If you needed to put a new roof on your house and didn’t have the money in an emergency fund to pay for it, which home loan type would make the most sense?

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Answer 1

If you needed to put a new roof on your house and didn’t have the money in an emergency fund to pay for it, a home equity loan or home equity line of credit (HELOC) might make the most sense.

What are these loans?

These loan types allow you to borrow against the equity in your home, which is the difference between the value of your home and the amount you owe on your mortgage.

A home equity loan provides a lump sum of money that you can repay over a fixed period of time with a fixed interest rate. On the other hand, a HELOC works more like a credit card, where you have access to a line of credit that you can draw from as needed, and you only pay interest on the amount you borrow.

It's important to note that using your home equity as collateral can be risky, as you're essentially putting your home up as security for the loan.

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A dividend yield of 10% says that, for each dollar we invest, we get _____cents in dividends.

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A dividend yield of 10% says that, for each dollar we invest, we get  $100 cents in dividends.

When investing in stocks, one of the ways to earn a return on your investment is through dividends. A dividend is a portion of a company's profits that is paid out to its shareholders. The dividend yield is a measure of how much a company pays out in dividends relative to its stock price. In this response, we will explain how to calculate the amount of dividends you can expect to receive based on a given dividend yield.

Detailed explanation:

The dividend yield is expressed as a percentage and is calculated by dividing the annual dividend paid per share by the current market price per share. For example, if a company pays an annual dividend of $1 per share and its current stock price is $10 per share, the dividend yield would be 10% ($1 ÷ $10).

To calculate the amount of dividends you can expect to receive based on a given dividend yield, you need to know how much money you are planning to invest. Let's say you plan to invest $1,000 in a company with a dividend yield of 10%. To calculate how much you can expect to receive in dividends, you would follow these steps:

Convert the dividend yield from a percentage to a decimal by dividing by 100. In this case, the dividend yield is 10%, so the decimal equivalent is 0.10.

Multiply the amount you plan to invest by the decimal equivalent of the dividend yield. In this case, $1,000 x 0.10 = $100.

Therefore, if you invest $1,000 in a company with a dividend yield of 10%, you can expect to receive $100 in dividends.

It's important to note that dividend yields can change over time based on a variety of factors, including changes in a company's profits and changes in its stock price. Additionally, not all companies pay dividends, and some may pay a lower or higher dividend yield than others. When making investment decisions, it's important to consider all of these factors and to do thorough research before investing in any company.

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: QUESTION 2 If you make quarterly deposits for 22 years (beginning one quarter from now) into an account that compounds interest at 1% per month, the value of n in the F/A factor (for determining Fat the end of the 22-year period),

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The answer is 88.

To determine the value of n in the F/A factor, we need to calculate the total number of quarterly deposits over 22 years. Since there are four quarters in a year, the total number of quarters is 22 x 4 = 88.

The F/A factor is used to calculate the future value of a series of equal periodic payments (such as quarterly deposits) over a certain period of time. In this case, we have quarterly deposits for 22 years, with interest compounding at a rate of 1% per month.

By calculating the total number of quarterly deposits, we can determine the value of n in the F/A factor, which will allow us to calculate the future value of the deposits at the end of the 22-year period.

The F/A factor is a financial calculation that is used to determine the future value of a series of equal periodic payments (such as quarterly deposits) over a certain period of time. The formula for the F/A factor is F/A = ((1 + i)^n - 1) / (i), where i is the interest rate per period and n is the total number of periods.

In this case, we have quarterly deposits for 22 years, with interest compounding at a rate of 1% per month. To determine the value of n in the F/A factor, we need to calculate the total number of quarterly deposits over the 22-year period.

Since there are four quarters in a year, the total number of quarters is 22 x 4 = 88. Therefore, the value of n in the F/A factor is 88.

By plugging this value into the F/A factor formula, along with the interest rate and the amount of the quarterly deposits, we can calculate the future value of the deposits at the end of the 22-year period.

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To determine the value of n in the F/A factor for making quarterly deposits for 22 years into an account that compounds interest at 1% per month, we need to find the total number of quarters during the 22-year period.

Step 1: Convert 22 years to quarters
Since there are 4 quarters in a year, we can multiply the number of years by 4:
22 years * 4 quarters/year = 88 quarters

Step 2: Determine the number of compounding periods
Since interest is compounded monthly and deposits are made quarterly, we need to find the total number of months in the 88 quarters:
88 quarters * 3 months/quarter = 264 months

Therefore, the value of n in the F/A factor for this scenario is 264 months.

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What is the non directive approach to Interviews

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The non-directive approach to interviews is a type of qualitative research method that emphasizes the exploration of a participant's experiences and perspectives without imposing any predetermined categories or concepts.

In this approach, the interviewer takes a non-directive role, allowing the participant to lead the conversation and share their thoughts, feelings, and experiences in their own words.The non-directive approach is based on the belief that participants are the experts on their own experiences and that their subjective viewpoints are valuable in understanding complex phenomena. The interviewer's role is to create a safe and supportive environment that encourages the participant to share their experiences in a meaningful way.

The non-directive approach is often used in fields such as psychology, sociology, and anthropology to explore a range of topics, including mental health, social issues, and cultural practices. It is a useful method for gaining insight into the lived experiences of participants and can provide rich and detailed data that can be used to inform theory and practice.

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6.9. Emergency exits in buildings often require the use of A. knurled knobs.
B. lever handles.
C. panic hardware.
D. fusible links.

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The correct answer to the question is C. Panic hardware is commonly used on emergency exits in buildings.

An exit access must always be at least 28 inches wide. The width of the exit and exit discharge must be at least equal to the width of the exit access when there is only one exit access leading to the exit or exit discharge. Things that extend into the exit must not make it narrower. Emergency exits are crucial because they offer a clear, secure means to leave a facility in the event of an emergency or tragedy. During a disaster or crisis, first responders like the fire department or police may also use emergency exits to enter a structure.

Fusible links, on the other hand, are used in fire suppression systems to trigger the release of water or other extinguishing agents in the event of an emergency.

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#4 In an article in the American Free Press, Professor Peter Spencer of New York University in England is quoted as saying: " This printing of money will keep the deflation wolf from the door. In the same article, Ambrose Evans-Pritchard, a writer for the London-based newspaper The Telegraph, is quoted as saying, "Deflation has insidious traits. It causes shoppers to hold back. Once this psychology gains a grip, it can gradually set off a self-feeding spiral that is hard to stop." a. What is deflation? b. Why would the printing of money keep the "deflation wolf from the door"? c. Why would deflation cause "shopper to hold back and why would this cause a "self- feeding spiral"?

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a. Deflation is a situation where the general level of prices for goods and services in an economy is falling over time, leading to a decrease in the purchasing power of money.

b. The printing of money can keep the deflation wolf from the door because it increases the money supply in the economy, which can stimulate demand for goods and services, leading to an increase in prices. This increase in prices can prevent deflation from occurring.

c. Deflation causes shoppers to hold back because they expect prices to fall further in the future, so they delay their purchases. This delay in purchasing reduces demand for goods and services, leading to a decrease in prices, which further reinforces the expectation of falling prices. This creates a self-feeding spiral where falling demand leads to falling prices, which leads to even lower demand and lower prices. This spiral is hard to stop because it becomes a self-fulfilling prophecy where everyone expects prices to fall, so they hold back on spending, which causes prices to fall further.

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Fearing that the boom market would end, what did some investors do? What happened as cause of thus?

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Some investors may grow uneasy and worry that the market may eventually decline during a boom market when stock prices are soaring. Because of this, some investors may choose to sell their shares or cut back on their market exposure in preparation for a slump.

A drop in demand might result from a considerable number of investors selling their stock, which can lower stock prices. A market downturn or correction may result from this selling pressure, which might start a domino effect of additional selling.

Investor conduct can lead to the precise result they are attempting to avoid in this phenomena, which is frequently referred to as a "self-fulfilling prophesy." if enough stockholders sell their shares in response to their worries.

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points) Using the data, the following equation was obtained by OLS:rantens = 2.613+.00030 sales +.0000000070 sales? (.429) (.00014) (.0000000037) n=32, R2 = 1484 The variable rdintens is expenditures on research and development (R&D) as a percentage of sales. Sales are measured in millions of dollars. Define salesbil as sales measured in billions of dollars: salesbil=sales/1,000. Rewrite the estimated equation with salesbil and salesbil^2 as the independent variables. Fill in the following blanks in the rewritten equation. rdintens = 2.613 + [blankl]salesbil + [blank2]salesbil (0.429) ([blank3]) ([blank4]) n=32, R2 = [blank5] =

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The R-squared value of 0.1484 suggests that the model explains only 14.84% of the variance in rdintens, indicating that there may be other factors that influence expenditures on research and development apart from sales.

To rewrite the estimated equation with salesbil and salesbil^2 as independent variables, we need to substitute sales with salesbil and include an additional term for salesbil^2.

salesbil = sales/1,000

salesbil^2 = (sales/1,000)^2

Substituting the above expressions in the estimated equation, we get:

rdintens = 2.613 + 0.3 salesbil + 7.0e-9 (salesbil^2)

(0.429) ([blank3]) ([blank4]) n=32, R2 = [blank5]

The coefficient for salesbil is 0.3, which means that a one-unit increase in salesbil is associated with a 0.3-unit increase in rdintens, holding all other variables constant.

The coefficient for salesbil^2 is 7.0e-9, which is a very small number. This implies that the effect of salesbil^2 on rdintens is negligible.

The standard errors for both coefficients are not provided in the rewritten equation, as they depend on the values of salesbil and salesbil^2.

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Q#1 1. How Risk-Sharing Finance and the Role of Public Policy is significant in Islam. explain with an example. (1 Mark) Q# 2 In maturity period, what is the dividend rate in conventional economy ? (2 Marks) Q#3 Does the method of deficit financing by issuing common stocks is accepted by Islamic framework? (2 Marks)

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1. The importance of risk-sharing finance stems from its compatibility with the shared responsibility and fairness concepts. 2. There is no set rate for dividends. 3. Yes, it is acceptable.


1: Risk-sharing finance is significant in Islam because it aligns with the principles of fairness and shared responsibility. In Islamic finance, profit and loss are shared between parties to ensure equitable outcomes. Public policy plays a role in creating a supportive environment for risk-sharing financial instruments. For example, Islamic banks offer profit-sharing investment accounts, where investors and the bank share profits and losses, encouraging ethical investments and minimizing risk.

2: In a conventional economy, the dividend rate during the maturity period varies depending on the company's performance and its dividend policy. There's no fixed rate, and it may change over time based on factors like profits, future investment needs, and overall economic conditions.

3: Deficit financing through issuing common stocks is accepted by the Islamic framework, provided it follows Islamic principles such as avoiding interest (riba) and engaging in permissible (halal) businesses. Issuing stocks enables businesses to raise capital while allowing investors to share in both profits and losses, promoting fairness and risk-sharing in line with Islamic teachings.

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1) In studying the legal environment of business, Professor Dooley’s students review ethics in a
business context. Ethics includes the study of what constitutes:
a. fair or just behavior.
b. financially rewarding behavior.
c. legal behavior.
d. religious behavior.

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Fair or just behavior. In the context of business, ethics refers to the principles, values, and beliefs that govern the behavior of individuals and organizations in the business environment. The answer is A.  

Although financial and legal considerations play a significant role in business decision-making, making ethical decisions involves prioritizing fairness, justice, and moral righteousness, even when such decisions may not result in financial gain or be legally required. Ethical behavior in business is determined by a set of moral values, such as integrity, honesty, and respect for others, that go beyond financial and legal factors, making options b, c, and d incorrect.

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The real interest rate is the difference between __________ and __________. A) the interest rate on a loan; the inflation rate B) nominal interest rate; depreciation C) inflation rate; GDP deflator D) frictional inflation rate; structural inflation rate

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The real interest rate is the difference between interest rate on a loan and inflation rate, the correct option is (a).

The "Real" interest-rate is defined as the difference between the interest rate on a loan and the inflation rate.

The "interest-rate" on a loan is the amount that a borrower pays to a lender as a fee for borrowing the money, it is expressed as a percentage of the amount borrowed.

The "inflation-rate", is defined as rate at which the general "level-of-prices" for goods and services rising over a period of time.

If "nominal-interest-rate" is higher than inflation rate, then real interest rate will be positive. Conversely, if nominal interest rate is lower than inflation rate, then real interest rate will be negative.

Therefore, the correct option is (a).

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The Herfindahl-hirschman index is calculated by taking ___________, squaring it, and adding them up to get a total.

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The Herfindahl-Hirschman Index (HHI) is calculated by taking the market share of each firm in an industry, squaring it, and adding them up to get a total.

To calculate the HHI, follow these steps:
1. Identify the market shares of all firms in the industry, expressed as percentages.
2. Square the market share of each firm.
3. Add the squared market shares to get the HHI.

The HHI measures the level of competition in a market, with a lower value indicating more competition and a higher value suggesting more concentration.

This index ranges from 0 to 10,000, where 0 represents perfect competition and 10,000 represents a monopoly. Regulators often use the HHI to assess market concentration and potential anti-competitive behavior.

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laboratory research has demonstrated that attaching an affirmative action label to an employee results in

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Laboratory research has demonstrated that attaching an affirmative action label to an employee results in sentiments of hostility towards the employee leads to job stress.

What is hostile attitude in the workplace?

According to the Legal Dictionary, "hostile work environment" is formally defined as "unwelcome or offensive behavior in the workplace, which causes one or more employees to feel uncomfortable, scared, or intimidated in their place of employment."

What Is Job Stress?

Job stress can result in ill health and even injury and is defined as the detrimental physical and emotional reactions that arise when the demands of the job do not meet the worker's abilities, resources, or needs.

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The writer has found new information about the high cost of building artificial islands. According to the current line of reasoning, where is the best place to include this information in the passage?

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The best place to include the new information about the high cost of building artificial islands would be in the paragraph where the writer discusses the potential drawbacks of building artificial islands.

The writer could add a new sentence or a short paragraph to elaborate on the financial burden of constructing artificial islands. Including this information in the drawbacks paragraph would make logical sense since the high cost of construction is certainly a significant disadvantage of building artificial islands. This information would help provide a more balanced and comprehensive overview of the potential benefits and drawbacks of artificial island development.

By placing the information in the appropriate section, the writer can ensure that the passage flows smoothly and that the reader gains a clear understanding of the topic at hand. Ultimately, this will help the writer effectively communicate their ideas and make a stronger overall argument.

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Which of the following describes the relationship that should exist between a strategy and structure of a company such as Sony?1-Strategy is more important2-Struture is more important3-The relationship is reciprocal4-Strategy and structure are not related

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Option 3: The phrase "relationship is reciprocal" refers to the relationship that ought to exist between a company's strategy and organisational design, like Sony's.

Like Sony's organizational structure, a company's strategy should be designed to complement it, and changes to one may require changes to the other to maintain alignment.

Strategy and structure are therefore interdependent and both are essential. The connection between strategy and structure is essential to ensuring the efficient and effective implementation of the company's goals and objectives. The strategy outlines the long-term goals, objectives, and strategies the organisation will use to achieve them.  On the other side, the term "structure" describes how an organization is set up, including how resources are distributed, who makes decisions, and how information is communicated.

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Now suppose that instead of a front-end load, the fund assesses a 12b-1 fee of 0.8% per year (note: in addition to the 12b-1 fees, the fund still charges an annual expense fee of 0.5%). What annual rate of return must the fund portfolio earn for you to be better off in the fund than in the CD?

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The fund portfolio must earn an annual rate of return of at least 3.3% for you to be better off in the fund than in the CD.

To determine the annual rate of return the fund portfolio must earn for you to be better off in the fund than in the CD, we need to consider the impact of the 12b-1 fee and the annual expense fee on the fund's performance.
First, we need to calculate the total fees that you would pay to invest in the fund. Assuming you invest $10,000, the 12b-1 fee would be 0.8% of $10,000, or $80 per year, and the annual expense fee would be 0.5% of $10,000, or $50 per year. Therefore, the total fees you would pay to invest in the fund would be $130 per year.
Next, we need to compare the performance of the fund and the CD. Let's assume that the CD offers an annual interest rate of 2%. To be better off in the fund than in the CD, the fund portfolio must earn an annual rate of return that exceeds the CD's interest rate plus the fees you would pay to invest in the fund.
So, the minimum annual rate of return the fund portfolio must earn can be calculated as follows:
Minimum annual rate of return = CD interest rate + total fees you would pay to invest in the fund
Minimum annual rate of return = 2% + 1.3% (0.8% 12b-1 fee + 0.5% annual expense fee)
Minimum annual rate of return = 3.3%
Therefore, the fund portfolio must earn an annual rate of return of at least 3.3% for you to be better off in the fund than in the CD.

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The underlying, overall message that people get from a business communication is called the ___ message of the communication

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The underlying, overall message that people get from a business communication is called the subliminal message of the communication.

This message is often implicit and may not be immediately obvious or explicitly stated in the communication. However, it is conveyed through the tone, language, and nonverbal cues used in the communication.
The subliminal message of a communication can have a significant impact on how the communication is received and interpreted by the audience. For example, if the subliminal message of a business communication is negative or critical, it may undermine the effectiveness of the communication and even damage the reputation of the business.
On the other hand, if the subliminal message of a business communication is positive, supportive, and encouraging, it can enhance the effectiveness of the communication and improve the relationship between the business and its audience.
To ensure that the subliminal message of a business communication is aligned with the intended message, it is important to carefully consider the language, tone, and nonverbal cues used in the communication. Additionally, it is essential to consider the audience and their perspective to ensure that the subliminal message is relevant and meaningful to them.
In summary, the subliminal message of a business communication is the underlying, overall message that people get from the communication. It is conveyed through the tone, language, and nonverbal cues used in the communication and can have a significant impact on how the communication is received and interpreted by the audience.

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consider the following price and dividend data for quicksilver inc.: date price ($) dividend ($) december 31, 2019 $12.50 january 26, 2020 $13.76 $0.24 april 28, 2020 $9.14 $0.24 july 29, 2020 $10.74 $0.24 october 28, 2020 $8.02 $0.24 december 30, 2020 $7.72 assume that you purchase quicksilver's stock at the closing price on december 31, 2019 and sold it after the dividend had been paid at the closing price on january 26, 2020. what is your total rate of return for this period?

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Your total rate of return for this period is 10.48%.

To calculate the total rate of return for the period, we need to consider the change in the stock price and the dividends received.

In this case, you purchased the stock at the closing price on December 31, 2019, which was $12.50 per share. You then sold it after the dividend had been paid at the closing price on January 26, 2020, which was $13.76 per share.

During this period, Quicksilver paid a dividend of $0.24 per share. Since you held the stock during the dividend payment period, you are entitled to receive this dividend.

So, the total rate of return can be calculated as follows:

Total Rate of Return = (Ending Price + Dividend - Beginning Price) / Beginning Price

= ($13.76 + $0.24 - $12.50) / $12.50

= 0.1048 or 10.48%

Therefore, your total rate of return for this period is 10.48%.

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In a command economy, producers have all the choice about what goods and services to produce. True/ False

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"In a command economy, producers have all the choice about what goods and services to produce." This is false.

A command economy is a crucial component of a political system in which the degree of output that is permitted and the prices that may be paid for goods and services are set by a central governing body. Most industries are owned by the public. The principal alternative to a command economy is a free market economy where supply and demand determine prices and output.

A communist political system includes a command economy, whereas capitalist countries have a free market. Government control, as opposed to private enterprise, according to proponents of command economies, can guarantee a just distribution of goods and services.

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An initial meeting between the salesperson and a prospect designed to stimulate interest and building a foundation for working relationship is known as the ________ stage of the personal selling process.

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The initial meeting between the salesperson and a prospect, designed to stimulate interest and build a foundation for a working relationship, is known as the "prospecting and qualifying" stage of the personal selling process.

In this stage, the salesperson identifies potential customers who may be interested in their product or service, typically by gathering information about their needs, preferences, and financial status. The goal is to determine whether the prospect has the potential to become a valuable customer.

This stage is crucial as it helps the salesperson establish a strong foundation for a successful working relationship and lays the groundwork for future communication and sales presentations.

By effectively prospecting and qualifying prospects, salespeople can save time, effort, and resources, focusing on those who are most likely to make a purchase and contribute to the company's success.

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assume a firm has earnings before depreciation and taxes of $200,000 and no depreciation. it is in a 25 percent tax bracket.a. compute its cash flow.

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The cash flow of the firm is $150,000.

Tax Liability = Tax Rate x EBDT

Tax Liability = 0.25 x $200,000

Tax Liability = $50,000

Next, we can calculate the firm's cash flow by adding back depreciation and subtracting the tax liability from EBDT:

Cash Flow = EBDT + Depreciation - Tax Liability

Cash Flow = $200,000 + 0 - $50,000

Cash Flow = $150,000

Cash flow is the movement of cash in and out of a business, reflecting the amount of money a company generates, spends, and holds over a period of time. It's a crucial financial metric that indicates the health of a business and its ability to meet financial obligations such as paying bills, salaries, and investing in growth opportunities.

Positive cash flow occurs when a company has more cash coming in than going out, while negative cash flow happens when more cash is flowing out than coming in. In addition, cash flow can be classified into three categories: operating, investing, and financing activities. Operating cash flow is generated from the company's main business activities, such as sales revenue and expenses. Investing cash flow reflects the purchase or sale of long-term assets while financing cash flow shows changes in debt, equity, and dividend payments.

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Inventory control defines how often inventory levels are reviewed to determine when and how much to order

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The process of monitoring and maintaining proper stock levels in order to satisfy consumer demand while reducing expenses is known as inventory control.

The frequency with which inventory levels are checked in order to decide when and how much to order is one component of inventory control. The sort of business, the products sold, and the patterns of demand for those products will all have an impact on how frequently inventory is reviewed.

A company that sells perishable goods, for instance, might need to check inventory levels more frequently to make sure that stock doesn't run out, whereas a company that sells non-perishable goods might only need to check inventory levels once a week or once a month.

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In what type of method are annual performance goals established jointly between the manager and employee? A: Productivity measurement and evaluation systems B: MBO C: Assessment centers D: Critical incidents E: OB modification

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The type of method where annual performance goals are established jointly between the manager and employee is MBO or Management by Objectives. The answer is B.

MBO is a goal-setting process where both the manager and employee identify and set objectives together. These objectives are then used as a basis for evaluating employee performance.

The MBO process involves setting specific, measurable, achievable, relevant, and time-bound (SMART) goals that align with the company's overall objectives. By setting goals together, managers and employees can ensure that everyone is working towards the same objectives, and employees are more likely to be motivated to achieve them.

MBO is a popular method of performance management as it promotes a collaborative approach to goal-setting, allows for regular feedback and communication, and can help to align individual and organizational goals.

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company z has 50,000 shares of common stock outstanding that sells for $10 per share, and its cost of common equity is 12%. the company also has 400 bonds outstanding that sell at par ($1000) and make semi-annual coupon payments of $30. preferred stock outstanding for the company sells at $25 per share, has a $2.50 annual dividend, and there are 4000 shares outstanding. ignoring taxes, what is the company's wacc?

Answers

The Weighted Average Cost of Capital (WACC) is a calculation used to determine the cost of a company's financing. It takes into account the different types of financing a company has, such as debt, equity, and preferred stock.
The company's WACC (Weighted Average Cost of Capital) is 9.83%.

To calculate the WACC, we need to determine the market values and weights for each component (common equity, bonds, and preferred stock), and then multiply them by their respective costs. Finally, we sum up the results to get the WACC.
Step 1: Calculate the market values:
- Common stock: 50,000 shares * $10 per share = $500,000
- Bonds: 400 bonds * $1000 per bond = $400,000
- Preferred stock: 4,000 shares * $25 per share = $100,000
Step 2: Calculate the total market value:
Total market value = $500,000 + $400,000 + $100,000 = $1,000,000
Step 3: Calculate the weights:
- Common stock: $500,000 / $1,000,000 = 0.50
- Bonds: $400,000 / $1,000,000 = 0.40
- Preferred stock: $100,000 / $1,000,000 = 0.10
Step 4: Calculate the cost of bonds:
Annual coupon payment = $30 * 2 = $60
Cost of bonds = $60 / $1000 = 0.06 or 6%
Step 5: Calculate the cost of preferred stock:
Cost of preferred stock = $2.50 / $25 = 0.10 or 10%
Step 6: Calculate the WACC:
WACC = (0.50 * 0.12) + (0.40 * 0.06) + (0.10 * 0.10) = 0.06 + 0.024 + 0.01 = 0.0983 or 9.83%

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What would be the BEST investment recommendation for a single mother who is in a low tax bracket who wishes to start saving for her young child's college education?a. municipal bondsb. treasury billsc. growth stocksd. speculative stocks

Answers

The best investment recommendation for a single mother who is in a low tax bracket and wishes to start saving for her young child's college education would be municipal bonds.

Municipal bonds are tax-exempt, which means that the investor will not have to pay federal income tax on the interest earned. This is especially beneficial for individuals in lower tax brackets. Additionally, municipal bonds are generally considered a safer investment than growth or speculative stocks, making them a more reliable option for long-term savings goals. Treasury bills could also be a good option for low-risk, short-term savings, but they offer lower returns than municipal bonds. Growth stocks and speculative stocks are higher risk investments and may not be suitable for someone looking to save for a specific future goal.

The BEST investment recommendation for a single mother in a low tax bracket wishing to save for her child's college education would be a combination of growth stocks and treasury bills. Growth stocks provide potential for capital appreciation over time, while treasury bills offer a lower risk investment with guaranteed returns. Municipal bonds and speculative stocks may not be suitable due to their risks and lower potential returns for someone in a low tax bracket.

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which fiscal policy action, changing government spending or changing income taxes, is more effective in closing the output gap? explain.

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The effectiveness of fiscal policy in closing the output gap depends on the specific economic conditions at the time. However, in general, changing government spending is considered to be more effective in closing the output gap than changing income taxes.

This is because changes in government spending directly impact the demand for goods and services, which can increase economic activity and ultimately close the output gap. On the other hand, changes in income taxes may have a more indirect effect on demand, as they impact consumer spending and investment decisions. Additionally, changes in income taxes may take longer to have an effect, as consumers may not immediately adjust their spending behavior in response to tax changes. Ultimately, the effectiveness of fiscal policy in closing the output gap will depend on a variety of factors, including the size of the gap, the level of government spending and taxation, and the overall state of the economy.

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Question 3 0/2 pts According to Lawrence and Weber, the instrumental argument says stakeholder management is A more realistic description of how companies really work. Determined by the amount of stock owned in the firm. Ethicaly the right thing to do. More effective as a corporate strategy.

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According to Lawrence and Weber, the instrumental argument for stakeholder management suggests that it is more effective as a corporate strategy. This perspective highlights the benefits of managing stakeholder relationships in terms of improved business performance and long-term success.

Lawrence and Weber argue that the instrumental argument for stakeholder management is that it is a more realistic description of how companies really work. This approach considers stakeholders beyond just shareholders and acknowledges their influence on the company's success. It also recognizes that taking care of stakeholders' interests can lead to more effective corporate strategies.

This approach is not determined by the amount of stock owned in the firm, but rather by a consideration of all the stakeholders involved. Furthermore, Lawrence and Weber argue that this approach is not only effective as a corporate strategy but is also ethically the right thing to do.

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The three big costs for the bottle of beer are sales and marketing, tax, and

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The three big costs for the bottle of beer are sales and marketing, tax, and production.

Sales and marketing costs include advertising, promotions, and sales commissions. These expenses are incurred to create demand for the product and to persuade customers to buy it. Tax costs vary by location and can include excise taxes, sales taxes, and other fees.

Production costs include raw materials, labor, equipment, and utilities required to produce the beer. These costs can be influenced by various factors such as the quality of ingredients used, the type of equipment utilized, and the efficiency of production processes.

Together, these three costs make up a significant portion of the total cost of a bottle of beer. However, other costs such as transportation, packaging, and distribution can also contribute to the overall cost.

Ultimately, the price of a bottle of beer is determined by the combination of these various costs, as well as other factors such as supply and demand and competition in the marketplace.

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Of a random sample of 209 marketing students 91 rated a case of résumé inflation as unethical Based on this information, a statistician computed for the population proportion a confidence interval extending from 0.387 to 0.483. What is the confidence level of this interval? Click the icon to view the standard normal table of the cumulative distribution function 26 The confidence level of this interval is (Round to two decimal places as needed)

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The confidence level of the given interval is 90%.

The confidence interval given in the problem is (0.387, 0.483). We can use the formula for the margin of error to find the sample proportion and the standard error of the sample proportion.

The margin of error formula is:

margin of error = z * standard error

where z is the z-score corresponding to the desired confidence level, and the standard error is:

standard error = sqrt(p*(1-p)/n)

where p is the sample proportion, and n is the sample size.

Using the midpoint of the confidence interval as the point estimate, we have:

point estimate = (0.387 + 0.483) / 2 = 0.435

Substituting this into the standard error formula, we get:

standard error = sqrt(0.435*(1-0.435)/209) = 0.042

To find the z-score corresponding to the confidence level, we can use a standard normal table.

Looking up the area to the right of z, we find that for a two-tailed test, the area to the right of z is 0.05.

This means that the area to the left of z is (1-0.05)/2 = 0.475. Looking up the z-score corresponding to this area, we find that z = 1.96.

Substituting these values into the margin of error formula, we get:

0.05 = 1.96 * 0.042

Solving for the confidence level, we get:

confidence level = 1 - 2 * 0.05 = 0.90

Therefore, the confidence level of the interval is 0.90 or 90%. This means that if we were to repeat the sampling process many times, 90% of the intervals we construct would contain the true population proportion.

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Which of the following types of activities between businesses would be considered illegal in the United States? Select all that apply. a. The cable television providers Comcast and Charter Communications agree not to compete in certain geographic regions of the coutry. b. Delta, United, Southwest, and American airlines agree to restrict the number of flights they offer each day domestically in the United States. c. Delta Airlines and Coca-Cola sign a contract to make Coca-Cola the exclusive provider of soft drinks on Delta flights. d. Archer Daniels Midland and the Japanese firm Ajinomoto agree to raise the price on lysine, an additive used in livestock feed.

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According to U.S. antitrust laws, options (a), (b), and (d) would be considered illegal activities between businesses, while option (c) would not.

Option (a) describes a form of market allocation where competitors agree to divide up territories in order to avoid competition. This is a violation of antitrust laws that prohibit agreements that restrain trade.

Option (b) describes a form of price fixing where competitors agree to limit the supply of a good or service in order to raise prices. This is also a violation of antitrust laws.

Option (c) describes an exclusive dealing agreement where a supplier agrees to provide goods or services exclusively to a buyer. While such agreements can be anti-competitive, they are not necessarily illegal under U.S. antitrust laws.

Option (d) describes a form of price fixing where competitors agree to set prices at a certain level. This is also a violation of antitrust laws.

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Sinking funds are commonly viewed as protecting the _______ of the bond.
issuer
underwriter
holder
dealer

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Sinking funds are a common feature of bond issues that are intended to provide an added measure of security to bondholders.

Sinking funds are commonly viewed as protecting the principal of the bond issue. The principal refers to the initial amount of money that the issuer borrows from the bondholder. It is the amount that the bondholder expects to be repaid at maturity, along with any interest that has accrued over the life of the bond.

A sinking fund works by requiring the issuer to set aside a certain amount of money each year or at regular intervals over the life of the bond. This money is held in reserve and can be used to retire a portion of the outstanding bonds. This reduces the amount of principal outstanding, which reduces the risk of default for the remaining bondholders.

For example, suppose a company issues a bond with a face value of $1,000 and a term of 10 years. The company may include a sinking fund provision that requires them to set aside $50 per year for the life of the bond. At the end of 10 years, the company will have accumulated $500 in the sinking fund. If the company decides to use this money to retire some of the outstanding bonds, the remaining bondholders will have less principal outstanding, which reduces the risk of default.

In summary, sinking funds are a way for bond issuers to provide an added measure of security for bondholders. By requiring the issuer to set aside money each year, sinking funds reduce the risk of default on the bond and protect the principal of the bond issue.

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