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How could you assess which organization in an industry was best managed from a financial standpoint? How could you use comparative analysis to perform a three-year trend analysis? If you combined your organization with one in a different industry segment, how could you use comparative analysis to estimate its performance?
Use the information to construct time series plot and also Use Excel Solver to make quadratic trend equation to forecast team value.
Mega Chemical Corporations manufactures Zylex A and a related product called Zylex B. Zylex B, which treade for $15.00 per gallon, is created from a base of Zylex A plus additional ingredients.
If someone were highly averse to risk, what type of beta would he or she be interested in when researching a company to add to an investment portfolio?
How would you hedge this exposure? If you hedge, what is the variance of the pound value of the hedged position?
I am looking employment in accounting & finance with a for profit firm or non profit organization.
The expected return on market is 12 percent and the risk free rate is 7 percent. The standard deviation of the return on the market is 15 percent. Ones investor creates a portfolio on the efficient frontier with an expected return of 10 percent.
Alpaca corporation issued 300,000 shares of no-par common stock at 15 dollar per share. Make the journal entry to record transaction.
Sun Corporation had investments in marketable equity securities costing 650,000 on June 30, year 2. Sun Corporation decided to hold the investments indefinitely and accordingly reclassified.
Suppose that the consensus required rate of return on common stocks is 14%. In addition, you read in Fortune that expected rate of inflation is 5% & estimated long-term real growth rate is 3%.
Julio purchased a stock one year ago for dollar 27. The stock is now worth $32, & total return to Julio for owning the stock was 37%. Calculate the dollar amount of dividends that he received for owning the stock during the year?
Define constitutes total risk, and how is it measured? Of the two (2) components of total risk, discuss and explain which one investor can eliminate?
Discuss and explain some of the characteristics of income statement, balance sheet & cash flow statement. From perspective of story told by every statement?
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