Debt-to-total assets ratio

Assignment Help Financial Management
Reference no: EM131020955

Krisle and Kringle's debt-to-total assets ratio is 0.445 (i.e., debt ratio = 44.5%). What is the company’s debt- to-equity ratio? (Enter answer as a ratio rounded to 2 decimal places – that is, do not convert to a percent; for example, enter 80/35 = 2.2857 as 2.29).

Reference no: EM131020955

Questions Cloud

Company will also pay out a liquidating dividend : JJ Industries will pay a regular dividend of $1.70 per share for each of the next four years. At the end of four years, the company will also pay out a liquidating dividend. If the discount rate is 12 percent, and the current share price is $62, what..
Evaluating mutually exclusive capital budgeting projects : When evaluating mutually exclusive capital budgeting projects, the NPV and IRR could conflict with each other in the ranking of projects. List and explain three reasons why a conflict could exist. Which technique is best to use in a conflict? Explain..
Execute an arbitrage and determine the size of the profit : Today, the spot price of gold is $700/oz. The market price of a 7-month gold futures contract today is $750. The riskfree rate is 9% p.a. The storage cost of gold is 1% p.a. of the gold price and is payable over the life of storage. Show step by step..
Different component cost than the investors required return : The internal cost of common equity is the same as the common stockholder’s required return. Explain why this relationship is true while the component costs of debt, preferred stock, and external common equity have a different component cost than the ..
Debt-to-total assets ratio : Krisle and Kringle's debt-to-total assets ratio is 0.445 (i.e., debt ratio = 44.5%). What is the company’s debt- to-equity ratio? (Enter answer as a ratio rounded to 2 decimal places – that is, do not convert to a percent; for example, enter 80/35 = ..
Average accounts receivable balance : Knight Roundtable Co. has annual credit sales of $576,000 and an average collection period of 35 days in 2008. What is the company’s average accounts receivable balance?
Dreamworld corportation began construction of new warehouse : The average accumulated expenditures for 2017 by the end of the construction period was:$1,100,750.$2,203,000.$1,416,200.$1,754,200.
What is your effective rate of interest : Your bank will lend you $4,600 for 55 days at a cost of $40 interest. What is your effective rate of interest?
Explain whether you should agree with your partner analysis : Your partner looks over your calculation of marginal cost and says: "You forgot about that bank loan we received two years ago. If we take into account the amount we pay on that loan, it adds $10 per barrel to our marginal cost of production." Bri..

Reviews

Write a Review

Financial Management Questions & Answers

  Why might mutual funds be attractive to banks

Explain how the composition of a small community bank's investment portfolio differs, in general, from the composition of a large bank's portfolio. Why might mutual funds be attractive to banks?

  What are the forecasted retained earnings for year

Year 2010 ending retained earnings were 2,000,000. Year 2011 forecasted sales are $100,000 with 25% net margin and 20% divident payout ratio. What are the forecasted retained earnings for year 2011?

  About inflations effect on net present value

Which of the following statements about inflation’s effect on net present value (NPV) is correct? When the selling price and cost per unit are expected to increase at the same rate, forgetting to take inflation into account in a capital budgeting ana..

  What will these bonds sell for at issuance

Tesla Corporation needs to raise funds to finance a plant expansion, and it has decided to issue 25-year zero coupon bonds to raise the money. The required return on the bonds will be 9 percent. What will these bonds sell for at issuance?

  Dividend policy results in most consistent dividend stream

In industries with volatile earnings, the residual dividend policy results in the most consistent dividend stream. If the clientele effect is correct, firms should follow a constant dividend payout ratio policy. In general, the higher the number of p..

  What is the present value of a year annuity

What is the present value of a 11-year annuity of $5,000 per period in which payments come at the beginning of each period? The interest rate is 14 percent. Use Appendix D.

  Any tax loss carry back or carry forward provisions

During 2014, Eagle Beach Company EBC) had sales of $1,000,000, cost of goods sold of $425,000, administrative and selling expenses of $95,000, depreciation expense of $140,000 and interest expense of $70,000. The tax rate is 35 percent. Ignore any ta..

  Dividends is expected to continue into foreseeable future

Wombat+Wombat is a well-established creative design agency located on the East Coast. It has experienced very stable growth in both earnings and dividends over the past 10 years, averaging 7% per annum. If this growth in dividends is expected to cont..

  Calculate the business loss amount and personal loss amount

Mr. Smith constructed a building at a cost of $80,000 on land that he leases. He uses half of the building for business purposes and lives in the other half. In the current year, a flood damaged the entire building. Cost of building $80,000 Depreciat..

  Outstanding shares of binder corporation stock

Buddy owns 100 of the outstanding shares of Binder Corporation stock. Buddy's basis in his Binder Corporation stock is $100,000. Binder Corporation is merged with Clipper Corporation in a tax-free reorganization.  Buddy and Bruce each own 25% of Clip..

  Manage a risky portfolio with an expected rate of return

Assume that you manage a risky portfolio with an expected rate of return of 18% and a standard deviation of 34%. The T-bill rate is 5.5%. Your risky portfolio includes the following investments in the given proportions: Stock A 32 % Stock B 36 % Stoc..

  Coupon rate will remain fixed until the bond matures

A 12-year bond has an annual coupon rate of 8%. The coupon rate will remain fixed until the bond matures. The bond has a yield to maturity rate of 10%. The bond is currently selling at a price above its par value. If market interest rates decline, th..

Free Assignment Quote

Assured A++ Grade

Get guaranteed satisfaction & time on delivery in every assignment order you paid with us! We ensure premium quality solution document along with free turntin report!

All rights reserved! Copyrights ©2019-2020 ExpertsMind IT Educational Pvt Ltd