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Calculate the WACC given the following information:
- Stocks 940,000 Bonds 680,000 C0 13% Cb 6% T = 0.35
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- EXAMPLE 10: From the following, compute Debt Equity Ratio: Equity Share Capital 1,00,000 General Reserve 80,000 6.5 % Debentures 75,000 Current Liabilities 90,000 o add notes COMMENTS OTESWhat is the debt-equity ratio when: Long-term debt 500K Preferred stock 20K Common stock 600KConsider the following average annual returns: Average Return 23.5% 13.1% 7.5% 6.8% 4% Investment Small Stocks S&P 500 Corporate Bonds Treasure Bonds Treasury Bills What is the excess return for corporate bonds? O A. 1.8% OB. 0% OC. 7% OD. 3.5%
- You’ve collected the following information from your favorite financial website. 52-Week Price Stock (Div)Div Yld %PE Ratio Close PriceNet ChgHiLo77.40 10.43 Palm Coal 0.362.6 6 13.90 –0.24 55.81 33.42 Lake Lead Grp 1.543.8 10 40.43 –0.01 131.08 70.25 SIR 2.753.1 10 89.12 3.07 50.24 13.95 DR Dime 0.805.2 6 15.43 –0.26 35.00 20.74 Candy Galore 0.321.5 28 ?? 0.18 According to your research, the growth rate in dividends for SIR for the next five years is expected to be 21 percent. Suppose SIR meets this growth rate in dividends for the next five years and then the dividend growth rate falls to 5.75 percent indefinitely. Assume investors require a return of 15 percent on SIR stock. Requirement 1:According to the dividend growth model, what should the stock price be today? (Do not round intermediate calculations. Round your…What equation was used to get the Aftertax Cost of Debt? Debt Face Value 1000 Bond Price 1271.59 Coupon Payment 75 Maturity 50 Yield to Maturity 11.64% Aftertax Cost of Debt 9.31%What is the total par value of 700 common stocks if the par value is Php100.00? a. Php70,000.00 b. Php7,000.00 c. Php700.000.00 d. Php70.00
- You've collected the following information from your favorite financial website. 52-Week Price Div PE Close Net Hi Lo Stock (Div) Yld % Ratio Price Chg 77.40 10.43 Palm Coal 0.36 2.6 6 13.90 -0.24 Lake Lead Grp 55.81 33.42 3.8 10 40.43 -0.01 1.54 131.04 70.05 SIR 2.55 2.9 10 89.08 3.07 50.24 13.95 DR Dime 0.80 5.2 6 15.43 -0.26 Candy Galore 35.00 20.74 1.5 28 ?? 0.18 0.32 According to your research, the growth rate in dividends for SIR for the next five years is expected to be 21 percent. Suppose SIR meets this growth rate in dividends for the next five years and then the dividend growth rate falls to 5.75 percent indefinitely. Assume investors require a return of 14 percent on SIR stock. (Hint: the number after the company's name above is DO.) Requirement 1: According to the dividend growth model, what should the stock price be today? (Do not round intermediate calculations. Round your answer to 2 decimal places (e.g., 32.16).) Current stock priceNienge Bank has the following balance sheet (in millions) with the risk weights in parentheses.AssetsCashOECD Interbank depositsK3Mortgage loansConsumer loansTotal Assets(0%) K20(20%) K25liabilities and EquityDepositsSubordinated debt (2.5 years)K175(50%) K70(100% K70K185Cumulative preferred stockEquityTotal Liabilities & EquityK5K2K185In addition, the bank has K30 million in performance-related standby letters of credit(SLCs), and K300 million in six-year interest rate swaps. Credit conversion factors follow:Performance-related standby LCs50%1-5 year foreign exchange contracts5%1-5 year interest rate swaps0.5%5-10 year interest rate swaps1.5%d.Discuss the major shortcomings of the Basle I accord.Calculate WACC given the following information. Total Value of Common Stocks (CS) $800,000 Total Value of Preferred Stocks (PS) $100,000 Cost of Preferred stock Total Value of Debt (D) $400,000 Pre-tax Cost of Debt Tax rate (t) Cost of Equity (common stocks) 0.17 0.11 0.09 0.4
- Using the table below, Compute the convexity measure (in years) for bond 2 Bond 1 Bond 2 Coupon Yield to maturity Maturity (in years) Par value 6% 7% 6% 6% 4 $100 $100 $100 $108 Price O A. 14.763 12.652 OC. 13.312 OD. 13.927Consider the following 3 assets portfolio: Asset US Equity Intl. Equity US Corporate Bonds Correlations US Equity Intl. Equity US Corporate Bonds 18% O 14.95% O 13.36% Weights O 1.79% 50% 30% 20% US Equity What is the portfolio's standard deviation? 1 0.8 0.1 St. Dev. 18% 16.50% 5% Intl. Equity 1 -0.1 US Corporate Bonds 0.1 -0.1 1Use the following data for the Sara Company to calculate the cost of common stocks (Rs), the cost of Preferred stocks (Rps), and the cost of Debt: (Rd)? Item Symbol Value Risk Free Rate Rf 7% Stock Risk B 1.5 Market Return Rm 25% Interest Rate for Debt Rd (B.T) 9% TAX rate T 5% Preferred Stock Dividend D(ps) 10 Preferred Stock Price P(ps) 100 floatation cost ps FC $4 The cost of Preferred stocks: (Rps)? The cost of Debt: (Rd)?