What was payment term of the amount of the contract

Assignment Help Financial Management
Reference no: EM131513221

In order to fill an order from H, L needed additional manufacturing capacity. Consequently, L spoke to S about building an addition to L's factory.

Afterwards, S then wrote to L, proposing to build the addition for $20,000,000.

L wrote back to S, proposing that S build it for $15,000,000, and added a contract term. The contract term stated that if the addition was not complete one year after the contract was signed, then S would pay a penalty of $30,000 per day until it was complete.

In response to this proposal, S sent a counter-offer, proposing to build the factory for $17,000,000. S then changed his mind, called L, and told him he would build the factory for $15,000,000. S then built the addition.

In the end, it took 18 months to build the factory. The matter ended up in court as the parties fought about what was owed. During the pre-trial, S learned that H had changed his mind and had cancelled his order with L after all.

What was payment term of the amount of the contract between L and S? Will S need to pay $30,000 per day for the additional 6 months it took to build the addition?

Reference no: EM131513221

Questions Cloud

Company has been approached to bid on a contract : Your company has been approached to bid on a contract to sell 5,100 voice recognition (VR) computer keyboards a year for four years.
How many bonds must the firm issue : The face value per bond will be $1,000. How many bonds must the firm Issue?
What is the current yield : The bond pays interest semi-annually, has a yield-to-maturity of 7.47 percent, and matures in 10 years. What is the current yield?
Discuss the forward market for foreign exchange : Discuss the forward market for foreign exchange. Include forward rates, cross-exchange rates, the forward premium,
What was payment term of the amount of the contract : What was payment term of the amount of the contract between L and S? Will S need to pay $30,000 per day for the additional 6 months it took to build addition.
What is price of the bond : A bond has a coupon rate of 10.8 percent and 4 years until maturity. If the yield to maturity is 10 percent, what is the price of the bond?
Draw free cash flows diagram of its dividends : Tech, Inc, a regional technology manufacturer plans to roll out a new product to gain market share. Draw a free cash flows diagram of its dividends.
Calculate the npv of project : Nata, Inc., is considering the purchase of a $450,000 computer with an economic life of five years. Calculate the NPV of this project.
What is the investment value at the end of four years : What is the investment's value at the end of four years ?

Reviews

Write a Review

Financial Management Questions & Answers

  Calculate the accumulated value of this annuity

The annual effective interest rate is 12%. A ten-year continuous annuity makes payments totalling $30 during the first year, $40 during the second year, $50 during the third year, and so on. Within each year the payments are level. Calculate the accu..

  Taking advantage of the pricing flexibility inherent

Taking advantage of the pricing flexibility inherent in the wholesale model,

  What is the value today at a discount rate

What is the value today of $4,600 per year, at a discount rate of 10 percent, if the first payment is received 6 years from today and the last payment is received 20 years from today?

  Identify the approximate breakeven stock price

Generate a graph and use it to identify the approximate breakeven stock price. Determine the maximum and minimum profits.

  Time value of money exercise

Your Non-Profit Organization just received $50,000 in seed money from a donor for a capital project that will be started in five years.

  What is the coupon rate of the bonds

Bonds issued by Fairfax Mechanical were priced at 902.26 dollars six months ago and are priced at 887.38 dollars today. What is the coupon rate of the bonds?

  What is the current equilibrium price of the call option

A stock has a begining market value of $75. It can either increase in value each year by 20% or decrease in value by 20%. A 3-year European Call Option written on the stock has an exercise price of $75. The risk-free rate of return is 5% per year. Wh..

  What was net after-tax income for the year

This year SanCorp had $10 million in sales, $5.2 million in operating costs, and $200,000 in interest expense. It also paid 40 percent of its pre-tax income to the government as income tax expense. What was SanCorp's net after-tax income for the year..

  What is your net profit on this position

You own 1000 shares of MMM that you bought for $152. You also have written 10 call option contracts on MMM, at a premium of $1.5 and with a strike price of $159, maturing in 2 months. If at maturity of the option, the stock price is $165, what is you..

  Currently has capital structure consisting

Globex Corp. currently has a capital structure consisting of 35% debt and 65% equity. However, Globex Corp.'s CFO has suggested that the firm increase its debt ratio to 50%. The current risk-free rate is 3.5%, the market risk premium is 8%, and Globe..

  New gear assembly project

Olin Transmissions, Inc., has the following estimates for its new gear assembly project: price = $1430 per unit; variable costs = $316 per unit; fixed costs = $3931656; quantity = 71456 units. Suppose the company believes all of its estimates are acc..

  Total stock holders equity

JPMorgan Chase reported total stock holders equity of $176106000000 on 12/31/2010. there were 3910294110 shares outstanding at that time but average shares outstanding were 3977000000. what was the company's book value per share on that date?

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