Company A wants to calculate its WACC. It has just issued a 10-year, 6% coupon, non-callable bond at par value. A's current stock price is $40 and A just paid s $0.5 per share dividend. A's dividend payment is expected to grow at a constant rate of 7% a year. A wants to keep a debt-to-capital ratio of 80%. Tax rate is 35%. If A does a not have preferred stock and floatation costs, what is its WACC (please report WACC as a decimal number with four decimal places, such as 0.0562)?

Answers

Answer 1

The WACC for Company A, rounded to four decimal places, is approximately 0.0489 or 4.89%.

To calculate the weighted average cost of capital (WACC) for Company A, we need to consider the cost of debt, cost of equity, and the respective weights based on the target debt-to-capital ratio.

1. Cost of Debt (Rd):

Since the bond issued by Company A has a coupon rate of 6% and was issued at par value, the cost of debt can be calculated directly as the coupon rate:

Rd = 6% or 0.06

2. Cost of Equity (Re):

To calculate the cost of equity, we can use the Dividend Discount Model (DDM) formula:

Re = (Div1 / P0) + g,

where Div1 is the expected dividend per share next year, P0 is the current stock price, and g is the expected dividend growth rate.

Given:

Div1 = $0.5 * (1 + 7%) ≈ $0.535,

P0 = $40,

g = 7% or 0.07,

Re = ($0.535 / $40) + 0.07

  ≈ 0.088375 or 8.8375%

3. Debt-to-Capital Ratio:

The debt-to-capital ratio is given as 80%. This means that 80% of the company's capital structure consists of debt, and the remaining 20% is equity.

4. Weight of Debt (wd):

The weight of debt can be calculated as the debt-to-capital ratio:

wd = 80% or 0.8

5. Weight of Equity (we):

The weight of equity is the complement of the weight of debt:

we = 100% - wd

  = 100% - 80%

  = 20% or 0.2

6. Tax Rate (T):

The tax rate is given as 35% or 0.35.

Now we can calculate the WACC using the following formula:

WACC = (wd * Rd) * (1 - T) + (we * Re).

Substituting the values:

WACC = (0.8 * 0.06) * (1 - 0.35) + (0.2 * 0.088375)

     = 0.048 * 0.65 + 0.017675

     = 0.0312 + 0.017675

     = 0.048875.

Therefore, the WACC for Company A, rounded to four decimal places, is approximately 0.0489 or 4.89%.

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Related Questions

How many hours of higher education are required to become a certified
public accountant?
A. 190
B. 200
C. 120
D. 150


Answer:
150

Answers

You wrote the answer??

Plant World Company purchased a delivery van for $25,000 on January1. The van has an estimated 4-year life with a residual value of $2,000. What would the depreciation expense for this van be in the first year if Plant World uses the straight-line method?
$23,000
$25,000
$5,750
$6,250

Answers

The depreciation expense for the first year would be $5,750. The depreciation expense for the delivery van using the straight-line method.

The straight-line method evenly spreads the cost of an asset over its useful life. To determine the annual depreciation expense, we need to know the initial cost, the residual value, and the estimated life of the asset.

In this case, the delivery van was purchased for $25,000 on January 1. The residual value is the estimated value of the van at the end of its useful life, which is $2,000. The estimated life of the van is given as 4 years.

To calculate the depreciable amount, we subtract the residual value from the initial cost: $25,000 - $2,000 = $23,000. This represents the total amount that will be depreciated over the useful life of the van.

Next, we divide the depreciable amount by the useful life to determine the annual depreciation expense. In this case, it would be $23,000 / 4 = $5,750.

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vipsana's gyros house sells gyros. she incurs a fixed cost of $120 per day. the cost of ingredients (pita, meat, spices, etc.) to make 1 gyro is $2.00. vipsana pays each worker $60 per day. calculate vipsana's total variable cost per day when she produces 50 gyros using 2 workers?

Answers

To calculate Vipsana's total variable cost per day when she produces 50 gyros using 2 workers, we need to follow the steps below:

Step 1: Calculate the variable cost per unit

Variable cost per unit refers to the costs that vary with the number of units produced.

In this case, the variable cost per unit is given by:

Variable cost per unit = cost of ingredients plus labor cost per unit

= $2.00 + ($60/50)

= $2.00 + $1.20

= $3.20

Step 2: Calculate the total variable cost

Total variable cost refers to the sum of all the variable costs incurred in the production of a given number of units.

In this case, the total variable cost can be calculated as:

Total variable cost = variable cost per unit x number of units produced

= $3.20 x 50

= $160

Therefore, Vipsana's total variable cost per day when she produces 50 gyros using two workers is $160.

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Workplace diversity describes differences among workers in any of the following areas:
attitude
education
ethnicity
industry

Answers

Answer:

industry because here based the all the business in whole world

Which person used a cost-saving strategy when deciding how to spend their money?

a. when selecting a new tablet, Rosita carefully read about the features of each model.

b. when purchasing a new jacket, Thao chose the one that was manufactured locally.

c. when choosing which coffee to buy, Ivan chose the brand with the "fair trade" label.

d. when buying a used dirt bike, Fabian negotiated with the seller to get a better deal.

will give brainliest!

Answers

d. when buying a used dirt bike, Fabian negotiated with the seller to get a better deal.
(cost-saving)

The person who used a cost-saving strategy when deciding how to spend their money is the Fabian who negociated with the seller to buy a used dirt bike to get a better deal.

What is cost-saving stategy?

The strategy in which we analysis the basic requirements which are necessary and on which minimum cost can be made in a business

What is a dirt bike?

The bikes which are generally used in dirts to have races or to have friction with the roads with dirts.

Hence, option D is the correct answer

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When offering a new issue to an elderly customer, the agent prepares a large-type summary to make it easier for the customer to understand the details of the offering. Which statement is TRUE?
A. This action is appropriate because it is in the best interests of the customer
B. This action is a violation of the Uniform Securities Act
C. This action is only permitted if the changes to the prospectus are approved by the SEC
D. This action is only permitted if the prospectus is filed with the Administrator

Answers

A. This action is appropriate because it is in the best interests of the customer.The statement indicates that the agent prepares a large-type summary.

Assist an elderly customer in understanding the details of a new issue. This action is appropriate because it is in the best interests of the customer. As a responsible and ethical practice, financial professionals should take appropriate measures to ensure that customers, especially those with specific needs or limitations, have a clear understanding of the investment products or offerings being presented to them. Providing a large-type summary helps accommodate the customer's visual needs, making it easier for them to read and comprehend the information. This action demonstrates the agent's consideration for the customer's accessibility requirements and their commitment to ensuring the customer can make informed investment decisions.The other options, B, C, and D, do not accurately reflect the situation described.

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The Federal Open Market Committee is comprised of A. the seven members of the Board of Governors plus five of the twelve Federal Reserve Bank presidents. B. the five members of the Board of Governors plus the twelve Federal Reserve Bank presidents. C. the seven members of the Board of Governors plus the twelve Federal Reserve Bank presidents. D. the five members of the Board of Governors plus seven of the twelve Federal Reserve Bank presidents.

Answers

Answer:

A. the seven members of the Board of Governors plus five of the twelve Federal Reserve Bank presidents.

Explanation:

The Federal Reserve Bank commonly known as "The Fed" is the central bank of the United States of America.

The Federal Open Market Committee under the Federal Reserve Bank is comprised of the seven members of the Board of Governors plus five of the twelve Federal Reserve Bank presidents.

The Federal Reserve System (the 'Fed) was created by the Federal Reserve Act, passed by Congress in 1913. The Fed began operations in 1914. It was founded by President Woodrow Wilson under the Federal Reserve Act, which was aimed at backing each banks in order to put a definitive end to the bank panics of the 1800s.

Like all central banks, the Federal Reserve is a government agency that is saddled with the following responsibilities;

- Controlling the issuance of currency in United States of America (it promotes public goals such as economic growth, low inflation, and the smooth operation of financial markets).

- Providing banking services to all the commercial banks in the country (the Federal Reserve is the "lender of last resort).

- Regulating banking activities (it has the power to supervise and regulate banks).

Creating an online website what are good ideas to help me brainstorm

Answers

A few ideas for the website are:

An easy-to-update CMSResponsive designHelpful navigationStrong brand identityContact informationSecurity features

Marlena is of the opinion that increases in government spending is a viable option to thwart the full impact of a significant contraction in RGDP. Most economists would say that Marlena's opinion is O a) Keynesian Ob) Monetarist O c) Classical O d) Real

Answers

Marlena is of the opinion that increases in government spending is a viable option to thwart the full impact of a significant contraction in RGDP. Most economists would say that Marlena's opinion is Keynesian.What is RGDP?Real Gross Domestic Product (RGDP) is the total economic output of a country adjusted for price changes (inflation or deflation) over a given period.

The measure is the inflation-adjusted value of the country's finished goods and services during the given period.Marlena's opinion is Keynesian. Keynesian economics is a macroeconomic theory that states that government intervention can help stabilize an economy in recession by stimulating aggregate demand. Keynesians propose that during a recession, the government should increase demand by increasing public spending, lowering taxes, or offering monetary stimulus. This will put more money into people's pockets, encouraging them to spend and invest and thereby creating jobs and stimulating economic growth. Marlena's opinion is that the government should increase public spending to minimize the effects of a severe contraction in Real Gross Domestic Product (RGDP). This opinion is a Keynesian one. The Keynesian economics school proposes that the government should intervene in the economy during a recession by stimulating aggregate demand. They argue that the government should increase public spending, reduce taxes, or introduce monetary stimulus. This will lead to more money in people's hands, encouraging them to spend and invest, creating jobs and stimulating economic growth.

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How do changes in spending set of a chain of events that impact real GDP?

Answers

Changes in spending drives aggregate demand and contributes to some real GDP growth.

The chain of events from changes in spending circle the economy, households purchase things from businesses, businesses pay their employees and suppliers, employees and suppliers purchase goods from other businesses, these businesses pay their employees and suppliers, and so on. In this sense, the initial shift in aggregate expenditures is really spent more than once.

Hence, the real GDP grows from changes in spending.

GDP of a nation?

The sum of all value added produced inside an economy is measured by the GDP. Value added is defined as the value of produced products and services less the value of the commodities and services required to produce them, or what is known as intermediate consumption.

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one of the goals of business intelligence is to _________.

Answers

One of the goals that can be attributed to business intelligence as regards this question is that they present the results in an easy to understand manner.

Business intelligence can be regarded as the procedural as well as  technical infrastructure which helps in collection , storing as well as analyzing of data that is been produced by a company's activities.

It entails data mining as well as process analysis and  performance benchmarking.

Therefore , business intelligence give out the results of their analysis in understandable way

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What was one benefit and one cost of the Fed’s unusual step of buying long-term securities following the financial crisis of 2008–2009? pls I need is asap for my economic class

Answers

Federal bought good quality securities at lower prices during financial crisis. They also had to bear the cost of losing money on some stocks that lost capitalization due to the crisis.

What is financial crisis?

Financial crisis in the economy refers to increased prices of goods and decrease in the market capitalization due to a decline in the economy. Federal bought securities for long-term during 2008 financial crisis.

The benefit of buying this dip was that federal was able to invest in quality stocks at discounted prices. However, it also lost money in companies which could not survive after the end of the financial crisis.

Hence, the benefits and costs of Federal's purchases during the financial crisis of 2008-09 are as aforementioned.

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Below is the income tax system for the country of Genovia.


For income from $0 to $100, no income tax.

For all income above $100 but less than $400, the tax rate is 20%.

For all income above $400, the tax rate is 40%.

Jane Doe’s income is $500. What is her AVERAGE tax rate?


Group of answer choices


40%


33%


50%


20%


25%

Answers

Answer:

24%

Explanation:

The computation of the average tax rate is shown below:

Given that

From income $0 to $100, no income tax is applicable

From income above $100  upto $400, the tax rate is 20%

The income above $400, the tax rate is 40%

So based on the above information

Since the Jane doe income is $500

So here the average tax rate is

= (400 × 0.20) + (100 × 0.40) ÷ $500

= ($80  + $40) ÷ ($500)

= ($120) ÷ ($500)

= 24%

This is the answer but the same is not provided in the given options

A bond is actually a(n) _____. (Select all that apply.)


investment

short-term instrument

type of security

debt instrument

Answers

Investment but I’m not sure

State the purpose of assets​

Answers

Answer:

Assets are reported on a company's balance sheet and are bought or created to increase a firm's value or benefit the firm's operations. An asset can be thought of as something that, in the future, can generate cash flow, reduce expenses or improve sales, regardless of whether it's manufacturing equipment or a patent.

Explanation:

Hope this helps!

strategy implementation is putting strategic plans into effect, which means dealing with roadblocks within the organization’s structure and culture and seeing if the right people and control systems are available to execute the plans. true/false

Answers

The statement "strategy implementation is putting strategic plans into effect, which means dealing with roadblocks within the organization’s structure and culture and seeing if the right people and control systems are available to execute the plans" is TRUE.

Because Strategy implementation is putting strategic plans into effect, which means dealing with roadblocks within the organization’s structure and culture and seeing if the right people and control systems are available to execute the plans.

The process of putting strategic plans into action is known as strategy implementation. It entails executing the strategy and requires a well-thought-out plan, including the allocation of resources and responsibilities to employees. This phase involves taking action and motivating employees to work together to achieve the goals outlined in the strategy.

The most crucial element of strategy implementation is the execution of strategic plans. It involves dealing with organizational challenges such as culture and structure while ensuring that the right people and control systems are in place to execute the strategy effectively.

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6. Identify a change in technology during each of the time periods in history below that you believe improved the
way marketing activities were completed. List the example and explain how it contributed to marketing during
that time.
(a) 1900s to 1930s
(b) 1930s to 1950s
(c) 1950s to 1980s
(d) 1980s to today
Answer:

Answers

Answer:

Prior to the 1950s, the production orientation generally held true due to the growing numbers of affluent and middle class people that capitalism had created.

Say’s Law states that the “production of commodities creates, and is the one and universal cause which creates, a market for the commodities produced”.

The emphasis of firms adopting a production orientation of marketing would have been based on the theory of economies of scale, which are the cost advantages that an enterprise obtains due to expansion.

Bob spends time reading industry magazines, conducting online searches to gather than analyze information about other competitors. He also surveys employees, customers and corporate partners when investigating what other firms in the industry are doing. Bob is engaging in

Answers

Bob is engaging in competitive intelligence gathering, a process that involves researching and analyzing information about other competitors in the industry through various methods.

These are reading industry magazines, conducting online searches, and surveying employees, customers, and corporate partners.

Competitive intelligence gathering is an important practice for businesses to stay informed about their competitors and industry trends. Bob's activities align with this process.

By reading industry magazines, Bob can gather insights into what other firms are doing, their strategies, and market trends. Conducting online searches allows him to access a vast amount of information and analyze data relevant to the industry and competitors.

Surveying employees, customers, and corporate partners provides additional perspectives and firsthand information about the activities and strategies of other firms. By engaging in these activities, Bob can gain a better understanding of the competitive landscape, identify potential threats and opportunities, and make informed decisions for his own organization.

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Your investment over one year had a realized return of 8. 65% and a dividend of $2. 65. If the

sale price was $42. 58 per share, what was the cost of the investment, assuming you bought it

at the beginning of the period?

Answers

Answer:

Explanation:

To solve this problem, we need to use the formula for total return:

Total return = (Ending value - Beginning value + Dividend) / Beginning value

We know the following values from the problem:

- Realized return = 8.65%

- Dividend = $2.65

- Sale price = $42.58

We don't know the beginning value, but we can represent it with a variable, say x. We can set up the equation as follows:

0.0865 = ($42.58 - x + $2.65) / x

Simplifying the right side of the equation:

0.0865x = $45.23 - x

1.0865x = $45.23

x = $41.60 (rounded to two decimal places)

Therefore, the cost of the investment would be $41.60 per share if it was bought at the beginning of the period.

What is the difference between a public relations specialist and a marketing professional?​

Answers

Answer/Explanation:

The main difference? Marketing is focused on promoting and selling a specific product, whereas PR is focused on maintaining a positive reputation for a company as a whole.

Stephen Curry wants to develop a time standard for the task of cleaning a cat cage. In a preliminary study, he observed one of his workers perform this task six times, with the following results: Observation 1 2 3 4 5 6 Time(Seconds) 99 87 90 81 93 90 What is the standard time for this task if the employee worked at a 50 percent faster pace than average, and an allowance of 20 percent of the workday is used?
Group of answer choices:
168.8 seconds
150 seconds
105.80 seconds
90 seconds
99 seconds

Answers

The standard time for this task if the employee worked at a 50 percent faster pace than average, and an allowance of 20 percent of the workday is used is 168.8 seconds.

Stephen Curry wants to develop a time standard for the task of cleaning a cat cage. In a preliminary study, he observed one of his workers perform this task six times. Given,

To calculate the standard time for a particular task, we can use the following formula,

Standard time = average observed time × performance rating × (1 + allowance factor)

Here,

Performance rating = 1 + (percentage change in the pace of the worker / 100)

Percentage change in the pace of the worker = 50%

Faster pace than average means a 50% increase in the pace of the worker.

That is, the percentage change in pace is 50%.

Performance rating = 1 + 50/100 = 1.5

Allowance factor = 20% = 20/100 = 0.2

Average observed time = (99 + 87 + 90 + 81 + 93 + 90)/6

= 540/6

= 90 seconds

Standard time = average observed time × performance rating × (1 + allowance factor)

Standard time = 90 × 1.5 × (1 + 0.2)

= 90 × 1.5 × 1.2

= 162 seconds

≈ 168.8 seconds

Hence, the standard time for this task if the employee worked at a 50 percent faster pace than average, and an allowance of 20 percent of the workday is used is 168.8 seconds.

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how do product managers manage their product mix

Answers

Answer:

sorry if this dosent help

Explanation:

Considering the leap from being a product manager to a leadership role, but not sure what’s involved in managing product managers? You’re smart to look into this. The responsibilities of product leadership and the skills required, are very different those of a product manager.

Managing product managers can be an exciting and rewarding career. But before we jump into the details, here’s one key point that might change your perspective.

Management is considering replacing its blending equipment. The annual costs of operating the old equipment are $250,000. The annual costs of operating the new equipment are expected to be $220,000. The old equipment has a book value of $35,000 and can be sold for $25,000. The cost of the new equipment would be $260,000. Which of these amounts should be considered a sunk cost in deciding whether to replace the old equipment

Answers

Answer:

$250,000

Explanation:

Since the purchase cost of an old equipment is already incurred and it does not have any kind of impact in decision making so this cost would be considered as the sunk cost i.e. $250,000

The operating cost of old & new equipment would be relevant for calculating the annual cost savings and the current selling value of the old equipment would also be relevant as salvage value

Therefore $250,000 would be considered  

Scholarships awarded for high GPAs or test scores are based on _____.

Answers

Answer:  Merit-based...

when the census bureau presents the personal distribution of income, it splits the households into: a. thirds. b. quartiles, or fourths. c. tenths. d. quintiles, or fifths.

Answers

When the Census Bureau presents the personal distribution of income, it splits the households into quintiles, or fifths. The correct option is D.

The Census Bureau divides the households into quintiles, which means they are categorized into five equal groups based on income. Each quintile represents 20% of the population. This allows for a comprehensive understanding of income distribution by examining the share of income held by different segments of the population.

By using quintiles, the Census Bureau provides insights into the economic disparities and inequality within a population, highlighting the income levels of the lowest 20%, the next 20%, and so on, up to the highest 20% of households. This approach allows for comparisons across different income brackets and facilitates analysis of income trends and disparities over time.

The correct option is D.

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4. the effect on the accounting equation as a result of the declaration and distribution of a stock dividend is: a. an increase in assets and an increase in stockholder's equity b. a decrease in assets and a decrease in stockholder's equity c. a decrease in liabilities and an increase in stockholder's equity d. no effect on assets, liabilities, or stockholder's equity

Answers

The effect on the accounting equation as a result of the declaration and distribution of a stock dividend is option d: no effect on assets, liabilities, or stockholder's equity.

When a stock dividend is declared and distributed, it does not involve any cash or asset transfers. Instead, existing stockholders receive additional shares of stock. This means that the total number of shares increases, but the overall value of the company remains the same.

As a result, there is no change in the total assets, liabilities, or stockholder's equity. Therefore, option d is the correct answer.

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3. ______ are defined as goods or services that are required for health and safety.

Answers

Occupational Health and Safety are defined as goods or services that are required for health and safety. Information standards are guidelines governing the information that must be provided to consumers when they purchase specific goods.

What is the safety of goods?

A safe product is one that delivers either no risk or a minimum tolerable level of risk, taking into account the product's typical or reasonably foreseeable use and the need to maintain a high level of consumer protection.

Occupational health and safety is a multidisciplinary discipline that deals with all elements of workplace health and safety, with a heavy emphasis on preventing workplace dangers.

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Doctor’s Office
Records are kept about ­Patients. Details include the name, address, contact details, insurance information, and visit records. Patients can be registered before actually coming for a visit. Details about prescribed treatments are recorded, including the date prescribed, the doctor involved, which appointment, and any additional notes. Diagnosis can include... An appointment does not necessarily result in any treatments.
Part 1: Identify the Data Requirements (10 points)
What data needs to be stored?
What entities (tables) will you include?
What information about each entity will be included?
What are the unique identifiers for each entity?
What will be the relationships between those entities?
Part 2: Create the ERD Diagram (For this assignment, you will use Lucidchart to create an E-R diagram based on the given scenario)
Create an ERD diagram to model the system for Happy Pet Veterinary Clinic. For this diagram, you will use the information in Part 1. Remember, here we are only focused on what data will be stored in the database and not the whole system to be designed. This diagram must include: (1) entities, (2) attributes for the entities, (3) relationships between the entities, and (4) identified primary and foreign keys.

Answers

Part 1: Identify the Data Requirements:

The data that needs to be stored includes: patient information (name, address, contact details, insurance information), visit records, details about prescribed treatments (date prescribed, the doctor involved, which appointment, and any additional notes), and diagnosis.

Entities (Tables):

The entities that will be included are Patients, Visits, and Treatments.

Information about each entity:

Patients: name, address, contact details, and insurance information.

Visits: visit records and diagnosis.

Treatments: prescribed treatments, date prescribed, doctor involved, appointment, and additional notes.

Unique identifiers for each entity:

Patients: Patient ID (primary key).Visits: Visit ID (primary key).

Treatments: Treatment ID (primary key).

Relationships between entities: Each patient can have many visits, but a visit can only be assigned to one patient.

Each visit can have multiple treatments, and treatment can be assigned to multiple visits.

Part 2:

ERD Diagram:

In the ERD diagram, the entities are represented by boxes, attributes for each entity are represented by ovals, relationships between entities are represented by diamonds and primary and foreign keys are represented by underlined attributes. Please see the attached image for the ERD diagram.

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Rosa plans to give a presentation to her co-workers on how to use her company's new requisitions process, and she is using presentation software to create a visual aid. each slide uses 30-point headings, no more than six bullet points, and black text on a white background with large, dark red and blue paint splashes. she is careful to use animation only to transition to new major points, and subpoints. what has rosa done wrong?

a) her slides are inconsistent.

b) her slides contain too much information.

c) her slides are too busy.

d) her information is too small.

e) she is using too much animation

Answers

Rosa has prepared a very well presentation but the only mistake she did is that her slides contain too much information.

What are the basic points to be considered while making presentation?

First and foremost point to be consider for making the presentation is that- introduction, body and conclusion must be there.

Too much information should not be added on a single slide. It must have some images as well for the attraction.

The ideas added in the presentation must have the clarity.

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Technician A says that an air chisel is used to dress welds.
Technician B says that paintless dent repair (PDR) tools can be used to remove small dents.
Who is right?
O A only
O Bonly
O Both A and B
Neither Anor B

Answers

Answer:

B

Explanation:

Technician B is right a pdr can be used to remove dents

According to statement, technician b only is correct. Technician B says that paintless dent repair (PDR) tools can be used to remove small dents. Thus, option (b) is correct.

What is Technician?

The term technician is details of a subject or occupation, a computer technician.

Technician is work of repair and expert of work. It is easily handle problem and resolve solution.

As a result, option (b) is correct.

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Other Questions
Use the following data to calculate the cost of common equity raised by selling new shares: D = $1.75; Po = $42.50; g = 7.00% (constant); and F = 5.00%. Select one: O a. 10.77% O b. 11.33% O c. 11.90% O d. 12.50% Oe. 13.12% Which of the following statements is correct? Shortage costs and carrying costs do not help to determine the optimal investment levels in current assets and therefore, they are not helpful to managers. With the maturity matching strategy, all fixed assets are funded with short-term financing. All the answers are correct. With the maturity matching strategy, all seasonal working capital needs are funded with long-term borrowing. The cash conversion cycle represents the length of time between the cash outflow for materials and the cash inflow from sales. using the definition of compactness (i.e. you should not use the heine-borel theorem), show that the finite union of compact sets is compact. Zymase is a biotechnology startup firm. Researchers al Zymase must choose one of three different research strategies. The payolls (after-lax) and their likelihood for each strategy are shown here. The risk of each project is diversiable a. Which project has the highest expected payoff? b. Suppose Zymase has debt of $35 million due at the time of the project's payoff. Which project has the highest expected payoff for equity holders? c. Suppose Zymage has debt of $110 million due at the time of the projects payoff. Which project has the highest expected payoff for equity holders? d. If management chooses the strategy that maximizes the payoff to equity holdiers, what is the expected agency cost to the fire from having $35 million in debt diue? What is the expected agency cost to the firm from having $110 million in thebt due? a. Which project has the highest expected payoff? The project with the highest expected payaff is: a. Project Ab. Project Bc. project C EXTERNAL TOOL Course Access Which of the following quotes from the president's speech best explains the goals of the Great Society? "It demands an end to poverty and racial injustice, to which we are totally committed in our time." "Many of you will live to see the day, perhaps 50 years from now, when there will be 400 million Americans- "The water we drink, the food we eat, the very air that we breathe, are threatened with pollution. Our parks ar *Nearly 54 million-more than one quarter of all America-have not even finished high school."