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1. If a multinational company cannot change the level of political risk its foreign subsidiaries experience in unstable regions, which of the following hedging tactics would best help the company minimize potential losses?
(A) Market control of distribution
(B) Currency futures contracts
(C) Local debt financing
(D) Key input control
2. Some companies have little, if any, net income or earnings, yet they seem to have all the money they need for capital expenditures. Which of the following best explains how such companies operate?
(A) They have good cash flows.
(B) They lease capital equipment that does not show up on balance sheets.
(C) They have accounts with many different banks.
(D) They issue warrants to their officers.
Assuming the capital asset pricing model holds and Stock A's beta is greater than Stock B's beta by .55, what is the expected market risk premium?
Average annual net income divided by original investment amount equals: Select one:
Find the amount he will have in his bank account at the end of the year. How much money will she have at the end of 4 years?
XYZ Enterprise has current assets equal to $4.5 million. What is the firm's level of current liabilities (in millions)?
Calculate the ex-rights price per share and the value of a right.
An insurance salesman offers you Cash Value life insurance policy for $250,000 for monthly premiums of $150. What is future value of premiums when you turn 95.
Examine the organization's sources of revenue (e.g., grants, individual donations, fees for service, etc.) relative to total revenue can also be useful.
You bought 1,000 shares of Costco (COST) on margin at $60 per share. Your initial margin was 75% and your maintenance margin is 50%. You borrowed at the 9 percent call money rate. You sell Costco (COST) 4 months later for $63. Calculate the dollar am..
Buying a Machine - NPV Analysis Find the NPV of a project which requires a $750,000 machine purchase
What is your best estimate of the aftertax cost of debt?
Stock A has a standard deviation of 15 percent per year and stock B has a standard deviation of 21 percent per year. What is your portfolio standard deviation?
What is the effective annual cost of this commercial paper?
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