Calculate the two year moving average

Assignment Help Financial Management
Reference no: EM13730343

In 2010 & 2011 Aldi had sales of $200million. in 2012, sales increased to $275million, in 20013 sales increased to $300 million. Calculate the two year moving average & the four year moving average for 2014.

Reference no: EM13730343

Questions Cloud

What is the expected return on a portfolio composed : Security F has an expected return of 10.9% and a standard deviation of 24% per year. Security G has an expected return of 18.1% and a standard deviation of 63% per year.
What is the return shareholders are expecting : Expected Return Circuit City Stores (CC) recently paid a $.16 dividend. The dividend is expected to grow at a 23.00 percent rate. At the current stock price of $7.96, what is the return shareholders are expecting?
Average consistently positive abnormal returns : Suppose you find that prices of stocks before large dividend increases show on average consistently positive abnormal returns. Is this a violation of the EMH?
Find the intrinsic value of a share of stock : Find the intrinsic value of a share of stock XYZ using the two-stage dividend discount model. The data for the valuation model has been obtained from the Value Line Research Center. Because the report contains data from the end of 2014, we will use t..
Calculate the two year moving average : In 2010 & 2011 Aldi had sales of $200million. in 2012, sales increased to $275million, in 20013 sales increased to $300 million. Calculate the two year moving average & the four year moving average for 2014.
Depreciated over life of project and has no salvage value : A 9-year project has an initial fixed asset investment of $44,520, an initial NWC investment of $4,240, and an annual OCF of -$67,840. The fixed asset is fully depreciated over the life of the project and has no salvage value.
Required to finance replacement of fully depreciated : Based upon the following information, how much debt financing (as of %) would be required to finance the replacement of fully depreciated Property, Land &Equipment (P.P. &E)?
Rationale for indexing according to both of these schools : Some advocates of behavioural finance agree with efficient market advocates that indexing is the optimal investment strategy for most investors. But their reasons for this conclusion differ greatly. Compare and contrast the rationale for indexing acc..
Large american airlines passenger jet crashes : A large American Airlines passenger jet crashes and news reaches the stock market during trading hours. Information is limited at first and then becomes more detailed. How would expect the price of American Airlines to move during this period?

Reviews

Write a Review

Financial Management Questions & Answers

  Potential competitors and structures of the market

In the hope of high returns, venture capitalists provide funds to finance new companies. However, potential competitors and structures of the market into which the new firm enters are extremely important in realization of profits.

  Define what is the coupon rate for a bond

What is the coupon rate for a bond (face value $1,000) with five years until maturity, a price of $957.88, and a yield to maturity of 6%? What is the current yield for this bond?

  What is the sensitivity of the npv to the price and quantity

McGilla Golf is evaluating a new golf club. The clubs will sell for $875 per set and have a variable cost of $430 per set. The company has spent $150,000 for a marketing study that determined the company will sell 60,000 sets per year for seven years..

  What is new fair forward price for delivery in eight months

Svenska BK (Swedish bank) enters into a forward contract with a customer to buy Krona (Swedish currency) for $1.25 (US currency) in six months time. After 6 months have gone by the spot exchange rate is now $1.36/Krona. The company asks you (Svenska ..

  What is the effective annual rate

What is the effective annual rate of 5.25 percent compounded continuously?

  What is the alpha of each stock

What is the alpha of each stock and compare each stock's risk-return point graphically and identify each alpha clearly.

  Recorded and posted to the general ledger

Upon completion of the closing entries, you reviewed the general ledger and noticed that balances remained in all asset, liability, and equity accounts. In addition, there were still balances in the revenue accounts, but not expenses or dividends. Sh..

  What is the current common stock value

What is the current common stock value for each of the companies listed walt disney ,oracle corporation ford motor company. what is the current common stock value? how many shares are issued?

  Calculate the cogs for the give years

Calculate the budgeted sales for the 4 years and company has taken a loan for financing the new machine for apple juice production, this has been added to long term debt.

  Question if the beta of exxon mobil is 065 risk-free rate

question if the beta of exxon mobil is 0.65 risk-free rate is 4 and the market rate of return is 14 evaluate the

  Financial leverage increases the expected rate of return

Financial leverage is the extent to which a firm is financed by securities with fixed costs, such as debt and preferred stock. The advantage of corporate debt is that it is a deductable expense, while equity income is taxable. Financial leverage i..

  Though the real estate market has been depressed in some

though the real estate market has been depressed in some countries due to the aftermath of the global financial crisis

Free Assignment Quote

Assured A++ Grade

Get guaranteed satisfaction & time on delivery in every assignment order you paid with us! We ensure premium quality solution document along with free turntin report!

All rights reserved! Copyrights ©2019-2020 ExpertsMind IT Educational Pvt Ltd