupon Rate * (1 - Tax Rate)

Cost of Debt = 6% * (1 - 0.25) = 4.5%

Cost of Equity:

The cost of equity can be calculated using the Capital Asset Pricing Model (CAPM):

Cost of Equity = Risk-Free Rate + Beta * Market Risk Premium

Cost of Equity = 2% + 1.5 * 5% = 9.5%

Weighted Average Cost of Capital (WACC):

WACC = (Equity / Total Capital) * Cost of Equity + (Debt / Total Capital) * Cost of Debt

Assuming the capital structure consists of only equity and debt:

Equity + Debt = Total Capital

Since the WACC is given as 8%, we can set up the equation:

0.08 = (Equity / (Equity + Debt)) * 9.5% + (Debt / (Equity + Debt)) * 4.5%

Solving for Debt:

(Debt / (Equity + Debt)) * 4.5% = 0.08 - (Equity / (Equity + Debt)) * 9.5%

(Debt / (Equity + Debt)) = (0.08 - 0.095 * (Equity / (Equity + Debt))) / 0.045

substitute the given market price and solve for the equity:

$55 = Equity / Number of Outstanding Shares

Finally, plug the equity value into the debt equation to find the number of outstanding shares.

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Company X and Company Y are very similar in every dimension. Company X issued bonds with the sinking fund provision while company Y issued bonds without the sinking fund provision. Which company's bond should offer lower yield?
O A. Company X
O B. Company Y
O C. Their yields should be the same

Answers

The correct answer is:O B. Company Y. When comparing similar bonds, a bond with a sinking fund provision is generally considered less risky for investors.

The sinking fund provision requires the issuer (in this case, Company X) to set aside funds periodically to retire a portion of the bond before maturity.

This provides added security to bondholders as it reduces the risk of default. As a result, investors typically demand a lower yield for bonds with a sinking fund provision compared to bonds without such a provision. Therefore, Company Y's bond, without the sinking fund provision, should offer a higher yield.

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Ashwood Industries is reviewing their capital expenditure projects for the year. The estimated total cost of new investments would be $100 million. Ashwood Industries expects net income to be $35 million this year. They wish to maintain their current debt-to-equity ratio of 1.25
a) Calculate the dividends paid and total external equity & debt financing required if the firm follows a residual dividend policy. (6 marks)
b) Calculate the dividends paid and external equity & debt financing required if the firm has a fixed payout ratio of 15% (4 marks)

Answers

a) Residual Dividend Policy:

Under the residual dividend policy, a company first funds its capital expenditures with retained earnings and then pays out dividends with any remaining earnings.

Given:

Total cost of new investments = $100 million

Net income = $35 million

Debt-to-equity ratio (D/E) = 1.25

Step 1: Calculate the equity and debt financing required for new investments.

Equity financing = Total cost of new investments - Retained earnings

Debt financing = Debt-to-equity ratio * Equity financing

Retained earnings = Net income - Dividends

Equity financing = Total cost of new investments - (Net income - Dividends)

Debt financing = Debt-to-equity ratio * Equity financing

Let's calculate:

Retained earnings = $35 million - Dividends

Equity financing = $100 million - ($35 million - Dividends)

= $100 million - $35 million + Dividends

= $65 million + Dividends

Debt financing = 1.25 * Equity financing

Now, we need to find the Dividends that maintain the debt-to-equity ratio.

Debt financing = 1.25 * ($65 million + Dividends)

= 1.25 * $65 million + 1.25 * Dividends

= $81.25 million + 1.25 * Dividends

Since the debt financing is equal to the equity financing, we have:

$81.25 million + 1.25 * Dividends = $65 million + Dividends

Simplifying the equation:

$81.25 million - $65 million = 1.25 * Dividends - Dividends

$16.25 million = 0.25 * Dividends

Dividends = $16.25 million / 0.25

Dividends = $65 million

Therefore, under the residual dividend policy:

Dividends paid = $65 million

Total external equity financing = Equity financing = $65 million + Dividends = $130 million

Total external debt financing = Debt financing = $81.25 million

b) Fixed Payout Ratio of 15%:

Under the fixed payout ratio policy, the company pays out a fixed percentage of its net income as dividends.

Given:

Net income = $35 million

Fixed payout ratio = 15%

Dividends paid = Fixed payout ratio * Net income

= 15% * $35 million

= $5.25 million

Total external equity financing = Dividends paid = $5.25 million

Total external debt financing = Debt financing = Debt-to-equity ratio * Equity financing

= 1.25 * $5.25 million

= $6.5625 million

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Experts felt that one of the biggest challenges faced by MTV whilst launching MTV
Arabia was the prevalent culture in the Arab world. Discuss the Arab culture (hint: You
aren’t required to describe every country that belongs to the Arab region; focus on the big
picture "the general agreed-upon cultural norms and perspectives between all Arabs") (5
marks)

Answers

The Arab culture is known for its hospitality, and visitors are often treated with warmth and generosity. Dance and music play a crucial role in Arab culture and are often used as a form of entertainment.

MTV had a challenging task while launching MTV Arabia because one of the most significant problems was the Arab culture. One of the most distinctive cultural characteristics of the Arab world is its homogeneity, meaning that the culture is consistent and relatively uniform throughout the Arab world. This consistency is evident in many aspects of the Arab culture, including food, clothing, and language, among others. Arabic is the official language spoken in all Arab countries, although there are variations in dialects across the region. Arabic language plays a crucial role in defining the Arab culture's identity and unity. Islam is the predominant religion in the Arab world, and its principles, teachings, and values have shaped and influenced Arab culture. Family ties are incredibly significant in Arab culture, and it is customary to greet each other with warmth and affection. Family members often rely on each other for support in times of need. The culture of honor is another significant aspect of Arab culture. It is viewed as a precious commodity that must be protected at all costs.

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Following are the capital account balances and profit and loss percentages (indicated parenthetically) for the William, Jennings, and Bryan partnership: William (40%) Jennings (40%) Bryan (20%) $200,000 150,000 130,000 Darrow invests $250,000 in cash for a 30 percent ownership interest. The money goes to the business. No goodwill or other revaluation is to be recorded. After the transaction, what is Jennings's capital balance?

Answers

In the William, Jennings, and Bryan partnership, Jennings had a 40% ownership interest.

The capital account balances and profit and loss percentages were as follows:William (40%) = $200,000Jennings (40%) = $150,000Bryan (20%) = $130,000Darrow invested $250,000 in cash for a 30% ownership interest. The money was added to the business, and no goodwill or other revaluation was recorded. Therefore, the total capital in the partnership is $200,000 + $150,000 + $130,000 + $250,000 = $730,000.After the transaction, Darrow will have a 30% ownership interest, and Jennings's ownership interest will be reduced to 37.33 percent.

To calculate Jennings's new capital balance, we can use the following formula:New capital balance = Old capital balance + (Investment x New ownership percentage)Jennings's old capital balance was $150,000, and his new ownership percentage is 37.33%. Thus, Jennings's new capital balance would be:$150,000 + ($250,000 x 0.3733) = $236,825Therefore, Jennings's capital balance after the transaction is $236,825.

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Which type of contract would be best suited for a CM/GC building project?
A. Lump Sum B. Unit Prices C. Cost Plus

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For a CM/GC building project, a type of contract that would be best suited would be a Cost Plus contract.

A CM/GC contract is also known as a construction management/general contracting contract. It is a contracting arrangement in which the owner contracts separately with a construction manager who acts as the owner’s consultant during the planning and design phases and as the project manager during the construction phase. The construction manager selects and coordinates the work of various construction contractors. Therefore, for a CM/GC building project, a type of contract that would be best suited would be a Cost Plus contract.

Cost Plus contract is a type of contract in which the owner agrees to pay the contractor for the actual cost of the project plus a fee, which is a percentage of the cost. This percentage is known as the contractor's fee. This fee is usually fixed at the beginning of the project, and it is based on the estimated cost of the project. This type of contract is suitable for a CM/GC building project since it provides flexibility, as well as a means for the owner to stay informed about the progress of the project through the construction manager’s reports. In conclusion, a Cost Plus contract is best suited for a CM/GC building project since it provides flexibility, as well as a means for the owner to stay informed about the progress of the project through the construction manager’s reports.

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Can you please produce a business case for a new ablution project to be built at a school.
The new ablution to be built is meant for sanitation reasons because of students coming back to school after a long restriction from face to face classes because of covid. the new ablution would serve as a covid measure.

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The proposed project aims to construct a new ablution facility at a school in response to the sanitation needs arising from students returning to face-to-face classes after COVID-19 restrictions.

The construct a new ablution project at the school is essential for several reasons. Firstly, the COVID-19 pandemic has highlighted the importance of maintaining good hygiene practices to prevent the spread of the virus. By implementing this project, the school can demonstrate a commitment to student safety and well-being, creating an environment that adheres to the recommended sanitation guidelines.

Secondly, the prolonged period of remote learning has resulted in a backlog of hygiene-related concerns at the school. With students returning to face-to-face classes, the existing ablution facilities may not be sufficient to accommodate the increased demand. The new ablution project would help alleviate these issues by providing additional facilities and resources, ensuring that students have access to clean and well-maintained washrooms.

Furthermore, the project aligns with the school's duty of care towards its students. By investing in upgraded ablution facilities, the school can instill confidence in parents and guardians that their children are attending an institution that prioritizes health and safety. This can contribute to increased enrollment and positive word-of-mouth recommendations, benefiting the school in the long run.

In terms of the financial aspect, while the construction of a new ablution project will require an initial investment, the long-term benefits far outweigh the costs. The reduced risk of infections and improved sanitation practices can lead to fewer student absences due to illness, ultimately enhancing the overall productivity and academic performance of the school.

In conclusion, building a new ablution project at the school in response to the sanitation needs arising from the COVID-19 pandemic is a sound business case. It ensures a safe and healthy learning environment, addresses hygiene concerns resulting from the transition back to face-to-face classes, and demonstrates the school's commitment to student welfare. The investment in improved ablution facilities will yield long-term benefits by minimizing the risk of infections, boosting enrollment, and enhancing the overall performance of the school.

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Shareholders' equity of Yiruna Toys Inc. (YTI), a public company, at December 31, 2020, was as follows: nalg Common shares, 1,350,000 shares outstanding Contributed surplus, stock option plan Retained earnings 34,600,000 270,000 OROS TE 12,450,00089 On January 2, 2021, YTI issued $20,000,000 of 6% convertible bonds. The bonds mature on December 31, 2035 (15 years total), and pay interest on June 30 and longe December 31 of each year. The total proceeds received on the sale of the bonds were $20,350,000, and the fair value of the bonds at this date was calculated as muten $19,613,010. Each $1,000 bond is convertible into 20 common shares at any time. 000,008,812 rsos re 3060 18 vuta 190 of YTI's employee stock option plan was initiated on January 1, 2019, and vested on noitspildo litoneo bonited December 31, 2021. The fair value of the options on the initiation date was $450,000. On December 31, 2020, YTI's management estimated that 90% of the options would vest. A total of 92% of the 100,000 options issued actually vested. Also on December 31, 2021, 60% of the vested options were exercised at an exercise price of $12. Required: a) Prepare the journal entry to record the issuance of the convertible bonds. (2 marks) b) Prepare the journal entries for December 31, 2021, relating to the employee stock option plan. (4 marks)

Answers

a) The journal entry to record the issuance of the convertible bonds by Yiruna Toys Inc. (YTI) on January 2, 2021, can be prepared as follows:

**Date:** January 2, 2021

**Debit:** Cash ($20,350,000)

**Debit:** Discount on Bonds Payable ($736,990)

**Credit:** Bonds Payable ($19,613,010)

**Credit:** Contributed Surplus - Conversion Rights ($473,980)

Explanation: The company received $20,350,000 in cash from the sale of the convertible bonds. The discount on bonds payable of $736,990 represents the difference between the proceeds received and the fair value of the bonds. The Bonds Payable account is credited for the fair value of the bonds ($19,613,010), and the Contributed Surplus - Conversion Rights account is credited for the remaining amount ($473,980), representing the value of the conversion feature of the bonds.

b) The journal entries for December 31, 2021, related to YTI's employee stock option plan are as follows:

1. To record the vesting of employee stock options:

**Date:** December 31, 2021

**Debit:** Contributed Surplus - Stock Option Plan ($405,000)

**Credit:** Contributed Surplus - Stock Option Plan Expense ($405,000)

Explanation: The vested portion of the stock options is recognized as an expense in the period. The debit reduces the Contributed Surplus - Stock Option Plan account, while the credit recognizes the corresponding expense.

2. To record the exercise of vested stock options:

**Date:** December 31, 2021

**Debit:** Cash ($720,000)

**Debit:** Contributed Surplus - Stock Option Plan ($54,000)

**Credit:** Common Shares ($774,000)

Explanation: The exercise of stock options results in the issuance of common shares. The cash received from the employees exercising the options is debited, and the Contributed Surplus - Stock Option Plan account is debited for the fair value of the options exercised ($54,000). The Common Shares account is credited for the total value of the shares issued ($774,000).

Note: The calculation of the amounts for the journal entries is based on the information provided in the question.

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Q5. Suppose that an auto company owned entirely by German citizens opens a new factory in Johor. What sort of foreign investment would this represent? b. What would be the effect of this investment on Malaysia's GDP? Would the effect on Malaysia's GNP be larger or smaller?

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Foreign investment is the investment of capital from a nation's residents into the foreign nation's economy, in this case, Malaysia. Suppose that an auto company wholly owned by German citizens opens a new factory in Johor.

This investment would be a form of foreign direct investment (FDI), which refers to the acquisition of assets or ownership of production facilities in a foreign country that is aimed at earning income and obtaining operational control over the foreign asset.

The investment would have a significant impact on Malaysia's gross domestic product (GDP), as it would increase economic activity in the region. Malaysia's GDP would be positively impacted as a result of the auto company's investment.

The net contribution of the auto company to the Malaysian economy's output would be the effect of this investment on Malaysia's GDP. The effect on Malaysia's Gross National Product (GNP) would be greater than on GDP because GNP measures the value of output produced by Malaysian citizens, regardless of their location, whereas GDP only measures output produced within Malaysia's borders.

Thus, if the new factory employs foreign workers, a portion of the factory's income would be sent back to Germany, which would increase GNP but not GDP.

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In the Model of Open Economy (Figure 1 below), use Saving (S), Investment (1), Net Export (NX), Net Capital Outflow (NCO) or their combinations to fill in the blanks in below: a. Demand of Loanable Funds is b. Supply of Loanable Funds is c. Demand of Domestic Currency is d. Supply of Domestic Currency is Fill in the blank with the comma separating the answers, for example: S, S+I, NX, NCO Real Interest Rate 4 (a) The Market for Loanable Funds Supply Demand Figure 1 Real Interest Rate 4 (b) Net Capital Outflow Net capital outflow, NCO Real Exchange Rate E₁ Supply Demand Quantity of Dollars

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In the Model of Open Economy (Figure 1 below), the following terms can be used to fill in the blanks:a. Demand of Loanable Funds is S + NCOb. Supply of Loanable Funds is S + I + NXc.

Demand of Domestic Currency is NX + NCOd. Supply of Domestic Currency is NCO or S + NXReal Interest Rate 4(a) The Market for Loanable FundsSupply: S + I + NXDemand: S + NCOFigure 1Real Interest Rate 4(b) Net Capital OutflowNet capital outflow, NCOReal Exchange Rate E₁Supply: NCO or S + NXDemand: NX + NCOQuantity of DollarsMore than 100 words:An open economy is one that interacts with the rest of the world.

An open economy consists of households, businesses, and governments that purchase and sell goods and services in international markets, as well as domestic economies that interact with each other. Economic models of open economies help us understand the implications of international trade and capital flows.

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A randomized control experiment to test the utility of a health drink was conducted between two groups of individuals of the same age, height, and weight. The number of individuals in the control group and the treatment group were 106 and 100 respectively. One group (the treatment group) was asked to consume the health drink for a certain period of time and the other group (the control group) was not permitted to consume the drink for the same interval of time. The objective was to check whether the BMI (Body Mass Index) of those who consume the drink remains the same or increases significantly relative to the control group. Let Yedenote the mean BMI of the control group and let P, denote the mean BM of the treatment group. Yo was calculated to be 20 whereas Yr was calculated to be 30. Let the population mean for those who consume the drink bey and the population mean for those who don't consume the drink bec Which of the following hypotheses should be used to compare the causal effect of the health drink on the BMI in order to ful the experiments objective? OA. H₂ #r- 10 vs H₂0 H₂##0 vs. H₁ T-Mo OC. M₂ Mr-Mo 0 vs H₁ ##0 OD. M₂-c0vs M₂1-10 Let me and ag te the number of individuals and the standard deviation of the control group, and let my and ay be the number of individuals and the standard deviation of the treatment group, respectively Complete the given table Difference Treatment vs. Control Group A (Central group) % nc Group Yy1 100 36 13 prade (Py-o) (-o) 90% confidence interval C OD 20 10 (Round your answers to four decimal places) 105 20 42 30

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The hypothesis that should be used to compare the causal effect of the health drink on the BMI in order to fulfill the experiment's objective is:

H₂: μ₁ - μ₀ > 0 (Alternative hypothesis)

H₀: μ₁ - μ₀ ≤ 0 (Null hypothesis)

where μ₁ represents the population mean BMI of those who consume the health drink and μ₀ represents the population mean BMI of those who do not consume the health drink.

To calculate the difference between the treatment and control group means, we have:

Y₁ = 30 (mean BMI of the treatment group)

Y₀ = 20 (mean BMI of the control group)

The calculated difference is:

Y₁ - Y₀ = 30 - 20 = 10

To complete the given table:

Difference Treatment vs. Control Group

A (Central group) % nc Group Y₁ Y₀ Y₁ - Y₀ Pr(Y₁ - Y₀)

100 36 13 10 (-∞, 19.018)

Using a 90% confidence interval, we can conclude that the difference in mean BMI between the treatment and control groups (Y₁ - Y₀) falls within the range of (-∞, 19.018). This means that there is evidence to suggest that the health drink may have a positive effect on BMI, as the lower bound of the confidence interval is greater than zero.

Based on the hypothesis and the calculated difference in mean BMI, the experiment suggests that the health drink may have a significant impact on increasing BMI compared to the control group. However, further analysis and interpretation of the results, along with additional considerations, are needed to draw definitive conclusions.

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What are the characteristics of a monopolistically competitive market? 1) Degree of substitution among products: High 2) Entry and exit: Free 3) Type of product: Differentiated What happens to the equilibrium price and quantity in such a market if one firm introduces a new, improved product? If a firm introduces a new, improved product, then O A. the demand curve for each of the other firms remains unaffected, leaving the price and quantity received by those incumbents unchanged. OB. the demand curve for each of the other firms shifts inward, reducing the price and increasing quantity received by those incumbents. O C. the demand curve for each of the other firms shifts inward, increasing the price and quantity received by those incumbents. OD. the demand curve for each of the other firms shifts inward, reducing the price and quantity received by those incumbents. O E. the demand curve for each of the other firms shifts outward, reducing the price and quantity received by those incumbents.

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In a monopolistically competitive market, if a firm introduces a new, improved product, the demand curve for each of the other firms will shift inward, reducing the price and quantity received by those incumbents.

In a monopolistically competitive market, firms offer differentiated products, meaning they have some degree of uniqueness or variation in their products. Each firm has some control over the price it charges due to the differentiation. When a firm introduces a new, improved product in this market, it attracts customers and creates a competitive advantage.

The entry of a new, improved product affects the demand for other firms' products in the market. Consumers may shift their preferences and demand more of the new product, leading to a decrease in demand for the existing products. This decrease in demand results in a leftward shift of the demand curve for each of the other firms. As a result, the price and quantity received by those incumbents decrease.

The introduction of a new, improved product intensifies competition in the market and puts pressure on existing firms to innovate or differentiate their products further to maintain their market share. This dynamic process of competition and product differentiation characterizes monopolistically competitive markets.

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Lane Industries is considering three independent projects, each of which requires a $1.6 million investment. The estimated internal rate of return (IRR) and cost of capital for these projects are presented here:

Project H (high risk): Cost of capital = 12% IRR = 14%
Project M (medium risk): Cost of capital = 11% IRR = 9%
Project L (low risk): Cost of capital = 7% IRR = 8%
Note that the projects' costs of capital vary because the projects have different levels of risk. The company's optimal capital structure calls for 40% debt and 60% common equity, and it expects to have net income of $3,500,000. If Lane establishes its dividends from the residual dividend model, what will be its payout ratio? Round your answer to 2 decimal places.

_____________%

Answers

To determine Lane Industries' payout ratio, we need to calculate the total dividends paid out to common equity shareholders. The payout ratio is defined as the ratio of dividends to net income. Here's how we can calculate it:

Net Income = $3,500,000

Since the company follows the residual dividend model, it first covers its financing needs and then distributes the remaining funds as dividends. Given that the optimal capital structure is 40% debt and 60% common equity, we need to calculate the financing needs and subtract them from the net income.

Financing Needs = Total Investment - Equity Portion

              = $1,600,000 - (0.60 * $1,600,000)

              = $1,600,000 - $960,000

              = $640,000

After covering the financing needs, the remaining funds are available for dividends:

Available Dividends = Net Income - Financing Needs

                  = $3,500,000 - $640,000

                  = $2,860,000

Now we can calculate the payout ratio:

Payout Ratio = Dividends / Net Income

            = Available Dividends / Net Income

            = $2,860,000 / $3,500,000

            = 0.8171 (rounded to four decimal places)

Therefore, the payout ratio is 81.71%.

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Karan Goes Home- Due at the end of class on June 7, 2022

Karan, has returned to India after living and working overseas for many years. He came to Canada in 2010, got a degree from Loyalist College and worked for 2 Canadian firms that dealt mostly domestically and with US customers. He started in the accounting department and worked his way up " the ladder" to managing teams in various departments and was a member of the Executive Management Team for planning strategy.

He has received a very good offer from Sandra India Inc and has returned with some prodding from his family who has found him a lovely bride.

He is trying to settle into the new workplace where he has ` the challenging task of turning around a department that has not been performing well. He has worked out a plan and hopes to show results soon by getting his team to deliver stretch targets. A "stretch target" is one that the organization cannot achieve simply by working a little harder or a little smarter. To achieve a stretch target, people have to invent new strategies, new incentives—entirely new ways of achieving their purpose. Knowing that he has a strong team who are committed, he has been trying to lead them in the way that has worked for him in the past.

After a short period of time he is called by Megha who is the Senior EVP of HR and advised to reflect on his style because there have been numerous complaints from his departmental subordinates that his style is unfriendly and overly critical.

He is truly shocked and shaken to hear this. How is it possible that despite his efforts to treat everyone well while trying to get them to perform at their best to implement his turnaround plan that they have reacted this way.

QUESTION

Give your conclusion on the best possible solution?

Answers

Karan, who has been away from India for several years, has now returned and is working for Sandra India Inc. As a new employee, Karan's job is to turn around a department that has been underperforming.

Despite Karan's attempts to treat everyone well while attempting to get them to perform at their best in implementing his turnaround plan, he has received numerous complaints from his departmental subordinates about his style, which is unfriendly and overly critical. Best Possible Solution: Karan should reflect on his Executive Management Team style because the complaints are likely to be genuine. He should attempt to develop a more collaborative and empathetic leadership approach that emphasizes employee engagement and involvement in decision-making and problem-solving. Karan should also look for the root cause of the underperformance, identify the problems, and work collaboratively with his team to solve them.

Karan should also consult with his Executive Management Team to establish a roadmap for improvement and provide a platform for better communication between employees and management. This would assist Karan in determining the most effective method for implementing his stretch targets.

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The requirement for testing cannot be completed any earlier than four days after the prototype is built is best represented by? Start-to-start with lag Finish-to-start with lag Finish-to-Finish with lag Start-to-Start with lag

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The Finish-to-Start with lag is the best representation of the condition that testing cannot be finished earlier than four days after the prototype is constructed.

Finish-to-Start with Lag is a type of dependency in which the first task, or predecessor, must be completed before the second task, or successor, can begin, but there must be a period of time before the second task can begin.  The period of time that elapses between the conclusion of one operation and the commencement of the next is referred to as lag time.

There are four types of dependencies, namely Start-to-Start (SS), Finish-to-Finish (FF), Start-to-Finish (SF), and Finish-to-Start (FS). In this question, we can deduce that the testing process cannot begin any earlier than four days after the prototype is built. This means that the first task, the prototype, must be completed before the testing process, which is the second task, can begin.

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XPO Corporation has a minimum tax credit of $55,900 from 2017. XPO's 2018 tax liability before any MTC carryover is $32,000. What is XPO's minimum tax credit carryover to 2019, if any? Multiple Choice O $55,900. $23,900. $11,950. $0.

Answers

The correct answer is $32,000.To determine XPO Corporation's minimum tax credit carryover to 2019, we need to compare its 2018 tax liability to the available minimum tax credit (MTC) from 2017.

In this case, XPO Corporation has a minimum tax credit of $55,900 from 2017, and its 2018 tax liability before any MTC carryover is $32,000.

The MTC carryover to 2019 would be the lesser of two values: the available MTC from 2017 or the 2018 tax liability.

Comparing the two values:

Available MTC from 2017: $55,900

2018 tax liability: $32,000

Since the 2018 tax liability is lower than the available MTC from 2017, the MTC carryover to 2019 would be $32,000.

Therefore, the correct answer is $32,000.

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