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Most firms generate cash inflows every day, not just once at the end of the year. In capital budgeting, should we recognize this fact by estimating daily project cash flows and then using them in the analysis ? If we do not, are our results biased ? If so,would the NPV be biased up or down? Explain Briefly.
The IF for the future value of annuity is 4.5 at 10% for 4 years. If we wish to accumulate $8,000 by the end of 4 years, how much should the annual payments be?
In brief explain the types of risks faced by investors in domestic bonds? Also point out the additonal risks associated with nondomestic bonds. Describe the differece between Stocks and Bonds and which one Corporations use most to raise capital.
Calculate Dahl's 20X6 consolidated net income and identify the amount attributable to Dahl's shareholders and to the non-controlling interest. Be sure to show all your calculations. You are not required to prepare a consolidated income statement.
Assume the company has issued 15,000 bonds with a coupon rate of 10% and a face value of $1,000 per bond, and the company has a marginal tax rate of 40%. Calculate the annual after-tax cost of the interest expense.
The firm announces a $0.50 per share dividend (in your answer use the price of the stock on the ex-dividend date). d. The fi rm announces it will repurchase 10 percent of its shares; you do not offer to sell any of your shares.
Which is most important to the business and why and what are the consequences a company may face if either of these is ignored?
Enter rounded answer as directed, but do not use the rounded numbers in intermediate calculations. Round your answer to 2 decimal places.
What amount of gain has Patriot received from this transaction and this a capital or ordinary gain?
Give the reason why more foreign firms do not sell equity securities in the U.S.
Computing multiple cash flows for a year and the amount of the annuity shown below is the amount of each individual cash flow
The bonds are selling at 98 percent of face value. The company's tax rate is 34 percent. What is the firm's weighted average cost of capital?
Which bond suffers the greatest percentage price decline? Why? Which suffers the least percentage price decline? Why?
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