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Market Capitalization Question:
If a company is listed in both Canada and the USA, is the market cap the sum of the two listed stocks? Or is it just the one market cap. For example, Crescent Point Energy Corp. has a Canadian market cap listed at 5.14B, but also trades on the NYSE. Is the market cap shown on the Canadian exchange the TOTAL market cap of the company or is this misleading because US shares are not included within this number? Thanks for the clarification in advance.
explain why the short-term project might be higher ranked under the NPV criterion if the cost of capital is high; whereas, the long-term project might be deemed better if the cost of capital is low.
Inventory can be used as collateral for a loan in all of the following ways EXCEPT:
A high school graduate has to decide between working and going to college. If he works, he will work for the next 50 years of his life. If he goes to college, he will be in college for 5 years, and then work for 45 years. The first year of post-colle..
Mitsi Inventory Systems, Inc., has announced a rights offer. The company has announced that it will take three rights to buy a new share in the offering at a subscription price of $39. What price should the stock sell for ex-rights? Are the rights un..
Suppose the returns on long-term government bonds are normally distributed. Assume long-term government bonds have a mean return of 6.7 percent and a standard deviation of 10 percent. What is the probability that your return on these bonds will be le..
Both projects Z and P are acceptable as independent projects. However, the selection of either one of these projects eliminates the option of selecting the other project. Which one of the following terms best describes the relationship between Projec..
Yorgi obtained a $250,000 mortgage with a fixed rate of 5.6% and a 20-year maturity. -What are Yorgi's monthly payments on the mortgage?
A stock has a correlation with the market of 0.64. The standard deviation of the market is 30%, and the standard deviation of the stock is 38%. What is the stock's beta?
1.briefly describe venture debt capital and venture equity capital.2.describe how the costs of debt and equity differ
10-year, zero coupon bonds have more reinvestment risk than 10-year, 10% coupon bonds. A 10-year, 10% coupon bond has less reinvestment risk than a 10-year, 5% coupon bond (assuming all else equal). The price of a 20-year, 10% bond is less sensitive ..
Use the following information to calculate the expected return and standard deviation of a portfolio that is 40 percent invested in 3 Doors, Inc., and 60 percen
Nico bought 500 shares of a stock for $24.00 per share on January 1, 2013. He received a dividend of $2.50 per share at the end of 2013 and $4.00 per share at the end of 2014. At the end of 2015, Nico collected a dividend of $3.00 per share and sold ..
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