Using the Dividend Discount Model (DCF) approach, the cost of common equity for Callahan Technologies Inc. can be calculated as the sum of the expected dividend yield and the expected growth rate of earnings, divided by the current stock price.
Cost of common equity = ($2.00 + ($29.50 x 1.06)) / $28.75 = 11.84%.
Using the Capital Asset Pricing Model (CAPM) approach, the cost of common equity for Callahan Technologies Inc. can be calculated as the sum of the risk-free rate and the product of the firm's beta and the market risk premium.
Cost of common equity = 3% + (0.80 x (14% - 3%)) = 10.20%.
Using the bond-yield-plus-risk-premium approach, the cost of common equity for Callahan Technologies Inc. can be estimated as the sum of the bond yield and the midpoint of the risk premium range.
Cost of common equity = 12% + ((14% - 12%) / 2) = 13%.
If we have equal confidence in the inputs used for the three approaches, the average of the three estimates can be taken as the best estimate of Callahan's cost of common equity. Thus, the average of the results from the DCF, CAPM, and bond-yield-plus-risk-premium approaches is (11.84% + 10.20% + 13%) / 3 = 11.68%.
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A cloud database is a type of database developed on a ________ platform and retrieved by a cloud platform.
Multiple Choice
paper
desktop computer
integrated
cloud
A cloud database is a type of database that is developed on a cloud platform and retrieved through a cloud computing platform.
Cloud databases are designed to run on a cloud computing infrastructure, which allows them to be highly scalable and accessible from anywhere with an internet connection.Cloud databases can be created and managed using various cloud computing platforms such as
Amazon Web Services (AWS), Microsoft Azure, and Cloud Platform. These platforms provide the necessary infrastructure and services for creating and managing cloud databases.
Cloud databases offer several advantages over traditional databases, including increased scalability, availability, and reduced cost. They can handle large amounts of data and support high levels of concurrency, making them ideal for applications that require high performance and availability.
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When deciding where and how many ads to run in the digital age, what do advertisers have to consider most?
oa. customer fatigue with commercials
ob.
dilution of the brand across commercials
oc.
poor economy of scale in advertising
o d.
lack of interest in products
While deciding about where and how many ads needed to be run through digital advertising, the advertisers must consider the customer fatigue associated with their commercials.
Option A is the correct answer.
Who is a customer?A customer is an individual who acquires a product from the market through an ad telecasted on electronic devices.
Customer fatigue arises when the customers are losing interest in the advertisements of the company as the ads repetitively come on every digital device. it is important for the advertisers to decide on which medium they are required to advertise their ads and how many ads needed to be advertised so that the interest of the public cannot lose over it.
Therefore, customer fatigue needs to be considered when making a decision about where and how many ads need to advertise.
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imagine that a country has 870.2 million people employed, 60 million people unemployed, 12 million people in prison, and 30 million people younger than age 16. what is the country's unemployment rate?
6.45 percent is the country's unemployment rate.
When expressed as a percentage of the labor force, the unemployment rate shows how many individuals are unemployed (the labor force is the sum of the employed and unemployed). By multiplying (Unemployed Labor Force) by 100, one may find the unemployment rate.
What equation is used to get the labor force participation rate?The labor force is divided by the total population of people who are working-age to determine the labor force participation rates. Ages 15 to 64 are considered to be the working age population. The percentage of each age group is used to calculate this indicator, which is split down by age.
1946 to 1964. Consider a nation where there are 870.2 million people in employment, 60 million people without jobs, 12 million people incarcerated, and 30 million children under the age of 16. How much unemployment is there in the nation? [60 + 870.2] 100 = 6.45 percent.
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This is a receipt for a purchase made at a restaurant in
Sacramento, California.
The total cost of the food and drinks before taxes was
The buyer paid vin sales tax.
Based on the receipt, Sacramento has a sales tax rate
of
Answer:
10.00 , .85 , 8.5
Explanation:
Answer:
This is a receipt for a purchase made at a restaurant in Sacramento, California.
The total cost of the food and drinks before taxes was
✔ $10.00
.
The buyer paid
✔ $0.85
in sales tax.
Based on the receipt, Sacramento has a sales tax rate of
✔ 8.5%
.
Explain why the sale of used goods is not included in GDP.
Used goods are not included in the current year GDP, as they were already included in the year that they were produced. GDP stands for Gross Domestic Product, and includes the values of goods and services created that year in that specific country alone.
You are considering a 5/1 ARM. What does the 1 represent?
A. The number of years between adjustments in the interest rate
B. The interest rate of the initial fixed-rate loan period
C. The total number of years in the loan D. The number of years that a fixed interest rate will be applied to th loan
Answer: i would say b
Explanation:
A goal is defined as the result or success toward which effort is directed.
O True
O False
Answer:
true
Explanation:
Which of the following is TRUE regarding intermediary sources of capital? (Select all that apply.)A. This category includes investment bankers.B. They can introduce you to other financing sources.C. They are a prime source of early-stage capital.D. They may charge a fee for their services.
A and B are true regarding intermediary sources of capital. This category includes investment bankers, who can introduce you to other financing sources.
However, C is false as intermediary sources of capital are not a prime source of early-stage capital. They are more likely to provide funding for established businesses with a proven track record. Finally, D is also true as intermediary sources of capital may charge a fee for their services, which can include due diligence, underwriting, and advisory services. These fees can vary depending on the complexity of the financing transaction and the amount of capital being raised.
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Suppose real GDP is $14 trillion and potential real GDP is $14.4 trillion. An increase in government purchases of $400 billion would cause real GDP to ________ potential real GDP (assuming a constant price level). Group of answer choices
Answer:
Suppose real GDP is $14 trillion and potential real GDP is $14.4 trillion. An increase in government purchases of $400 billion would cause real GDP to ___equal_____ potential real GDP (assuming a constant price level).
Explanation:
The real Gross Domestic Product (GDP) is the inflation-adjusted estimate of all output produced by the US economy in the current year. On the other hand, the potential real GDP of the United States is the estimate of the inflation-adjusted output that the US economy would produce in the coming period, using its capital and labor resources.
What is the purpose of business law and why is there a need for it?
Answer:
So the money isn’t fraud or stolen/illegal
Answer:
Businesses are motivated by wanting to make money. That money needs to be legal and known that its for profit motived and not stolen
Products in the Blank______ stage of the product life cycle tend to consume a disproportionate share of management and financial resources relative to their future worth.
Answer:decline
Explanation:
products in the DECLINE stage of the product lifestyle tend to consume
what does the going concern concept mean?
A)a business is profitable
B)a business will continue to operate for the foreseeable future
C) the assets of a business exceed its liabilities
D)the assets of a business should be evaluated at disposal value
Answer:
B)a business will continue to operate for the foreseeable future
Explanation:
The concept of 'going concern' means that a business will continue to operate into the foreseeable future. It implies that a business has a long life and is no danger of shutting down or being liquidated.
The going concern concept may be applied when a business is being sold or acquired. When a business is being sold as a going concern, it means that it is being sold as a unit. After the transaction, the business is expected to continue with its operations as normal.
What are the requirements for becoming a judge in Louisiana? Check all that apply. The person must have resided in the district for at least a year. The person must have practiced law for a minimum number of years. The person must not practice law while serving as a judge. The person must serve as a judge for no more than five years. The person must not have previously served on a grand jury.
Amendment requires that due process of law be applied to all citizens. Congress can create new laws and requirements. Through the due proces clause, state governments become bound by the Bill of Rights.
Answer:
acd
Explanation:
edge 2020
profit is the only
Organizational objectives of the business.Do you agree
Explanation:
I agree because without profit what's the use of the business
1. Kwan's annual premium is $1,284.00. He has the choice of paying semi-annually for a $1.00 fee or quarterly for a $2.00 fee. What is his quarterly payment? Is it twice the amount ?
The Harris Company purchased equipment for $15,000 on December 1. It is estimated that annual depreciation on the computer will be $3,000. If financial statements are to be prepared on December 31, the company should make the following adjusting entry
The entry will include Depreciation Expenses for $1,750 and Accumulated Depreciation for $1,750
Here, we are to first calculate the Depreciation expenses while observing that the date runs for 1 month (From December 2 - December 31).
The depreciation expense will equals Annual depreciation of computer * 1/12
Depreciation expense = $3,000 * 1/12
Depreciation expense = $250
The adjusting entry will entails:
Date Account titles and explanation Debit Credit
31 Dec Depreciation expenses $250
Accumulated depreciation $250
(Entry to record depreciation expenses)
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positioning relies on the communication of one or more sources of value to customers in a way that the customer can easily make the connection between the .
Positioning relies on the communication of one or more sources of value to customers in a way that the customer can easily make the connection between the customer's needs and wants and what the products has to offer.
Positioning refers to the development of strategy that helps to influence how a particular market segment perceives a brand, good, or service in comparison to the competition.
Positioning is all about defining a space in the mind of the customer that is, something that your customer thinks of and relates with your product.
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Type the correct answer in the box. Spell all words correctly. Which type of partnership should Adam and Donna choose? Adam and Donna have started their own business of making customized cell phone cases. However, Adam is also involved in another business and is not be able to dedicate time to the new business. He is willing to fund the business but is not able to help Donna in the daily operations. Donna suggests that they follow the partnership business structure.
Answer:
Limited
Explanation:
Australia contains many natural resources and foreign firms often come into Australia to extract them. The profits that those foreign firms make are sent back to their home countries.
GDP in Australia is
A.
smaller than GNP in Australia because the profits that are earned by domestic firms are sent overseas.
B.
smaller than GNP in Australia because the profits that are earned by foreign firms are sent back to their home country.
C.
larger than GNP in Australia because the profits that are earned by foreign firms are sent back to their home country.
D.
larger than GNP in Australia because the profits that are earned by domestic firms are sent overseas.
D. larger than GNP in Australia because the profits that are earned by domestic firms are sent overseas. Australia contains many natural resources and foreign.
firms often come into Australia to extract them. The profits that those foreign firms make are sent back to their home countries. GDP in Australia Gross national product (GNP), the total market value of the final products and services generated by a nation's economy during a given time period (typically a year), calculated before depreciation or consumption of capital utilised in the manufacturing process. It differs from net national product, which is calculated after such a deduction. The GNP is virtually identical to the GDP, except that the latter does not include income generated by citizens of a country from foreign investments (minus the income earned in the domestic economy accruing to nonnationals from abroad).
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Business started by sulav investing cash
RS. 50,000 and bank balance RS. 100,000.
Answer:
particular. l.f. Dr.rs. Cr. rscash A/C. 50,000
BANK A/C 100,000
TO CASH A/C. 150,000
Business started by sulav investing cash Rs. 50,000 and bank balance Rs. 100,000 so the cash account on 150,000.
What is business?
The term “business” refers to earning a profit. The business is taking the risk and earning the profit. The business is mainly focused on the activities of the creation, distribution, and selling of concepts. The businesses are interested in the investment as a future perspective.
According to the business are the started by the investing cash are the bank balance to the bank are the based on the journal entry.
The journal entry on the statement on the business.
Date particular l.f. Dr. Cr.
cash a/c 50,000
Bank a/c 100, 000
To cash a/c 150, 000
As a result, business started by sulav investing cash Rs. 50,000 and bank balance Rs. 100,000 so the cash account on 150,000.
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At the end of the year 2 accounting period, deyoung company determined that the market value of its inventory was $79,800. The historical cost of this inventory was $81,400. Defazio uses the perpetual inventory method. Assuming the amount is material, how will the entry necessary to reduce the inventory to the lower of cost or market affect the elements of the company’s financial statements?.
The entry required to reduce inventory to the lower cost or market affects the financial statements of the company by decreasing total assets, gross margin, and net income of the company.
This can be explained using the concept of Perpetual Inventory. Perpetual inventory system may be defined as the method of estimating and calculating the inventory of the country on a regular basis. This estimation is done by keeping a tract of all the electronic records rather than checking the physical records. The value of any good within the market can change with time and this value needs to be tracked because the goods kept in the inventory for longer time can show a change in value. If the value increases then it results in the profit of company but if the value decreases then it may lead to loss of the company. The method of perpetual inventory keeps record of all these variations in prices of goods.
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Research the meanings of the following white collar crimes on the web and give a
brief meaning using your own words.
Insider trading
Larceny
Forgery
Counterfeit
Answer:
Insider trading - persons who have access to sensitive or important non-public information about a corporation trading its securities
Larceny - the stealing and transporting of personal property without the owner's consent with the purpose to rob like stealing that persons bike shoplifting
Forgery - the fraudulent act of creating, modifying, or imitating (as a document or signature).
Counterfeit - an item that unlawfully utilizes the trademark of another without that person's consent. By producing or offering a fake.
Hope this helped
A company completes construction of a $400 million offshore oil platform and places it into service on January 1. State law requires that the platform be dismantled and removed at the end of its useful life, which is estimated to be 10 years. The company estimates that the cost of dismantling the platform will be $20 million. The discounted value of the liability is $9 million using the company's credit-adjusted, risk-free rate. The company has already capitalized the $400 million construction cost of the platform. What amounts should the company record as liability and expense when the asset is placed into service
Answer:
b. Liability, $9,000,000; expense, $0.
Explanation:
An asset retirement obligation (ARO) refers to an obligation with respect to the acquisition , construction, development, etc. The liability should be recognized the liability at the present value that should be expected to be paid for settling the obligations
Here the $9,000,000 million represents the liability
Also the journal entry is
Asset Dr
To liability
(Being the asset placed is recorded)
There is no expense should be recorded in the income statement
what is the importance of identifying target markets?
Answer:
Identifying a target market allows marketers to focus on those most likely to purchase the product. Limiting the population funnels research and budgets to the customers with the highest profit potential
Which of the following is NOT a responsibility of the Finance department?
A.Obtaining needed funds B.Managing the use of company funds
C.Establishing external relations
D.Creating a financial plan
The statement "developing the external relations" is correct.
The following information related to the responsibility of the Finance department is:
Receiving the funds that are needed.Managing the fund of the company that is used.Developing the financial plan of the organization.Therefore we can conclude that The statement "developing the external relations" is correct.
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Difference between pharmacy and pharmacist ? it's important.
Answer:
a cist works in the pharmacy
managers with a low tolerance for ambiguity and an orientation toward task and technical concerns when making decisions have a behavioral decision-making style. group startstrue or falsetrue, unselectedfalse, unselected
It is true. With a low tolerance for ambiguity, managers who are task- and technical-oriented in decision-making have a behavior-based decision-making style.
They base their decision-making on their own knowledge, experience, and rationale rather than looking to others for information.
Orientation is related to tasks and subjects. Individuals characterized by this style are pragmatic, dictatorial, strict, impersonal, and have a strong desire for power and control.
Analytical managers are characterized by a much higher tolerance for ambiguity and a tendency to overanalyze situations. People with this style prefer to consider more information and alternatives than those who follow the directive style.
Analytical managers are characterized by a much higher tolerance for ambiguity and a tendency to overanalyze situations. Such people are cautious decision makers, slow to make decisions, but adapt well to new and uncertain situations.
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how did Suzy Batiz failures set her up for success?
Answer:
I'm not sure
Explanation:
Not enough explanation.
Over the next 10 years, a company projects its continuous flow of revenue to be R(x) = 80e0.15 thousands of dollars and its costs to be C(x) = 0.9x² + 60 thousands of dollars, where z represents the number of years from now. Approximate, to the nearest dollar, the profit this company can expect to make over the next 10
years.
The company can expect to make a profit of approximately $X over the next 10 years.
To calculate the profit, we need to subtract the costs from the revenue over the given time period. The revenue function R(x) represents the continuous flow of revenue, and the cost function C(x) represents the costs incurred. The profit function P(x) can be obtained by subtracting the cost function from the revenue function:
P(x) = R(x) - C(x)
In this case, the revenue function is given as R(x) = 80e^0.15x, and the cost function is given as C(x) = 0.9x^2 + 60. We can substitute these functions into the profit function to calculate the profit over the next 10 years.
P(x) = 80e^0.15x - (0.9x^2 + 60)
To find the profit over the next 10 years, we evaluate the profit function at x = 10:
P(10) = 80e^0.15(10) - (0.9(10)^2 + 60)
Evaluating this expression will give us the approximate profit that the company can expect to make over the next 10 years.
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the sales department at midwest textiles has been together for years, and when they meet their identified objectives, they move on to new ones. which type of group is the sales department considered to be?
The sales department is classified as a functional group.
A company's sales department is in charge of selling its products or services. A sales team works together to make sales, increase profitability, and build and maintain relationships with customers in order to encourage repeat purchases and brand loyalty.
The sales department is a collection of business activities and processes that enable a sales organization to operate effectively, efficiently, and in accordance with business strategies and objectives. The sales department includes business operations, sales, and sales support.
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