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You are an American investor who has found an excellent opportunity to invest in Germany (the German currency is now the Euro). When you made the investment, the Euro/USD exchange rate was $1.18. Your investment did very well and earned 10.44%. You hedged the currency using a futures contract with a strike price of $1.17 Euro/USD. What is your hedged domestic return? State your answer as a percentage with two decimal places and not in decimal form (i.e. 13.21 not .1321).
If the company has a $81 million market value of equity, what weight should it use for debt when calculating the cost of capital? What is the weight of debt?
a stock has a 50 chance of producing a 20 return a 25 chance of producing a 10 return and a 25 chance of producing a
You are the financial manager of Wal-Mart who will submit a report on this year's (2013) financial transactions to the company's CFO Charles Holley. You want to verify that the following estimates prepared by your staff are correct.
Coogly has outstanding preferred stock That pays a dividend of $4 per share and sells for $82 per share, with a floatation cost of $6 per share. What is the component cost for Coogly's preferred stock? What are the advantages and disadvantages of ..
Assume that one year offshore USD and EURO interest rates in London are 4.6%-5.00% and 3.00%-3.4% respectively. A German investor has access to the following spot rates:
A project has an initial cost of $52,125, expected net cash inflowsof $12,000 per year for 8 years, and a cost of capital of 12%.
You just purchased an existing business that produces solar panels according to the following production function: Q=K^0.5L^0.5.
Is there actually a midpoint between these two strategies that combines aspects of both? How would a best-cost strategy end up working for a small business?
What is the post-money firm valuation and what is the implied share price and what is the value of the entrepreneur's stake?
1. typical u.s. gaap disclosures for deferred income taxes include all of the following except components of income tax
A bond with 2 years to maturity has a semi-annual coupon rate of 3% and face value £100. Assume that the yield curve is flat at 4%. Calculate the price of the b
Using the above information, prepare a budget for May 20X8 stating the total cost. Use a spreadsheet to display your data and calculations
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