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1. If you were an investor thinking of buying either corporate bonds or preferred stock, which would be the three most important ratios of the company that you would study? Why did you choose those?
2. How does The Home Depot's 2012 debt/equity ratio compare to Wal-Mart's 2012 debt/equity ratio?
3. When we do financial statement analysis, why do we need to study ratios? Why can't we just look at dollars of sales, dollars of debt, or dollars of profit?
4. How does Microsoft's 2012 ROE compare to Google's 2012 ROE?
Methods of using stocks and options to create a risk-free hedge portfolio can be created. Support your answer with examples of these methods being used to create a risk-free hedge portfolio.
The D. J. Masson Corporation needs to raise $500,000 for 1 year to supply working capital to a new store. What is the effective annual interest rate of the costly trade credit?
What is the value of a share of common stock that paid $2.00 last year, the growth rate is 8 percent, suppose the risk free rate is 4 percent, the market return is 10% and the Beta is 1.5.
If the electronic claims system costs $30,000 a year to lease and operate, should it be adopted? (Assume that the entire receivables balance has to be financed)
If he had wanted to achieve a 10% rate of return on his Bank of America investment, how much would he have paid for the Bank of America preferred stock?
The firm has $10,400 in cash and owes a total of $1,430,000. The legal problems are personal and unrelated to the actual business. What is the market value of this firm?
Michigan Mattress Company is considering the purchase of land
Last year, Blakely's Fashions earned net income of $68,400 and had 12,000 shares of stock outstanding. The dividends per share were $2.20. What is the dividend payout ratio?
define capital rationing and explain why it can occur in the real
Assume that you are planning to hold a portfolio consisting of 50% of Stock M and 50% of Stock W. What is the realized rate of return on the portfolio in each year?
The marginal tax rate for Amsted is 35 percent. What is this project's incremental after-tax free cash flow for 2011?
1. you have a 2 million portfolio consisting of a 100000 investment in each of 20 different stocks. the portfolio has
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