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A company is trying to determine it's cost of equity using the Fama-French model. Details are below.
The beta is 1.3.
The risk free rate is 2.00%.
The risk premium on the market is 5.50%.
The stock is expected to pay a dividend of $3.00 next year.
The stock is trading at $100 per share.
The return on equity is 12%.
The retention ratio is 80%.
The return for the Small sized portfolio minus the bid-sized portfolio is 3.00%.
The slope coefficient is .3.
The high book to market portfolio minus the low book to market value portfolio is -2.00%.
The factor weighting (slope) is .4.
In terms of option theory, explain the impact on the offering yield of adding a call feature to a proposed bond issue.
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Describe the benefits of holding the Raw materials inventories, Work-in-process inventories and Finished goods inventories
Breakeven cash inflows The One Ring Company, a leading producer of fine cast silver jewelry, is considering the purchase of new casting equipment that will allow it to expand its product line. The up-front cost of the equipment is $750,000. How would..
Suppose Baa-rated bonds currently yield 7.8%, while Aa-rated bonds yield 5.8%. Now suppose that due to an increase in the expected inflation rate, the yields on both bonds increase by 1.2%. What would happen to the confidence index? (Round your answe..
Moussa Sangare is purchasing a used car and has the option of two possible paymentplans: Determine the range of interest rates for which Plan B is better for Moussa.
Broussard Skateboard's sales are expected to increase by 25% from $9.0 million in 2015 to $11.25 million in 2016. Its assets totaled $4 million at the end of 2015. Broussard is already at full capacity, so its assets must grow at the same rate as pro..
Discuss and compare the different types of investment appraisal methods My Velo can use, including a discussion of the advantages and disadvantages of each.
Beasley Ball Bearings paid a dividend of $4 last year. The dividend is expected to grow at a constant rate of 3 percent over the next five years. The required rate of return is 11 percent. Compute the anticipated value of the dividends for the next f..
The risk-free rate of return is currently 0.02, whereas the market risk premium is 0.05. If the beta of RKP, Inc., stock is 1.7, then what is the expected return on RKP?
alculate the Project and Equity Free Cash Flows for the following scenario. We want to finance a project with 30% debt (70% equity). We expect $1,000,000 in sales for next year; COGS to be 55% of sales; depreciation will be $400,000 and offset with $..
You are benefits consultant reviewing the disability coverage’s offered by one of your client firms. The disability plan of the firm offers provides short-term benefits equal to 100% of salary for 3 full years and long-term lifetime benefits equal to..
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