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A Plus purchases an asset for $19923. This asset qualifies as a seven-year recovery asset under MACRS. The seven-year fixed depreciation percentages for years 1, 2, 3, 4, 5, and 6 are 14.29%, 24.49%, 17.49%, 12.49%, 8.93%, and 8.93%, respectively. A Plus has a tax rate of 30%. The asset is sold at the end of six years for $4355.
Calculate the book value of the asset.
Round the answer to two decimals.
Over a long period of time would you expect the risk-adjusted performance of conglomerate firms to be significantly different from the risk-adjusted performance of a broad market index? Explain.
"NIST and Risk Governance and Risk Management" Please respond to the following: NIST provides many procedures and much guidance on IT and information security-related topics.
How does interest-rate risk arise and how is it measured? How is interest-rate risk related to bond portfolio management? What were some of the credit risks that arose from the 2008 financial crisis?
task ltbrgtthis is an individual assessment worth 50 of the module mark. word length 2500 words do not exceed word
Kahn Inc. has a target capital structure of 50% common equity and 50% debt to fund its $9 billion in operating assets. Furthermore, Kahn Inc. has a WACC of 13%, a before-tax cost of debt of 11%, and a tax rate of 40%. The company's retained earnings ..
The contract states that, if the inflation rate in the first year exceeds 1%, wages in the second year will increase by the inflation rate of the first year. Does this clause increase or decrease risk? Explain.
Now add one or more risk plan reviews to your risk breakdown structure. A risk review evaluates the effectiveness of the current plan and explores for possible risks not identified in earlier sessions.
How should regulators verify and validate a banks Internal Ratings Based models. What measures should they use for consumer risk models and for corporate and sovereign risk models?
two questions1find an example when an organisation took up too much risk and was unable to cope with it. give a short
Generate a graph and use it to identify the approximate breakeven stock price. Determine the maximum and minimum profits.
Have major corporations been unwilling to adapt to the times and meet competition head on? Are corporate executives better described as risk-averse managers than entrepreneurs willing to take a chance?
(a) What is the marginal productivity of land in the production of housing? Assuming there is competition in the supply of housing, what is the competitive rental payment to land? (b) In the case of several owners and competition in the supply of h..
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