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A Company's strategy can be consider "ethical"
a. if each element of its strategy is "legal"
b. if it does not entail actions or behaviors that cross the moral line from "can do" to "should not do" (becauase such actions are unsavory, unconscionable, injurious to others, or unnecessarily harmful to the environment) and if it allows management to fulfill its ethical duties to all stakeholders (shareholders, employees, customers, suppliers, the communities in which it operates, and society at large)
c. if its actions and behaviors fall within the bounds of "fair competition"
d. so long as leading religious authorities find nothing "morally wrong" in teh company's actions
e. so long as the company's strategic actions do not injure the business of rival firms or wthe well-being of customers.
A homeowner took out a 30-year, fixed-rate mortgage of $310,000. The mortgage was taken out 10 years ago at a rate of 7.50 percent. If the homeowner refinances, the charges will be $2,500. What is the highest interest rate at which it would be benefi..
Financial Analysis of a company should be conducted within its global industry rather than other company listed on its home stock market. Hedging with options removes both upside and downside performance potentials.
J. Hazelwood Inc. operates a number of boat rentals at various resorts throughout the United States. Hazelwood is currently in the process of opening a boat rental on the Salton Sea. What is the annual amount that will be spent on insurance and liabi..
Government economists have forecasted one-year T-bill rates for the following five years, as follows: Year 1-Year Rate (%) Year 1 4.25% Year 2 5.15% Year 3 5.50% Year 4 6.25% Year 5 7.10% You have a liquidity premium of 0.25% for the next two years a..
Southeast Compositions, Inc. is considering a project with the following cash flows: Compute the net present value of this project if the company's discount rate is 14%. Sentry Manufacturing paid a dividend yesterday of $5 per share. The dividend is ..
If the interest rate is lower in the U.S. than in the United Kingdom, and if the forward rate of the British pound is the same as its spot rate:
Distinguish between beta (i.e market) risk, within-firm ( i.e, corporate) risk, and stand-alone risk for a potential project. Of the three measures, which is theoretically the most relevant, and why? Suppose a firm estimates its overall cost of capit..
Let's assume last year your company financed its investments by selling shares of common stock. This year the plan is to use debt. The after tax cost of debt is 5%, the cost of equity is 12% and the weighted average cost of capital is 9.5%. The first..
The 2011 balance sheet of Anna's Tennis Shop, Inc., showed long-term debt of $6.4 million,-What was the firm's 2012 operating cash flow, or OCF?
A Treasury bond that matures in 10 years has a yield of 6%. A 10-year corporate bond has a yield of 8%. Assume that the liquidity premium on the corporate bond is 0.5%. What is the default risk premium on the corporate bond?
You are given the year-on-year expected return on two stocks, TechCo and RetailCo, which are 4.2% and 1.8% respectively and their corresponding annualized standard deviations are 12.5% and 15%. Calculate the standard deviation of Tim’s portfolio.
Scott Investors, Inc., is considering the purchase of a $362,000 computer with an economic life of four years. The computer will be fully depreciated over four years using the straight-line method. Calculate the NPV of this project.
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