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A developer puts in 5% equity and a fund puts in 95% of the equity for a development deal. Cash flow is to be distributed with the following order of priorities (e.g., "the waterfall"):
Preferred return is 10% pro rata to both parties.
The promote is 20% to the developer then the balance of proceeds pro rata.
The acquisition and development costs of a deal (occurring at time 0), are $1 million.
At the end of the first full calendar year the project is sold for $1.1 million.
What are the returns to the developer and the fund?
What if the project is sold for $3.0 million?
Provide IRRs.
Southwest Physicians, a medical group practice in Oklahoma City, is just being formed. It will need $2 million of total assets to generate $3 million in revenues. Furthermore, the group expects to have a total margin of 5 percent. what is the differe..
A stock returns beta measures:
Estes Park Corp. pays a constant $1.7 dividend on its stock. The company will maintain this dividend for the next 17 years and will then cease paying dividends forever. If the required return on this stock is 2.34 percent, what is the current share p..
An investor purchases a mutual fund share for $100. The fund pays dividends of $7, distributes a capital gain of $8, and charges a fee of $6 when the fund is sold one year later for $101. What is the net rate of return from this investment?
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The Option Pricing Model was developed by ________________. Hedging activities and buying insurance are examples of _______________.
An investment offers a total return of 13 percent over the coming year. Bill Bernanke thinks the total real return on this investment will be only 8.5 percent. What does Bill believe the inflation rate will be over the next year?
Which of the following statements about internal rate of return is true?
Which one of these would generally be considered the most rational action for a tax-paying investor?
Martin Industries just paid an annual dividend of $1.90 a share. The market price of the stock is $50.90 and the growth rate is 7.2 percent. What is the firm's cost of common equity (retained earnings)?
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