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Question 1: Describe the difference between a vision statement and a mission statement. What is the purpose of each statement? Provide an example of a strong vision and mission statement used by an organization today. What qualities do these have that make them strong statements?
Question 2: Describe the attributes that make a vision meaningful to stakeholders. Discuss why a vision may need to change.
Question 3: Discuss the importance of communication during organizational change. Describe two effective communication strategies for communicating change that are relevant to internal and external stakeholders.
Question 4: Describe the four skills involved in effective communication described in the textbook. Discuss which skill you need to better develop, and how you will develop this skill to improve as a professional in your field.
Define the financial planning process List the elements of a good financial plan.
Describe the typical relation between portfolio risk and number of stocks held. Describe the role of correlation in determining portfolio risk.
How do dividends impact the value of a share of stock? Are there any instances in which companies should not pay dividends?
Compute the Net Present Value of Future Cash Flows, and the Internal Rate of Return. Highlight in yellow those two answers on your spreadsheet.
Filer Manufacturing has 7.7 million shares of common stock outstanding. The current share price is $47, and the book value per share is $5.
A bank makes a fixed payment loan to a student for $50,000. The loan is to be repaid in 10 annual fixed payments beginning 4 years after the loan is made.
The answer should be a set of instructions or a computational procedure that the decision-maker can follow with an example.
Explain how net operating working capital is recovered at the end of a project's life, and why it is included in a capital budgeting analysis.
silicon corp. recently issued 10-year 12 percent coupon bonds at par value. silicons beta is 0.6 the optimal capital
Do outliers increase or decrease the magnitude of correlation coefficients?
What is the market's required return on this investment if the dividend is expected to grow at 3% forever?
(1) What is the return for year 2016? (2) What is the standard deviation of the stock's returns for the five-year period?
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