Stock A has a beta of .2, and investors expect it to return 4%. Stock B has a beta of 1.8, and investors expect it to return 8%. Use the CAPM to find the expected rate of return and the market risk premium on the market. (Do not round intermediate calculations. Round your answers to 1 decimal place.)

Expected rate of return %

Market risk premium %

What must the debt-equity ratio of the firm : A firm desires a WACC of 8.4%. It's cost of equity is 11.2% and it's pre tax cost of debt is 7.1%. The firm does not issue preferred stock. Tax rate is 38%. What must the debt-equity ratio of the firm be if it is to achieve it's target WACC? |

Develop a compelling presentation to the operations manager : Develop a compelling presentation to the operations manager that will explore the benefits of implementing supply chain management on his floor. . |

Debt and equity ratio : Black Knight has debt/Equity ratio of .6, a Beta of 1.12, a stock price of 42/share, and a tax rate of 34%. The firm just paid an annual dividend of $0.80/share and plans to increase that amount by 3% annually in the future. The firm has pre tax cost.. |

Calculate the adjusted gross income : Given the following data, calculate the adjusted gross income (AGI) for David Brown's family. What are their total itemized deductions? How many personal exemptions do they receive, and how much does that save them in taxes if each exemption is worth.. |

Expected rate of return ande market risk premium : Stock A has a beta of .2, and investors expect it to return 4%. Stock B has a beta of 1.8, and investors expect it to return 8%. Use the CAPM to find the expected rate of return and the market risk premium on the market. Expected rate of return, Mark.. |

What is the present value of the horizon value : Micro Bike Company has short term investment of 50 debt of 1500 and preferred stock of 200. The equity of the micro bike has 100 shares. The company forecasts following: Based upon the above answer the following: What is the present value of the free.. |

Why does the binomial model converge to a specific value : Why does the binomial model converge to a specific value of the option as the number or time periods increase? To what value does the option converge? When "n" approaches infinity, to what famous model does the binomial model converge? |

What is the degree of operating leverage for each : Two Companies, Oplev and Finlev, Each have sales of 100,000 unites at a $2.00 cost/unit. Oplev has Variable Cost of $1.25/unit and a Fixed Cost of $60,000.. Finley has Variable cost of $1.75/unit and a fixed cost of $10,000. What is the Degree of Ope.. |

Associated with using ROI as a performance measure : ROI has been so popular in many companies around the world almost for a century. Why do you think that was the case? What are the problems associated with using ROI as a performance measure? Do you recommend any other financial measures to be used? W.. |

## Trade on the stock exchange and market risk premiumCompany XYZ is expected to pay no dividends for the next 10 years (that is, up to, and including Year 10). In year 11, the company will pay a dividend of $0.75. After that, all subsequent dividends will be growing at 5.5% per year forever. Company XY.. |

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