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Consider dividend policy, stock repurchases, and stock splits. Discuss how investors may react differently if their company issues dividends or announces a stock split or stock repurchase.
How many shares of stock will you receive if you convert all of your bonds?
Suppose you are planning making a movie. The movie is expected to cost $10 million upfront and take a year to make. After that, it is expected to make $5 million in the year it is released and $2 million for the following four years.
Which mean (average), arithmetic or geometric, is best as a measure of central tendency and why?
Consider a firm that had a taxable income of $110,000, and total gross revenues of $340,000 in the current tax year. Based on this information, how much federal income tax was paid for the tax year.
The interest rate has dropped to 7.6%. The companys business risk, opportunity cost of capital, and tax rate have not changed. Use the three-step procedure to calculate Federated WACC under these new assumptions.
You are running a hot internet company. Analysts predict that its earnings will grow at 30% for each year for the next five years. After that, as competition rises, earnings growth is expected to slow to 2% per year and continue at that level fore..
Taking the example of financial statements of any existing company for any two years, perform a ratio analysis using profitability ratios and liquidity ratios.
What is the earning per share for each type of capital structure given the predicted EBIT and calculate the break-even EBIT?
Do Apple Inc issue convertible securities and If so why, if not why not. How about warrants
Briefly explain two (2) ways interest rates influence the U.S. and global financial environment. Provide at least one (1) example of such influence for both the U.S. financial environment and one (1) example for the global financial environment.
Suppose you postpone consumption and invest at 9% when inflation is 3%. What is the approximate real rate of your reward for saving?
A mutual fund manager has a 20 million dollar portfolio with a beta of 1.50. The risk-free rate is 4.50 percent, and the market risk premium is 5.50%. The manager expects to receive an additional $5 million which she plans to invest in a number of st..
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