How much will debt be worth at the time of conversion

Assignment Help Financial Management
Reference no: EM131089382

Jonna Vella, Inc. is raising $250,000 in early stage money to fund development of their prototype. The company is still in a very early stage, and doesn't feel ready to put a valuation on themselves. So they are raising this round as a convertible debt round with the following parameters: the debt will convert to equity on the first priced round, at the valuation of the firm in that priced round, plus a 20% bonus. The debt will earn 5% per year until conversion. Suppose that the company raises $1 million in a priced round in one year, and that the round values the company at $10 million.

How much will the debt be worth (in dollars) at the time of conversion?

What % ownership of the company will that represent, at the time of conversion?

What % ownership of the company will the new investors want to own for their $1 million?

If the founders own 100,000 shares, how many shares will the new investors receive?

How many shares will the convertible debt holders receive at conversion?

Make a simple table to show the shares owned, and corresponding % ownership, by each of the three groups (founders, convertible debt investors, equity investors) after conversion.

Suppose that the convertible debt investors try to negotiate a larger "bonus" of 25% to their investment (so they would receive an extra 25% share of the company instead of 20%). Who would benefit from this, and who would lose?

Suppose that the convertible debt investors negotiate a valuation "cap" of $5 million. This means that their debt would convert as if the company were worth no more than $5 million, regardless of the valuation from the priced round. Who wins and loses with this valuation cap?

Reference no: EM131089382

Questions Cloud

Evaluate relevant information from variety of sources : Communicate clearly, concisely and correctly in the written, spoken and visual form that fulfills the purpose and meets the needs of the audience; Apply a systematic approach to solve problems;
Description of data collection and analysis methods : HI6007 - Business Research Report Proposal A business research topic. Strengthen and improve initial proposal and a brief literature review of the research topic. Produce 2 to 3 pages on background information on your research topic.
Hedge short call option when the strike price : The current price of a non-dividend-paying stock is $30. Over the next six months it is expected to rise to $36 or fall to $26. Assume the risk-free rate is zero. What long position in the stock is necessary to hedge a short call option when the stri..
Quantitative techniques for business : The aim of this project is to evaluate di↵erent portfolio compositions of financial assets based on time series data. It requires both the statistics and mathematics components of the unit and you should be able to do parts of the project as the u..
How much will debt be worth at the time of conversion : Jonna Vella, Inc. is raising $250,000 in early stage money to fund development of their prototype. The company is still in a very early stage, and doesn't feel ready to put a valuation on themselves. How much will the debt be worth (in dollars) at th..
Driving a car that are analogous to the assumptions : What are the conditions that would have to exist for driving a car that are analogous to the assumptions made when using exponential smoothing?
Question regarding the productivity paradox : In the past there was concern about a "productivity paradox" related to IT services. More recently, there have been few references to this phenomenon. Using the Internet, explain the term "productivity paradox." Why do you think that the discussio..
Production of goods and delivery of services : Many organizations offer a combination of goods and services to their customers. As you learned in this chapter (Chapter One- Operation and srevice mangamnet Book), there are some key differences between production of goods and delivery of service..
Briefly how issue is handled in the criminal justice system : It should be from a historical perspective and related to a contemporary criminal justice issue. In the abstract explain the issue, explain the historical attempts to resolve or address the issue, and discuss briefly the how the issue is handled i..

Reviews

Write a Review

Financial Management Questions & Answers

  How corporate valuation model and adjusted present value

Explain how the corporate valuation model and the adjusted present value (APV) method are used to estimate the value of a target company. If someone did a complete and careful analysis of a given target using both of these methods, would they produce..

  How much will she save per month for remainder of loan life

Two years ago Abilia purchased a $13,000 car; she paid $2,500 down and borrowed the rest. She took a fixed rate 60-month instalment loan at a stated rate of 7.0% per year. Interest rates have fallen during the last two years and she can refinance her..

  The security market line relates risk to return

The Security Market Line (SML) relates risk to return, for a given set of financial market conditions. If investors conclude that the inflation rate is going to increase, which of the following changes would be most likely to occur?

  Behavior documented by insurance companies means

The behavior documented by insurance companies means that they select bonds with

  Calculate expected return on each stock

State of Economy Probability of State of Economy Return if State Occurs. Calculate the expected return on each stock. Assume the capital asset pricing model holds and Stock A's beta is greater than stock B's beta by 0.25, what is the expected market ..

  Explain purpose of coinsurance in both types of insurance

Coinsurance clauses are found in many property policies as well as in many health insurance policies, although the purpose of each is vastly different. Explain the purpose of the coinsurance in both types of insurance. Coinsurance in property insuran..

  Should china be forced to alter the value

Counter-point of this argument and express your opinion on this topic One to two paragraph and while in the discussion, read the point and counter-point which I have provided on this topic, then click on the forum in which you'd like to comment.

  What was the average nominal risk premium on stock

You’ve observed the following returns on Crash-n-Burn Computer’s stock over the past five years: 18 percent, –14 percent, 20 percent, 22 percent, and 10 percent. Suppose the average inflation rate over this period was 3.1 percent and the average T-bi..

  Question 1consider an asset which pays continuous

question 1consider an asset which pays continuous dividend.nbsp letnbsp s 100 and r10.nbspsuppose the 6-month futures

  Assume both portfolios-What must be the risk-free rate

Assume both portfolios A and B are well diversified, that E(rA) = 12.4% and E(rB) = 13.2%. If the economy has only one factor, and βA = 1 while βB = 1.1, What must be the risk-free rate?

  Developing the relevant cash flows associated

Covol industries is developing the relevant cash flows associated with the proposed replacement of an existing machine tool with a new; technologicaly advanced one. Given the following costs related to the proposed project, explain WHY each would be ..

  Why are leverage your business model deals over-priced

Why are leverage your business model (LBM) deals 'over-priced'; whereas reinvent your business model (RBM) deals 'underpriced'?

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