Answer: price will be 42.25 and the percentage price per stock $2.28
Explanation:
current price $7.25
strike price $55
reduce $ 5.50
$55-$7,25 = 47.75
47.75- 5.50 ( expiration date sells)
= 42.25
percentage of interest free = 42.25* 5.5%= 2.28
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in choosing sides concerning ceo duality, two schools of thought exist. which of the following would not be a consideration for the agency theory school of thought? group of answer choices ceo duality complicates the issue of ceo succession. ceo duality reinforces popular doubts about the legitimacy of the corporate governance system as a whole. ceo duality can create conflicts of interest that can negatively affect the interests of the shareholders. firm performance always is improved under ceo duality.
The answer would be "firm performance always is improved under CEO duality."
This statement is not a consideration for the agency theory school of thought because this theory does not assume that CEO duality will always improve firm performance.
Instead, it focuses on the potential conflicts of interest that can arise when one person holds both the CEO and chairman positions, and how this can negatively affect the interests of shareholders.
The agency theory school of thought suggests that having separate individuals in the CEO and chairman roles can lead to better checks and balances and ultimately benefit the company and its shareholders.
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what creates comparative advantage? a. specialization b. scarcity c. lower costs d. population growth e. higher opportunity costs
Comparative advantage is created through specialization. The correct option is a.
When countries or individuals specialize in producing goods or services that they are relatively more efficient at, they can produce them at a lower cost than others. This allows them to trade with other countries or individuals who have a different comparative advantage, resulting in mutual gains from trade.
Scarcity, lower costs, and population growth can all affect a country's comparative advantage, but specialization is the key factor that creates it. Higher opportunity costs can also impact comparative advantage by encouraging countries or individuals to specialize in areas where they have a lower opportunity cost, resulting in greater efficiency and productivity.
The correct option is a. specialization.
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the receipt custody accounting and distribution of top secret information within the command is the responsibility of what individual
The receipt, custody, accounting, and distribution of top-secret information within a command is the responsibility of the command's designated security manager.
This individual is responsible for ensuring that all classified materials are properly stored and accounted for, and that access to such information is strictly controlled and limited only to those with a need-to-know.
The security manager is also responsible for developing and implementing security procedures and protocols to safeguard classified information against unauthorized disclosure or compromise. This includes conducting security briefings and training for personnel who handle classified materials, and conducting regular audits and inspections to ensure compliance with security protocols.
In addition to these responsibilities, the security manager must also coordinate with higher-level security authorities, such as the Defense Security Service, to ensure that the command's security practices are in line with national security policies and regulations. Overall, the security manager plays a critical role in safeguarding national security by ensuring the proper handling and protection of top-secret information.
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blake is a manager at a sporting goods store and needs to fill an open position for an assistant manager. austin works in the store as a sales associate and blake thinks he would be perfect for the job. why might blake be hesitant about promoting austin and giving him the job?
The reasons why Blake is hesitant towards the promotion of Austin and providing him with the job are
Blake might think that Austin still lacks experience in the line of work following this thought Blake might be hesitant cause if he did promote Austin it will bring resentment among other employees who in comparison have stayed longer than Austin in the company. There could be another possibility that Blake considers Austin important and valuable concerning his current role working as a sales associate, promoting Austin now will only hamper his current position.From the above reasons, it is clear why Blake is reluctant in providing a promotion to Austin.
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calculate the monthly finance charge for the credit card transaction. assume that it takes 10 days for a payment to be received and recorded, and that the month is 30 days long. (round your answers to the nearest cent.) $400 balance, 19%, $50 payment
To calculate the monthly finance charge for the credit card transaction, we need to determine the average daily balance (ADB) for the month. The ADB is calculated by adding the daily balances for each day of the month and dividing by the number of days in the month.
First, we need to find the daily interest rate, which is the annual interest rate divided by the number of days in a year (365):
19% ÷ 365 = 0.0521% per day
Next, we need to determine the daily balance for each day of the month. Assuming that the balance was not changed during the month except for the $50 payment, the daily balances can be calculated as follows:
Days 1-21: $400
Days 22-30: $350 ($400 - $50 payment)
The ADB for the month is calculated as follows:
ADB = [(21 × $400) + (9 × $350)] ÷ 30
ADB = $12,050 ÷ 30
ADB = $401.67
Finally, we can calculate the monthly finance charge by multiplying the ADB by the daily interest rate and the number of days in the month:
Monthly finance charge = $401.67 × 0.0521% × 30
Monthly finance charge = $6.28
Therefore, the monthly finance charge for the credit card transaction is $6.28.
7. A stock trades at $120 and has a standard deviation of returns of .4, use the Black-Scholes model to price a call and a put that expire in 180 days. The call and put options have an exercise price of $100. The risk-free rate is 8 percent. Assume the stock will pay a dividend of $3 on day 75. Apply the known dividend adjustment to the Black-Scholes model and compute new call and put prices.
The price of the call option is $27.97 and the price of the put option is $2.19.
To price the call and put options, we will use the Black-Scholes model with the following inputs:Current stock price (S) = $120Exercise price (K) = $100Time to expiration (T) = 180/365 = 0.49315 yearsRisk-free rate (r) = 8%Dividend payment (q) = $3Volatility of returns (σ) = 0.4First, we need to calculate the dividend-adjusted stock price, which takes into account the expected dividend payment on day 75. Using the formula:[tex]S* = S - q * e^{-r * T1}[/tex]where T1 is the time until the dividend payment (day 75), we get:T1 = 75/365 = 0.20548 years[tex]S* = $120 - $3 * e^{-0.08 * 0.20548} = $117.10[/tex]Next, we can calculate the d1 and d2 values using the standard Black-Scholes formulas:[tex]d1 = [ln(S* / K) + (r + 0.5 * σ^2) * T] / (σ * sqrt(T)) = 0.7727\\d2 = d1 - σ * sqrt(T) = 0.5626[/tex]Using these values, we can calculate the call and put option prices using the Black-Scholes formulas:[tex]Call price = S* * N(d1) - K * e^{-r x T} * N(d2) = $27.97\\Put price = K * e^{-r x T} * N(-d2) - S* * N(-d1) = $2.19[/tex]Therefore, the price of the call option is $27.97 and the price of the put option is $2.19.By adjusting for the expected dividend payment, we can see that the call option price decreased slightly while the put option price increased slightly. This is because the expected dividend payment reduces the value of the stock and, therefore, reduces the potential gains for the call option holder, but increases the potential gains for the put option holder.For more such question on call option
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the country of academy produces only bow and arrow. quantities and prices of these goods for the last several years are shown below. the base year is 2010. year price of bow quantity of bow price of arrow quantity of arrow 2010 $103 203 $46 403 2011 $131 240 $55 425 2012 $152 266 $74 442 2013 $185 295 $86 471 what is the nominal gdp in 2011?
To calculate the nominal GDP in 2011, we need to multiply the quantity of bows and arrows produced in 2011 by their respective prices in 2011 and then add them together.
Nominal GDP in 2011 = (Price of bows in 2011 x Quantity of bows produced in 2011) + (Price of arrows in 2011 x Quantity of arrows produced in 2011)
Nominal GDP in 2011 = ($131 x 240) + ($55 x 425)
Nominal GDP in 2011 = $31,440 + $23,375
Nominal GDP in 2011 = $54,815
Therefore, the nominal GDP in 2011 for the country of Academy is $54,815.
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Consider a risky portfolio. The end-of-year cash flow derived from the portfolio will be either $60,300 or $160,500, with equal probabilities of 0.5. The alternative riskless investment in T-bills pays 5.8%. Required: (a)lf you require a risk premium of 6.5%, how much will you be willing to pay for the portfolio? (Round your answer to the nearest dollar amount. Omit the "$" sign in your response.) Price (b) Suppose the portfolio can be purchased for the amount you found in (a). What will the expected rate of return on the portfolio be? (Round your answer to 2 decimal places. Omit the "%" sign in your response.) Rate of return % (c) Now suppose you require a risk premium of 9.5%. What is the price you will be willing to pay now? (Round your answer to the nearest dollar amount. Omit the "$" sign in your response.) Price
To find the price you're willing to pay for the portfolio with a risk premium of 6.5%, we first need to determine the expected return on the portfolio and then discount the cash flows.
1. Calculate the expected cash flow:
E(CF) = (0.5 * $60,300) + (0.5 * $160,500) = $110,400
2. Calculate the required return:
Required return = Risk-free rate + Risk premium = 5.8% + 6.5% = 12.3%
3. Discount the expected cash flow:
Price = E(CF) / (1 + Required return) = $110,400 / (1 + 0.123) = $98,252
So, the price you're willing to pay for the portfolio is $98,252.
For the expected rate of return, we can use the formula:
Expected rate of return = (E(CF) - Price) / Price = ($110,400 - $98,252) / $98,252 = 12.36%
If you require a risk premium of 9.5%, follow the same steps as before:
Required return = 5.8% + 9.5% = 15.3%
Price = $110,400 / (1 + 0.153) = $95,694
With a risk premium of 9.5%, you'd be willing to pay $95,694 for the portfolio.
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a manufacturer who uses just-in-time inventory management shares information in real time with its supplier. this is an example of transparency between firms usingtechnology.
Just-in-time (JIT) inventory management is a manufacturing strategy that involves producing goods only when they are needed and in the exact quantity required to satisfy customer demand. This approach helps manufacturers reduce inventory holding costs and minimize waste, while ensuring that the customer receives their order on time.
To achieve JIT, manufacturers must have real-time visibility into their inventory levels and production processes.
In order to achieve real-time visibility, JIT inventory management often involves the use of technology, such as sensors and data analytics. This technology enables the manufacturer to monitor their inventory levels and production processes in real-time, and share this information with their suppliers to ensure that they are able to deliver the required raw materials and components at the right time and in the right quantity.
The sharing of real-time information between the manufacturer and their supplier is an example of transparency between firms using technology. This transparency allows both parties to make informed decisions and adjustments in real-time, which can lead to better coordination, improved efficiencies, and ultimately, greater customer satisfaction.
In summary, JIT inventory management relies on real-time visibility and transparency between manufacturers and suppliers. By sharing information in real-time using technology, manufacturers can optimize their production processes, reduce costs, and improve customer satisfaction.
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suppose the growth rate of consumption falls by x% and an increase in government spending of y% is able to exactly offset it and restore aggregate demand to its original level. if x is greater than y, the increase in the growth rate of government spending led to: please choose the correct answer from the following choices, and then select the submit answer button. answer choices an increase in the growth rate of consumption. a decrease in the growth rate of consumption. an increase in the growth rate of the money supply. a decrease in the growth rate of the money supply.
If the growth rate of consumption falls by x% and an increase in government spending of y% is able to exactly offset it and restore aggregate demand to its original level, and x is greater than y, the increase in the growth rate of government spending led to: an increase in the growth rate of consumption.
Growth rate of consumption Increased: If the growth rate of consumption falls by x% and an increase in government spending of y% is able to exactly offset it and restore aggregate demand to its original level, and x is greater than y, the increase in the growth rate of government spending led to: an increase in the growth rate of consumption.
Explanation:
1. The growth rate of consumption falls by x%.
2. Government spending increases by y%.
3. This increase in government spending exactly offsets the decrease in consumption growth and restores aggregate demand to its original level.
4. Since x is greater than y, the increase in the growth rate of government spending must have led to an increase in the growth rate of consumption.
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bookmark question for later the hr department at clearwater electronics has received several complaints from new employees who say their job descriptions do not match what they are doing. they say they feel misled, and some of them have indicated they are thinking of quitting. the hr department is currently conducting a review of the job descriptions, in conjunction with the line managers. how can hr professionals best help to avoid a situation like this?
The best way for HR professionals to avoid a situation where new employees feel misled by their job descriptions is to conduct a thorough job analysis before writing job descriptions.
This will involve obtaining information about the tasks, duties, and responsibilities involved in a job, as well as the knowledge, skills, and abilities required to perform the job successfully. This information can be gathered through interviews with current employees and supervisors, observations of the job being performed, and surveys.
By conducting a job analysis, HR professionals can ensure that the job descriptions accurately reflect the job requirements and are not misleading. The job analysis can also help to identify any gaps in knowledge or skills that need to be addressed through training or other development programs.
HR professionals can also help to ensure that line managers are properly trained in how to write effective job descriptions, and that they are updated regularly to reflect changes in the job requirements.
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TRUE OR FALSE: Guanine and adenine are purines found in DNA. True. Guanine and adenine are indeed purines found in DNA; thymine and cytosine are the pyrimidines found in DNA.
The given statement "guanine and adenine are purines found in DNA" is true. These two bases, along with thymine and cytosine (which are pyrimidines), make up the building blocks of DNA.
Purines and pyrimidines are nitrogen-containing compounds that make up the building blocks of DNA and RNA.
Purines are larger and consist of two connected rings of carbon and nitrogen atoms. Adenine and guanine are examples of purines. Pyrimidines, on the other hand, are smaller and consist of only one ring of carbon and nitrogen atoms. Examples of pyrimidines include cytosine, thymine (found in DNA), and uracil (found in RNA).Thus, the given statement is true.
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2. Mr. Richman has a $900,000 fully diversified portfolio with monthly expected return 0.67% and standard deviation 2.37%. He just inherits $100,000 XYZ stocks with monthly expected return 1.25% and standard deviation 2.95%. The correlation coefficient between his portfolio and XYZ is 0.4. Mr. Richman needs to decide what to do with XYZ stocks.
A. If he keeps XYZ stocks, calculate expected return AND standard deviation of his new portfolio which includes the XYZ stock.
B. If he sells all the XYZ stocks and invest the proceeds in T-bill yielding 0.42% monthly, calculate expected return AND standard deviation of his new portfolio which includes T-bills.
C. Mr. Richman wants to sell XYZ stocks and invest the proceeds in ABC stocks, which offers the same expected return and standard deviation as XYZ stocks. He claims the switch will have no impact on his new portfolio performance. Is it correct or incorrect? Justify your answer.
A. The expected return of the new portfolio with the XYZ stock is 0.69% per month, and the standard deviation is 2.479% per month.
To calculate the expected return and standard deviation of Mr. Richman's new portfolio, we need to first calculate the expected return and standard deviation of the XYZ stock in terms of monthly values. Then, we can use the following formulas to calculate the new portfolio's expected return and standard deviation:
New portfolio's expected return = (Weight of original portfolio * Original portfolio's expected return) + (Weight of XYZ stock * XYZ stock's expected return)
New portfolio's standard deviation = sqrt[(Weight of original portfolio * Original portfolio's standard deviation^2) + (Weight of XYZ stock * XYZ stock's standard deviation^2) + 2 * (Weight of original portfolio) * (Weight of XYZ stock) * (Correlation coefficient between original portfolio and XYZ stock) * (Original portfolio's standard deviation) * (XYZ stock's standard deviation)]
Using the given values, we get:
Expected return of XYZ stock in monthly terms = 1.25%
Standard deviation of XYZ stock in monthly terms = 2.95%
Weight of original portfolio = 900,000 / (900,000 + 100,000) = 0.9
Weight of XYZ stock = 100,000 / (900,000 + 100,000) = 0.1
New portfolio's expected return = (0.9 * 0.67%) + (0.1 * 1.25%) = 0.69%
New portfolio's standard deviation = sqrt[(0.9 * 2.37%²) + (0.1 * 2.95%²) + 2 * (0.9) * (0.1) * (0.4) * (2.37%) * (2.95%)] = 2.479%
B. The expected return of the new portfolio with T-bills is 0.42% per month, and the standard deviation is 0%.
If Mr. Richman sells all the XYZ stocks and invests the proceeds in T-bills yielding 0.42% per month, the new portfolio will have a 100% allocation to T-bills. Therefore, the expected return and standard deviation of the new portfolio will be:
New portfolio's expected return = 100% * 0.42% = 0.42%
New portfolio's standard deviation = 0% (since T-bills have no volatility)
C.Mr. Richman cannot assume that the new portfolio's performance will remain the same after switching to the ABC stock without further analysis. Mr. Richman's claim that selling the XYZ stocks and buying ABC stocks with the same expected return and standard deviation will have no impact on his new portfolio's performance is incorrect. This is because the correlation coefficient between the new ABC stock and Mr. Richman's current portfolio is unknown, and it is possible that the correlation between the ABC stock and Mr. Richman's portfolio is higher or lower than the correlation between the XYZ stock and the portfolio.
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El Granado established the EG Data Encoders on May 15, 2014. The following transactions occurred during the month a El Granado invested P157,000 cash to establish the business b. Bought office desks and filing cabinet for cash, P15,150 c. El Granado invested in the business her personal computer with a fair value of P57,500 d. Bought computer software for use in the business from Dela Torre Computer Center for P39,000 paying P15,000 down; the balance is due in thirty days e. Paid rent for the month, P5,300 f. Received cash for services rendered, P5,160 g. Ordered a panaflex sign for P9,000 from Royal Bright Enterprises, with P5,000 as down payment and the balance due when installed h. Received bill for advertising from Buy and Sell newspaper, P3,320 i.Bought print paper and stationary on account, P2,290. j. Received and paid electric bill, P1,240. k Paid bill for advertising recorded previously in transaction (h). L.. Received cash for services rendered, P10,900 m. Paid salaries to employees, P8,400 n. El Granado withdrew cash for personal use, P4,500 Section Break (Continuous Required: 1. Journalize each transactions 2. Establish the following T-accounts: . Cash . El Granado, withdrawals • Accounts Receivable • Service Revenues • Supplies • Salaries Expense • Office Equipment • Advertising Expense Compute Software • Rent Expense • Signage • Utilities Expense • Accounts Payable • Miscellaneous Expense El Granado, Capital 3. Prepare Trial Balance 4. Prepare Financial Statements Income Statements • Statement of Changes in Capital • Balance Sheet .
The Trial Balance, Prepare Financial Statements, Income Statements, Statement of Changes in Capital and Balance Sheet are all given below in the image:
A financial statement that lists a company's assets, liabilities, and shareholder equity at a certain point in time is referred to as a balance sheet. The foundation for calculating investor return rates and assessing the capital structure of a firm is provided by balance sheets.
The balance sheet is a financial statement that gives a quick overview of the assets and liabilities of a firm as well as the amount of shareholder investment. When doing basic analysis or calculating financial ratios, balance sheets can be utilised in conjunction with other crucial financial data.
The debt-to-equity ratio, the acid-test ratio, and many other ratios that can be generated from a balance sheet can be used by investors to gauge a company's financial health. Additionally helpful background for evaluating a company's financial health may be found in the income statement, statement of cash flows, and any comments or addenda in an earnings report that can make a reference to the balance sheet.
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ABC Exports Ltd. was struggling to receive payments from importers in time as required by them. Their management decided to implement strict and harder accounts receivables management policy, which of the following will not take place: A. Faster accounts payables than before B. Increase in bad debt expense C. Increase in the cost of cash discounts D. b & c only E. a & b only
The correct answer is E. a & b only. Implementing a stricter accounts receivables management policy should result in faster accounts payables than before, as the company would be better able to manage their cash flow and pay their own bills on time.
However, increasing the stringency of the policy may also result in an increase in bad debt expense, as some customers may not be able to meet the new requirements and default on their payments.
There should not be an increase in the cost of cash discounts, as the policy should help the company better manage their cash flow and offer discounts more selectively.
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Accounts payable is a liability and represents the amount of money that a company owes to its suppliers or vendors for goods or services received on credit. The Correct option is E
However, increasing the stringency of the policy may also result in an increase in bad debt expense, as some customers may not be able to meet the new requirements and default on their payments.
There should not be an increase in the cost of cash discounts, as the policy should help the company better manage their cash flow and offer discounts more selectively.
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the project manager often combines information from all of the lessons-learned reports into a project summary report. group of answer choices true false
The project manager often combines information from all of the lessons-learned reports into a project summary report is True.
The project manager is in charge of overseeing the project on a day-to-day basis and is required to be skilled in managing the six project-related factors: scope, schedule, finances, risk, quality, and resources.
Hence, the statement is true.
What four primary responsibilities do project managers have?Controlling the creation of the needed deliverables. project management and planning.
Accepting any delegation and utilizing responsibilities for project assurance within predetermined reporting structures. creating and keeping up-to-date project, stage, and exception plans as necessary.
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Herman Rithmetic, CFO of Fluffy Teddie Bear Company is concerned whether their company may have an accounts receivable problem. He noted that days in accounts receivable is currently at just over 33 days. The credit terms extended by Fluffy Teddie Bear Company to their top customers is 30 days same as cash. Last year their days in accounts payable was 29.2 days. Herman is unsure what this means and turns to you for advice. Don’t let him down.A. Herman can safely ignore the problem, since their receivables balance is just 3 days higher than their policy for paying receivables.B. Herman should not send any correspondence to their customers sothey won’t get mad.C. none of the above.D. The days in accounts receivable should always be more than the current terms offered by the company..E. Herman’s company should stay on top of the receivables and provide any necessary follow-up to customers to ensure they pay on time.
Based on the provided case, the advice to Herman is that Herman’s company should stay on top of the receivables and provide any necessary follow-up to customers to ensure they pay on time. Therefore, the correct option is E.
The fact that Fluffy Teddie Bear Company's days in accounts receivable is just over 33 days, while their credit terms are 30 days, indicates that the company may have an accounts receivable problem. It means that customers are taking longer than the agreed-upon time to pay their bills, which could negatively impact the company's cash flow and profitability.
Therefore, Herman should not ignore the problem and should take necessary steps to ensure that customers pay on time. This may involve sending reminders or follow-up messages to customers who have not paid on time, or even implementing more stringent credit policies for customers who consistently pay late. Ultimately, it is important for the company to stay on top of its accounts receivable to maintain a healthy cash flow and financial position.
Hence, the correct advice is option E: Herman’s company should stay on top of the receivables and provide any necessary follow-up to customers to ensure they pay on time.
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The current price of stock in Company XYZ is $45 and no ex-dividend dates are to occur for the next three months. The risk-free rate is 4.00% per year. The standard deviation for the period in question is 0.4. You are a financial advisor and one of your best clients is Mr. John Smith who is a senior-level manager at a Fortune 500 company. A portion of Mr. Smith’s incentive compensation is paid in restricted stock in the company he works for which he cannot sell for a period of three years from the date of the award of the shares. Smith has been employed at the company for 35 years and he has been in a senior position for the last 20 years. Mr. Smith has a concentrated equity position in the company owning 1,000,000 shares. More than 80% of his wealth is in the company stock. Assume that due to contractual obligations, he cannot sell his stock over the next three months. Due to his concentrated position, he wants to hedge against the price of XYZ stock falling more than 20%. He can do this by buying put options with a strike price of $36.
1. Assume that Mr. Smith does not have the necessary amount of liquid assets (other than his stock which he cannot sell) to be able to purchase these put options so he will have to enter into an equity collar. At what strike price should he strike the corresponding call options?
2. If Mr. Smith decides that he can raise enough cash to put up $200,000 to pay for some of the puts, how will it affect the strike price on the call?
3. If instead of three months, the restriction on his stock is six months, how will this change the hedge? Solve for the appropriate put and call strikes.
4. Using your answers from a) above, assume that after one month, the stock price goes up to $70 and Mr. Smith wants to unwind his hedge. Describe how you would go about terminating this hedge. Determine what it would cost to terminate this hedge.
5. Again, using your answers from a) above, if after one month the stock price went down to $28 instead and Mr. Smith wanted to terminate this hedge, what would be the economic repercussions? Calculate this amount.
6. As Mr. Smith’s financial advisor, would you recommend this strategy to Mr. Smith? Why or why not?
7. List down the benefits and advantages of this strategy.
Okay, here are the solutions to the questions:
1. Since Mr. Smith cannot sell his stock for 3 months and wants to hedge against a drop of more than 20%, a put option with a strike price of $36 would be appropriate. To collar this with call options, we would want the call strike to be $54 ( $45 current price + 20% hedge).
So put strike = $36 and call strike = $54.
2. If Mr. Smith can put up $200,000 for the puts, he can buy more put options which will allow a lower put strike, e.g. $32.
So now put strike = $32 and call strike = $51.
3. If the restriction is for 6 months instead of 3 months, a longer dated put and call would be needed.
For a 6 month hedge, put strike could be $30 and call strike $50.
4. If the stock price goes up to $70 after a month, Mr. Smith can:
- Buy back the put options at a lower price since the strike is now out of the money. This will cost less than the original purchase price.
- Sell the call options which are now in the money. This can generate a profit.
The total cost to terminate the hedge would be the amount spent buying back the puts plus any loss from selling the calls in the money.
5. If the stock price drops to $28, Mr. Smith would:
- Lose the $200,000 put premium since the puts are now deep in the money.
- Potentially have to exercise the puts and sell the stock at $28, taking a $17 per share loss.
- Lose the value of the call options which would expire worthless.
The economic loss could be substantial in this scenario.
6. I would recommend this strategy to Mr. Smith with some cautions:
Pros: Provides downside protection for a concentrated position. Allows Mr. Smith to keep the stock long-term.
Cautions: The strategy is complex and expensive. There are opportunities for losses as shown above. Mr. Smith needs to monitor the position closely. The hedge may not provide full downside protection.
Overall, for a large concentrated position, a hedge could provide some comfort but needs to be done carefully with full understanding of the risks and costs. Close monitoring is required.
The benefits of the strategy are downside protection and the ability to keep a large long-term stake in the company. But there are also risks of losses and the costs of implementing and unwinding the hedge. Proper evaluation of these pros and cons is necessary before employing this strategy.
which of the following is not correct regarding the constant growth dividend discount model? a. the model is based on the dividend one year from the valuation period. b. the model is highly sensitive to small differences in the required rate of return or the dividend growth rate. c. the model can be rearranged to determine the payout ratio. d. the model requires that the required return be greater than or equal to the growth rate of the dividend.
The constant growth dividend discount model is a widely used method for estimating the value of a stock based on its expected future dividend payments. The model is based on the expected constant growth rate of the dividend, the required rate of return, and the expected dividend payment one year from the valuation period.
The constant growth dividend discount model is used to estimate the intrinsic value of a stock based on the present value of its expected future dividends. The model assumes that the dividend paid by the stock will grow at a constant rate indefinitely. The formula for this model is:
P = D / (r - g)
where P is the price of the stock, D is the expected dividend payment one year from the valuation period, r is the required rate of return, and g is the expected constant growth rate of the dividend.
Now, let's look at the given options:
a. The model is based on the dividend one year from the valuation period.
This statement is correct. The constant growth dividend discount model assumes that the dividend paid by the stock will grow at a constant rate indefinitely, and the price of the stock is based on the expected dividend payment one year from the valuation period.
b. The model is highly sensitive to small differences in the required rate of return or the dividend growth rate.
This statement is also correct. The constant growth dividend discount model is highly sensitive to small changes in the required rate of return or the dividend growth rate. A small change in these variables can lead to a significant change in the estimated value of the stock.
c. The model can be rearranged to determine the payout ratio.
This statement is not correct. The constant growth dividend discount model cannot be rearranged to determine the payout ratio. The model only gives the price of the stock based on the expected future dividend payments, required rate of return, and expected constant growth rate of the dividend.
d. The model requires that the required return be greater than or equal to the growth rate of the dividend.
This statement is also correct. The constant growth dividend discount model requires that the required return be greater than or equal to the growth rate of the dividend. If the required return is less than the growth rate, the model will not work, and the stock will be considered overvalued.
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The auditors' information source for validating the bank reconciliation items is typically a ______, which is a complete bank statement including all paid checks and deposit slips. The client requests the bank to send this bank statement directly to the auditor. It is usually for a 10- to 20-day period following the date of the financial statements.
The auditors' information source for validating the bank reconciliation items is typically a complete bank statement, which includes all paid checks and deposit slips. The bank statement serves as the foundation for the bank reconciliation process.
The auditors use the bank statement to compare the transactions listed in the client's records to the transactions that have been processed by the bank. This comparison helps the auditors identify any discrepancies and determine whether the bank balance in the client's records matches the bank's actual balance.
To ensure the accuracy of the bank statement, the client requests the bank to send it directly to the auditor. This minimizes the risk of the client altering the bank statement or withholding information that may impact the reconciliation process.
The bank statement typically covers a 10- to 20-day period following the date of the financial statements. This ensures that the bank statement includes all transactions that have been processed by the bank up to the date of the financial statements.
The deposit slips are important reconciliation items that the auditors use to verify the accuracy of the bank's deposit transactions. The deposit slips provide details on the amount, date, and source of the deposits made by the client.
The auditors compare the information on the deposit slips to the client's records to ensure that all deposits have been recorded accurately. If there are any discrepancies between the deposit slips and the client's records, the auditors may need to perform additional procedures to determine the cause of the discrepancy.
Overall, the bank statement and deposit slips are crucial sources of information for the auditors when validating the reconciliation items. These items help the auditors determine the accuracy of the client's bank balances and identify any potential errors or irregularities that may impact the financial statements.
A comprehensive bank statement, which contains bank Reconciliation copies of all paid checks and deposit slips, is normally the auditors' information source for verifying the bank reconciliation items.
The basis for the bank reconciliation procedure is the bank statement..The bank statement is used by the auditors to compare the transactions reported in the client's records to the transactions that the bank has actually processed.
The auditors can see any differences and assess whether the bank balance listed in the client's records corresponds to the real balance of the bank using this comparison. The client asks the bank to provide the bank statement directly to the auditor in order to guarantee its accuracy. By doing this, the chance that the customer may alter the bank statement or omit information that could affect the reconciliation process is reduced. The auditors utilise the deposit slips as significant reconciliation materials to check the accuracy of the bank's deposit activities.
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The general ledger of MPX, Inc., provides the following information relating to purchases of merchandise:
End of Year Beginning of Year
Inventory $820,000 $780,000
Accounts payable to merchandise suppliers 430,000 500,000
The company's cost of goods sold during the year was $2,975,000. Compute the amount of cash payments made during the year to suppliers merchandise.
The amount of cash payments made during the year to suppliers of merchandise for MPX, Inc. is $3,085,000.Cash payments are made to the provider of services or products by the recipient in the form of banknotes or coins.
It may also entail paying employees within a company for the hours they worked or compensating them for tiny expenses that are too little to be processed through the accounts receivable system.
To compute the cash payments, we need to use the following formula:
Cash Payments = Beginning Accounts Payable + Purchases - Ending Accounts Payable
First, we need to find the Purchases value using the following formula:
Purchases = Cost of Goods Sold + Ending Inventory - Beginning Inventory
Now, plug in the given values:
Purchases = $2,975,000 (Cost of Goods Sold) + $820,000 (Ending Inventory) - $780,000 (Beginning Inventory)
Purchases = $3,015,000
Now, plug in the values into the Cash Payments formula:
Cash Payments = $500,000 (Beginning Accounts Payable) + $3,015,000 (Purchases) - $430,000 (Ending Accounts Payable)
Cash Payments = $3,085,000
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food for less (ffl), a grocery store, is considering offering one hour photo developing in their store. the firm expects that sales from the new one hour machine will be $150,000 per year. ffl currently offers overnight film processing with annual sales of $100,000. while many of the one hour photo sales will be to new customers, ffl estimates that 60% of their current overnight photo customers will switch and use the one hour service. suppose that of the 60% of ffl's current overnight photo customers, half would start taking their film to a competitor that offers one hour photo processing if ffl fails to offer the one hour service. the level of incremental sales in this case is closest to:
The level of incremental sales in this case is $75,000. This is because the $150,000 in new sales from the one hour photo developing service is partially offset by the estimated loss of $25,000 in overnight photo processing sales (40% of $100,000).
Additionally, half of the 60% of current overnight photo customers who would switch to a competitor if FFL does not offer the one hour service represents a loss of $50,000 in sales. Therefore, the net incremental sales would be $75,000 ($150,000 - $25,000 - $50,000).
It is important for FFL to consider the potential impact on its current customers before implementing a new service. In this case, FFL expects that 60% of its current overnight photo customers will switch to the new one hour service.
However, if FFL fails to offer the one hour service, half of those customers may go to a competitor who offers the service. This highlights the importance of staying competitive in the industry and meeting the changing demands and expectations of customers.
Offering new services can be a great way for businesses to increase their revenue, but it is important to carefully evaluate the potential impact on existing customers and competitors. By doing so, businesses can make informed decisions that maximize their profitability and maintain customer satisfaction.
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1 - Is improving bond ratings an important objective for themanagement of Goldman Sachs Inc?
Improving bond ratings is an important objective for the management of Goldman Sachs Inc, as it has a significant impact on the cost of borrowing and access to capital markets.
A higher bond rating allows Goldman Sachs to borrow money at a lower interest rate, which reduces the cost of debt and increases profitability. In addition, a higher bond rating can improve the company's reputation and increase investor confidence, which can lead to increased demand for its securities.
Goldman Sachs has historically maintained a high bond rating, which has allowed it to issue debt at competitive rates and access the capital markets as needed.
The company has also taken steps to maintain and improve its bond rating, such as managing its balance sheet and reducing risk exposure. In recent years, Goldman Sachs has focused on strengthening its financial position and improving its credit rating, in part due to increased regulatory scrutiny and the potential impact on its business operations.
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Kitchen Innovations, inc. is considering introducing a new line of toaster ovens Before proceeding with a more thorough analysis, the company wants to know what the financial break even quantity is for the project. The data they have gathered are as follows: • The company believes it will be able to produce and sell 10,000 units per year at a retail price of $100 each • Variable costs for the project are $25 per unit • Fixed costs have been estimated as $200.000 per year • The production equipment needed for the project will cost $400,000, which will be depreciated to cover its 5 year estimated life on a straight line basis . The company tax rate is 27%. A. 8,740 B. 7.617 C. 3,734 D. 10,814 E. 8,684
The break-even quantity for the project is 8,740 units.
This is calculated by dividing the fixed costs of $200,000 and the variable costs of $25 per unit, and then adding the amount of the initial investment of $400,000 divided by the depreciation amount over five years. This amount is then divided by the difference between the retail price of $100 and the variable cost of $25.
The break-even quantity is important in understanding the project's financial viability. If the company can sell more than 8,740 units, then they will be able to make a profit. If they are unable to sell 8,740 units, then they will not be able to cover their costs and the project will not be profitable. This is why it is important for the company to understand the break-even quantity before proceeding with a more thorough analysis.
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if msu decides to expand the undergraduate student population from 40,000 to 50,000 the expected effect on the child-care market in east lansing is a. an increase in the price of child care and a corresponding increase in the number of students supplying the service. b. a reduction in the price of child care because of an increase in supply c. a surplus of workers resulting from decreased demand for the service d. no effect
If MSU decides to expand the undergraduate student population from 40,000 to 50,000, the expected effect on the n market in East Lansing is b. a reduction in the price of child care because of an increase in supply.
As the number of undergraduate students increases, there will likely be an increased demand for child care services in the area. This, in turn, may encourage more individuals to supply child care services to meet the increased demand. The increased supply of child care services will lead to greater competition among providers, which is likely to drive down prices. Thus, an increase in the undergraduate student population is likely to result in a reduction in the price of child care.
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julie is a first year business student doing a project for her marketing class. she is carrying out industry analysis for her project based on grocery stores in france. what tool should she use?
The third option, industry analysis, is right.Value chain analysis is a method of examining each activity in a company's value chain in order to identify areas for development.
What exactly is value chain analysis?A value chain is a representation of all the actions and processes that go into making a product or providing a service. As such, it includes every stage of a product's or service's lifespan, from design to manufacturing and distribution. Companies that want to increase their profit margins or gain a competitive edge can undertake a value-chain analysis to identify each stage (or link) in the chain and look for methods to improve it.
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julie is a first year business student doing a project for her marketing class. she is carrying out industry analysis for her project based on grocery stores in france. what tool should she use?
A. Customer service life cycle analysis
B. Five forces framework
C. Value chain analysis
D. none of the above
a familiar example of an agent is a: group of answer choices gardener hired to maintain the grounds at a large industrial complex. corporate officer who serves in a representative capacity for the owners of the corporation. no answer text provided. janitorial employee who does not deal with third parties.
The correct answer is option (A) A familiar example of an agent is a: Gardener hired to maintain the grounds at a large industrial complex.
A person who acts on behalf of another person or thing, known as the principal, is known as an agent.
The agent has been granted permission to carry out specific tasks for the principal, including decision-making, the purchase and sale of products, and the rendering of services. Agents might be people, businesses, or other types of entities.
The gardener in this illustration is a representative of the industrial complex. The complex hires a gardener to take care of the grounds, and the gardener is given permission to operate in particular ways on the complex's behalf.
Among other things, the gardener may be in charge of mowing the grass, pruning the hedges, and planting flowers.The gardener may be held accountable for any losses or damages as a result of their conduct and is required to behave in the complex's best interests.
Complete Question:
A familiar example of an agent is a:
Group of answer choices
(A) Gardener hired to maintain the grounds at a large industrial complex
(B) Corporate officer who serves in a representative capacity for the owners of the corporation
(C) Janitorial employee who interacts with third parties
(D) Janitorial employee who does not deal with third parties
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the four key areas of world systems include all but which of the following? a. expansion in economic domains b. formation of an ideology supporting free trade c. demise of the hegemonic power and restructuring of the system d. growth of the military e. a ban on free trade
The four key areas of world systems exclude option (e) a ban on free trade.
The four key areas include: a. expansion in economic domains, b. formation of an ideology supporting free trade, c. demise of the hegemonic power and restructuring of the system, and d. growth of the military. These key areas represent important aspects of global systems. Expansion in economic domains (a) refers to the growth of international trade and commerce. Formation of an ideology supporting free trade (b) indicates the development of intellectual and philosophical beliefs that promote economic liberalization, where nations are encouraged to reduce trade barriers and enhance international cooperation. The demise of the hegemonic power and restructuring of the system (c) is a critical process in which the dominant power loses its ability to maintain control and influence over other countries, leading to a shift in the global order.
Lastly, growth of the military (d) represents the increase in military capabilities and defense spending among countries to protect their interests and assert their power in the world system. Overall, these four areas provide a comprehensive understanding of the dynamics of world systems, emphasizing the interdependence of economic, ideological, political, and military factors in shaping global relations. A ban on free trade (e) is not included as it contradicts the ideology supporting free trade (b) and would not be considered a key area of world systems.
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what is the primary difference between singular channel distribution and multichannel distribution in ebook self-publishing?
The primary difference between singular channel distribution and multichannel distribution in ebook self-publishing is the number of platforms used to distribute your ebook.
In singular channel distribution, you choose to self-publish your ebook on only one platform (e.g., Amazon Kindle Direct Publishing). This limits your audience reach, but it can be easier to manage.
In multichannel distribution, you self-publish your ebook on multiple platforms (e.g., Amazon Kindle Direct Publishing, Apple iBooks, Barnes & Noble Nook, etc.). This increases your audience reach and potential sales, but it may require more management and coordination among the different platforms.
To summarize:
1. Singular channel distribution: Publishing on one platform, easier to manage, limited audience reach.
2. Multichannel distribution: Publishing on multiple platforms, increased audience reach, more management and coordination required.
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In October, 2013, Bandit Corporation distributed profits to its preferred shareholders before its common shareholders. What is the name of the preference that allows this?
Select one:
A. Dividend preference
B. Treasury preference
C. Liquidation preference
D. Profits preference
The preference that allows preferred shareholders to receive dividends before common shareholders is called dividend preference. Therefore, the answer is A. Dividend preference.
Dividend preference is a term used to describe a provision in a company's bylaws or articles of incorporation that gives preferred shareholders the right to receive dividend payments before any dividends can be paid to common shareholders.
Preferred shareholders typically receive a fixed dividend rate, which is often higher than the dividend rate paid to common shareholders.
In some cases, preferred shareholders may also receive a dividend that is calculated as a percentage of the company's profits.
Dividend preference is just one of the rights that preferred shareholders may have. Another important right is liquidation preference, which gives preferred shareholders the right to receive their investment back before common shareholders if the company is liquidated.
Overall, dividend preference is an important consideration for investors when deciding whether to invest in a company's common or preferred shares. While preferred shares may offer higher dividends and greater security, they may also come with more restrictions and limitations compared to common shares.
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