Use of cash

Assignment Help Financial Management
Reference no: EM13763814

Which one of the following is a use of cash?

a) Issuing new shares of stock

b) Increasing accounts payable

c) Decreasing inventory

d) Decreasing fixed assets

e) Increasing accounts receivable

Reference no: EM13763814

Questions Cloud

Nominal annual yield rate compounded semi annually : A 10 year bond has semi-annual coupons. The coupon rate is 5% for the first 5 years and 9% for the following 5 years. The bond has face amount of 100 and a redemption amount of 105. Six months before the first coupon, the bond is purchased for 100. C..
What is the expected return and the variance of portfolio : Consider the following information: Rate of Return If State Occurs State of Probability of Economy State of Economy Stock A Stock B Stock C Boom .17 .358 .458 .338 Good .43 .128 .108 .178 Poor .33 .018 .028 ?.062 Bust .07 ?.118 ?.258 ?.098  What is t..
Compact fluorescent lamps have become more popular : Compact fluorescent lamps (CFLs) have become more popular in recent years, but do they make financial sense? Suppose a typical 60-watt incandescent lightbulb costs $0.52 and lasts for 1,000 hours. A 15-watt CFL, which provides the same light, costs $..
Due to technological improvements : Your company has been approached to bid on a contract to sell 5,200 voice recognition (VR) computer keyboards a year for four years. Due to technological improvements, beyond that time they will be outdated and no sales will be possible.
Use of cash : Which one of the following is a use of cash?
What is the present value of the future amount : What is the present value of the following future amount? $495,461 to be received 15 years from now, discounted back to the present at 6.36 percent, compounded daily.
Determines the finished goods inventory level : Which one of the following inventory management appraoches determines the finished goods inventory level and then works backward until the raw material needs are determined?
What is the average collection period : LaDoris & Mike, Inc. sells earnings forecasts for Chinese securities. It's credit terms are 1/5, net 15. Based on experience, 85 percent of all customers take the discount. What is the average collection period?
Payback period for a project with an initial investment : What is the payback period for a project with an initial investment of $180,000 that provides annual cash inflow of $40,000 for the first three years and $25,000 per year for years four and five, and $50,000 per year for years six through eight?

Reviews

Write a Review

Financial Management Questions & Answers

  What is the present value of the car payments

The car dealership offers you no money down on a car. You may pay for the car in 4 equal annual end of the year payments of 10,352 each, with the first payment to be made one year from today. If the discount rate is 9.99 percent compounded annually w..

  Calculate your total profit from triangular arbitrage

You observe the following three exchange rates at which you can buy or sell (borrow or lend). Calculate your total profit from triangular arbitrage, reporting your total profit in $ (by first calculating the profit in British pounds and then converti..

  Explain what is meant by naïve diversification

Determine the expected return and standard deviation of returns for a portfolio of 90 securities and explain what is meant by naïve diversification

  What is the length of the annuity time period

D’Angelo Barksdale is considering an annuity which costs $160,000 today. The annuity pays $17,500 a year at an annual interest rate of 7.50 percent. What is the length of the annuity time period?

  Primary concerns should your firm make change to credit

In order to increase sales, the sales manager of your firm is proposing to offer 90 day credit terms rather than 60 day credit terms to customers. As a financial manager which of the following would be one of your primary concerns should your firm ma..

  What is his portfolios beta

Troy has a 2-stock portfolio with a total value of $100,000. $37,500 is invested in Stock A with a beta of 0.75 and the remainder is invested in Stock B with a beta of 1.42. What is his portfolio’s beta?

  Standard deviation of the portfolio return

You have a 2-stock portfolio with a total value of $510,000. $195,000 is invested in Stock A and the remainder is invested in Stock B. If standard deviation of Stock A is 19.90%, Stock B is 9.35%, and correlation between Stock A and Stock B is –0.60,..

  Cost benefit analysis

Use the cost benefit analysis to recommend to Smith whether Sun Gas should proceed will the Web based ordering system. Give your reasons, showing supporting calculations.

  Explain the role of cash and of earnings when a corporation

Explain the role of cash and of earnings when a corporation is deciding how much, if any, cash dividends to pay to common stockholders.

  Level outlay under amortization method with interest rate

Show that the borrower’s periodic outlay for a standard sinking fund method repayment at rate j is larger than the level outlay under amortization method with the interest rate i, if i > j.

  Solve the following problems and be able to discuss them

solve the following problems and be able to discuss them relative to the financial management of a company.thress

  Security a has a beta of 10 and an expected return of 12

security a has a beta of 1.0 and an expected return of 12. security b has a beta of 0.75 and an expected return of 11.

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