Explain the cash conversion cycle

Assignment Help Financial Management
Reference no: EM131188657

For your second post, consider the company you work for or a company in which you are interested. Also, do some research to find some current cost estimates for various means of financing working capital. What would be your recommendation to the company for financing its working capital needs? If the information is publicly available, or if you have access to it and have permission to discuss it, how does your recommendation compare what the firm is actually doing?

For your next post, explain the cash conversion cycle (CCC). Describe the CCC for your employer or company in an industry in which you're interested. What are some specific things that your company could do to decrease your cash conversion cycle? Let's be sure to describe, in pretty specific terms, the CCC for our company and what could be done to shorten it.

Reference no: EM131188657

Questions Cloud

What are the main components of the broken windows theory : How do you think the broken windows theory served as an introduction to community-oriented policing? Explain. Do you think that this theory is still significant to community-oriented policing? Why or why not? Explain
Find the coefficient of variation for the project : An investment costs $7,000, after tax considerations, and will generate cash flows of $1,500 a year over its life. The capital investment will last for 7, 8, or 9 years, with probabilities of 0.3, 0.4, and 0.3 respectively. Assume the required rate o..
Which is not a component of a variable declaration statement : Which of the following is NOT a component of a variable declaration statement? You can store any character, including nonprinting characters such as a backspace or a tab, in a(n) __________ variable.
Examining potential investment opportunity : XYZ Corporation is examining a potential investment opportunity that will require the company to spend $120 million up front. The company will finance this project with $90 million in equity with a required return of 12% and with $30 million in debt ..
Explain the cash conversion cycle : For your second post, consider the company you work for or a company in which you are interested. Also, do some research to find some current cost estimates for various means of financing working capital. explain the cash conversion cycle (CCC). Desc..
Describe how you would partner with local : Pick a high profile target in the area where you live or an area that you are familiar with and describe in detail how you would harden the target and make it less vunerable to attack. Describe how you would partner with local, state and federal ..
Find the temperature of the planet : Find this temperature. Assume that the specific heat of liquid and of gaseous aluminum is 1170 J/kg· °C.
What are funding streams used : What are funding streams used - What are your recommendations for maintaining a collaborative relationship with different funders?
What is your portfolio reward to risk ratio : A risky asset has an expected return of 12% and standard deviation of 18%. The risk-free rate is 6%. If you invest 40% of your funds in the risk-free asset and 60% of your funds in the risky asset, (A) what is your portfolio’s expected return, (B) wh..

Reviews

Write a Review

Financial Management Questions & Answers

  Should the major decisions on resource depletion

Should the major decisions on resource depletion (especially energy policy) be made: By government experts? By scientific experts? By everyone? Provide and develop moral arguments in support of your judgment.

  What is the after tax salvage value and operating cash flow

The company is thinking about a new project. They expect to have sales of 500,000. Variable and fixed costs should be 200,000. The equipment is going to cost 600,000. It will be depreciated straight line to zero over the life of the project. They exp..

  Including the final quarter when the principal falls due

If interest rates were 4 percent, how much would you give today for a loan with a $100,000 balloon principal payment due in a year and that will pay $16,000 in interest at the end of each quarter, including the final quarter when the principal falls ..

  Exercise price of an option is fixed

It is April and a trader buys 100 September put options with a strike price of $21. The stock price is $17.2 and the option price is $4.44. At the expiration, the stock price becomes $18.8. Calculate the option profit to the trader. When one buys an ..

  Calculate the required return for each stock

Landon Stevens is evaluating the expected performance of two common stocks, Furhman Labs, Inc., and Garten Testing, Inc. Calculate the required return for each stock.

  What is the required rate of return on the investors portfo

An investor is forming a portfolio by investing $55,000 in stock A that has a beta of 1.33, and $75,000 in stock B that has a beta of 0.95. The market risk premium is equal to 6.30% and Treasury bonds have a yield of 4.25%. What is the required rate ..

  The friendly national bank holds 50 million in reserves at

the friendly national bank holds 50 million in reserves at its federal reserve district bank. the required reserves

  Perform aluation using the free cash flow valuation model

Nabor industries is considering going public but is unsure of a fair offering price for the company. The firm's CFO has gathered data for performing the valuation using the free cash flow valuation model.

  Assigned to the press as an initial cost of the new project

The Tattle Teller has a printing press sitting idly in its back room. The press has no market value to another printer because the machine utilizes old technology. The firm could get $250 for the press as scrap metal. What value, if any, should be as..

  What is the projects expected rate of return

If a security plots below the security market line, it is: A project has an assigned beta of 1.24, the risk-free rate is 3.8%, and the market rate of return is 9.2%. What is the project's expected rate of return? A project with higher than average ri..

  The tax-equivalent yield of a double tax-free

What is the tax-equivalent yield of a double tax-free 5% municipal bond if the investor is in the 28% federal and 7% state tax brackets? A bond matures in 30 years, has a 20 year duration and a yield to maturity of 9.32%. The change in the level of t..

  Risk-free rate of interest-what is the per-share value

Harrison Corporation is interested in acquiring Van Buren Corporation. Assume that the risk-free rate of interest is 5% and the market risk premium is 7%. What is the per-share value of Van Buren to Harrison Corporation?

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