true or false anabaena is a simple multicellular photosynthetic cyanobacteria

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Answer 1

Overall, Anabaena is a fascinating and important organism that has contributed greatly to our understanding of photosynthesis, nitrogen fixation, and the evolution of multicellularity.

True, Anabaena is a simple multicellular photosynthetic cyanobacteria. Anabaena is a genus of filamentous cyanobacteria that are capable of performing photosynthesis. They are classified as a type of bacteria, but they have the ability to form colonies or filaments that can reach several centimeters in length. These filaments are made up of individual cells that are connected by small tubes called heterocysts.Anabaena is an important member of aquatic ecosystems, where it plays a key role in fixing nitrogen and producing oxygen through photosynthesis. It is also used in research as a model organism for studying the genetics of multicellularity and the evolution of photosynthesis.

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Related Questions

The security market line, within the first quadrant of a graph, begins at which point?
A) Asset or Portfolio Required Return =0
B) Asset or Portfolio Beta =1
C) Asset or Portfolio Required Return =1
D) Asset or Portfolio Beta =0
E) The risk-free rate
F) Both (A) and (D)
G) Both (D) and (E)
H) Both (B), (C), and (E)
I) None of the above

Answers

The security market line, within the first quadrant of a graph, begins at the risk-free rate. So, correct option is E.

The security market line (SML) is a graphical representation of the relationship between the expected return and the beta of an asset or portfolio. It depicts the expected return of an asset or portfolio given its systematic risk (measured by beta).

In the SML graph, the y-axis represents the expected return, and the x-axis represents the beta. The SML line starts at the risk-free rate of return (the return on a risk-free investment such as a government bond). This is because an asset with zero systematic risk (beta of 0) should earn the risk-free rate.

Therefore, the correct answer is (E) The risk-free rate. The SML begins at the point where the asset or portfolio has zero systematic risk (beta = 0), and its expected return is equal to the risk-free rate.

Options (A) and (D) are incorrect because they suggest that either the required return or beta is zero, which does not correspond to the starting point of the SML. Option (B) is incorrect because beta = 1 does not define the starting point of the SML. Option (C) is incorrect because required return = 1 does not represent the beginning of the SML. Options (F), (G), and (H) are incorrect because they combine incorrect choices.

Therefore, the correct answer is (E) The risk-free rate.

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A job application is a form used to make a job request. (3 points)
True
False

Answers

Answer:

I would say it is True.

Explanation:

A job application form states your personal information

You are considering taking out one of two loans. Loan R has a principal of $17,550, an interest rate of 5. 32% (compounded monthly), and a duration of seven years. Loan S has a principal of $15,925, an interest rate of 6. 07% (compounded monthly), and a duration of nine years. Assuming that you pay back each in monthly intervals, which loan will have a greater lifetime total, and how much greater will it be? Round all dollar values to the nearest cent. A. Loan S’s lifetime total will be $1,274. 12 greater than Loan R’s. B. Loan S’s lifetime total will be $32. 99 greater than Loan R’s. C. Loan R’s lifetime total will be $350. 88 greater than Loan S’s. D. Loan R’s lifetime total will be $58. 96 greater than Loan S’s.

Answers

The difference between the monthly payment of R and S is equal to $48.53 by following the compound interest formula. Thus, Loan R's monthly loan amount is greater than Loan S.

What is a Compound interest loan?

Combined interest (or compound interest) is the loan interest or deposit calculated based on both the original interest and accrued interest from earlier periods.

\(\rm\,For\,R\\\\P = \$\,17,550\\r\,= 5.32\%\\Time\,= n= 7\,years\\Amount\,paid= [P(1+\dfrac{r}{100\times12})^{n\times12} ]\\=[ 17,550 (1+\dfrac{5.32}{100\times12})^{7\times12} ]\\= [ 17,550 (\dfrac{12.0532}{12})^{84} ]\\\\= [ 17,550 (1.00443^{84} ]\\\\= \$ 25,440.48\\\\Total\,monthly\,payment = \rm\,\dfrac{25,440.48}{84}\\\\= \$\, $302.86\\\\\)

\(\rm\,For\,S =\\\\P=\,\$ 15,925\\r\,= 6.07\%\\T=n= 9\,years\\\\Amount\,paid\,= [P(1+\dfrac{r}{100\times12})^{n\times12} ]\\\\\= [15,925(1+\dfrac{0.0607}{12})^{9\times12} ]\\\\\\= [15,925(1+\dfrac{0.0607}{12})^{108} ]\\\\=[15,925(1.7247.84)} ]\\\\\= \$27,467.19\\\\Total\,monthly\,payment =\dfrac{\rm\,\$\,27,469.19}{108}\\\\= \$ 254.326\\\\\)

The difference between the monthly payment of R and S is equal to $48.53.

Hence, Loan R's monthly payment is greater than the loan's monthly payment by $48.53

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The most common time frame individuals use when developing a budget is _____. A) Yearly B) Monthly C) Daily D) Weeklyeco​

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Answer:

Monthly

Explanation:

a medicare benefit period begins with the first day of hospitalization and ends when the patient has been out of the hospital for __________ consecutive days.

Answers

A Medicare benefit period begins with the first day of hospitalization and ends when the patient has been out of the hospital for 60 consecutive days.


A Medicare benefit period starts on the first day you receive hospital or skilled nursing care as an inpatient. A benefit period ends when you've been out of the hospital or skilled nursing care facility for at least 60 days in a row. If you go into a hospital or a skilled nursing facility after one benefit period has ended, a new benefit period will start when you return to that hospital or facility. A benefit period starts on the day you enter a hospital and ends on the day you leave. It covers your hospital care, skilled nursing care, home health care, and hospice care if you receive all of these services in one facility or if you transfer to another care facility while under a hospital's care.

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similarities between editing and proofreading

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A proofreader will look for misspelling, incorrect/ missed punctuation, inconsistencies , etc. Editing, corrects issues at the core of writing like sentence construction and language clarity.
——————————————————-
Hope this helps :)

2. cavo corporation expects an ebit of $23,750 every year forever. the company currently has no debt, and its cost of equity is 15 percent. the corporate tax rate is 35 percent. (5 points) a. What is the current value of the company? b.Suppose the company can borrow at 9 percent. What will the value of the firm be if the company takes on debt equal to 60 percent of its unlevered value?

Answers

A. the current value of the company is approximately $158,333.33. and B. the value of the firm after taking on debt will be approximately $178,283.33.

a. To calculate the current value of the company (unlevered firm value), we can use the perpetuity formula for the present value of cash flows:
Unlevered Firm Value = EBIT / Cost of Equity
Given:
EBIT = $23,750
Cost of Equity = 15%
Unlevered Firm Value = $23,750 / 0.15 = $158,333.33
Therefore, the current value of the company is approximately $158,333.33.

b.
The tax shield benefit can be calculated as follows:
Tax Shield Benefit = Interest Expense * Tax Rate
Given:
Tax Rate = 35%
|To find the interest expense, we need to determine the amount of debt taken on. The debt will be 60% of the unlevered firm value:
Debt = 0.6 * Unlevered Firm Value = 0.6 * $158,333.33 = $95,000
Now we can calculate the interest expense:
Interest Expense = Debt * Interest Rate
Given:
Interest Rate = 9%
Interest Expense = $95,000 * 0.09 = $8,550
Tax Shield Benefit = $8,550 * 0.35 = $2,992.50
The levered firm value can be calculated by adding the present value of the perpetuity of the tax shield benefit to the unlevered firm value:
Levered Firm Value = Unlevered Firm Value + (Tax Shield Benefit / Cost of Equity)
Levered Firm Value = $158,333.33 + ($2,992.50 / 0.15) = $158,333.33 + $19,950 = $178,283.33
Therefore, the value of the firm after taking on debt will be approximately $178,283.33.

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the controller of jeong company prepared the following projected income statement: line item description amount sales $92,000 total variable cost 69,920 contribution margin $22,080 total fixed cost 8,640 operating income $13,440 required: 1. calculate the contribution margin ratio. note: enter as a percent, rounded to the nearest whole number. fill in the blank 1 of 1 % 2. calculate the variable cost ratio. note: enter as a percent, rounded to the nearest whole number. fill in the blank 1 of 1 % 3. calculate the break-even sales revenue for jeong. note: round your answer to the nearest dollar. fill in the blank 1 of 1$ 4. how could jeong increase projected operating income without increasing the total sales revenue?

Answers

The contribution margin ratio is calculated by dividing the contribution margin by the total sales revenue. In this case, the contribution margin is $22,080 and the total sales revenue is $92,000. Therefore, the contribution margin ratio is 24%.

The variable cost ratio is calculated by dividing the total variable cost by the total sales revenue. In this case, the total variable cost is $69,920 and the total sales revenue is $92,000. Therefore, the variable cost ratio is 76%.

The break-even point is the level of sales revenue at which the company's total revenues equal its total costs, resulting in zero profit or loss. To calculate the break-even sales revenue for Jeong, we can use the formula: Break-even sales revenue = Total fixed cost / Contribution margin ratio. In this case, the total fixed cost is $8,640 and the contribution margin ratio is 24%. Therefore, its break-even sales revenue for Jeong is $36,000.

Jeong can increase projected operating income without increasing total sales revenue by reducing variable costs and/or fixed costs. For example, they could negotiate better prices for raw materials or reduce wastage to decrease variable costs. They could also reduce overhead expenses or find more efficient ways of operating to decrease fixed costs.

By reducing costs, they can increase their contribution margin and hence operating income, without increasing sales revenue. Another option could be to increase the selling price of their product, although this would need to be carefully considered to ensure it does not negatively impact sales volume.

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Compute gross profit earned by the company for each of the four costing methods. For specific identification, units sold include 80 units from beginning inventory, 340 units from the March 5 purchase, 40 units from the March 18 purchase, and 120 units from the March 25 purchase

Answers

Here, the FIFO method's gross profit will be 19100, the LIFO method's gross profit will be 17980, the Avg cost method's gross profit will be 18652, and the Specific ID method's gross profit will be 18360.

First in, first out (FIFO) is an uncomplicated approach to inventory valuation based on the presumption that commodities acquired or created first are sold first. According to theory, the older stock is sent to clients before the newer stock.

The LIFO approach is predicated on the idea that the most recent items added to a company's inventory have already been sold. The computation was done using the purchase prices of these current goods.

A company's gross profit is calculated by deducting its entire sales from its total cost of products sold. All products sold by the business are included in the overall sales. All of the variable costs related to sales are added together to form the overall cost of the products sold.

Particulars                      FIFO         LIFO  Avg cost      Spec. ID

Sales                              50900 50900   50900        50900

Cost of goods sold      31800         32920   32248        32540

Gross Profit                     19100         17980   18652        18360

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In order to assess whether ______ is working, managers can ask if the individual businesses are worth more under the firm's management or if they are worth more under individual management.

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Diversification

Businesses that employ diversification techniques enter brand-new industries. Diversification calls for entering an altogether new value chain, as opposed to vertical integration, which entails a company entering a new portion of an existing value chain. Many businesses do this through merging or buying other businesses, while some simply grow into new markets on their own.

Three tests for diversification

A proposed diversification move must pass three requirements in order to be approved (Porter, 1987).

How appealing is the market a company is thinking about entering? Entering a new industry can be exceedingly hazardous unless it has significant profit potential.

Will the company, as well as the new entity, benefit? Diversification ought to be avoided until one party or the other acquires a competitive advantage. The costs of creating new medications might never be fully recouped.

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Im a helper rnoifn2rfcqnmcfienrfq ya

Answers

Answer:

thans for the points

Explanation:

Answer:

alright

Explanation:

How many publications are related to green nanoparticles?

Answers

Answer:

If you mean nanoparticles for environmental applications then let's see…

2018, more than 166,000 articles related to nanotechnology were published, indicating an increase of more than 7% compared to the corresponding period last year.

No specific category for the environment is disclosed. However, I would say at least 3/4 are related to climate change or environmental

Isaac has analyzed two mutually exclusive projects that have 3-year lives. Project a has an npv of $81,406, a payback period of 2. 48 years, and an aar of 9. 31 percent. Project b has an npv of $82,909, a payback period of 2. 57 years, and an aar of 9. 22 percent. The required return for project a is 11. 5 percent while it is 12 percent for project b. Both projects have a required aar of 9. 25 percent. Isaac must make a recommendation and justify it in 15 words or less. What should his recommendation be?.

Answers

Since the projects are mutually exclusive, only one project can be accepted Accept Project B and reject Project A because Project B has higher NPV

Since the payback period and IRR is being met by both, Project with a higher NPV must be selected for higher value addition.

Mutually special tasks are capital tasks that compete without delay with each different.

For instance, if a supervisor has to make a desire strictly between challenge either assignment X or Y, however not each of them simultaneously, then initiatives X and Y are stated to be at the same time specific.

The difference among together extraordinary and impartial events is: a jointly exclusive event can absolutely be described as a scenario when occasions can not arise at an identical time whereas an unbiased occasion takes place whilst one event remains unaffected via the incidence of the opposite event.

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Veronica owns a pottery business and is insured under a commercial property policy. She was in the process of building an extra structure for the sole purpose of kiln firing her pottery when a massive storm came through and blew down all the scaffolding, which added additional cost to the construction project. Which coverage extension of the Builder’s Risk Coverage Form would cover the scaffolding?

Answers

Answer: Scaffolding, construction forms, and temporary structures

Explanation:

The builders risk coverage form simply refers to the insurance policy which covers both the residential structures and the commercial structures when such structures are being constructerd or renovated.

Based on the information given, the coverage extension of the Builder’s Risk Coverage Form that would cover the scaffolding will be scaffolding, construction forms, and temporary structures.

the yield to maturity on one-year zero-coupon bonds is 9%. the yield to maturity on two-year zero-coupon bonds is 10%. required: a. what is the forward rate of interest for the second year?

Answers

The Forward rate of Interest for the second year is 10%.

= (1+r₂)² = (1+r₁)×(1+f₂)

Where r₂= Two year Zero Coupon Yield =9%

r₁= One year Zero Coupon yield = 8%

f₂= Forward rate for the Second Year

f₂=[(1+.09)2/(1+.08)]-1= 10%

Therefore the Forward rate of Interest for the second year is 10%.

Under Pure Expectations theory, long-term rates propose that long-term rates of interest are determined using the current and future expected interest rates. We computed the forward rate for the second year to be 10%. Under the Expectations hypothesis, the best guess for the short-term interest rate for next year is 10%. Liquidity Preference theory assumes that investors prefer to hold cash and more liquid securities. Investors demand higher interest rates for securities that have a longer maturity period. Cash is one of the most liquid assets. Therefore interest rates on Short term Maturity would be lower, as investors are not compromising on the liquidity of the security when compared to a security with a longer-term maturity. Therefore the answer would be lower.

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If silver ions were slowly added to a mixture of aqueous halide ions, what would occur? Select the correct answer below: silver chloride would precipitate silver bromide would precipitate silver iodide would precipitate all possible silver halides would precipitate

Answers

If a solution containing halide ions is gradually mixed with silver ions, the specific silver halide that would precipitate depends on the specific halide ion present in the mixture.

When silver ions are added to a mixture of aqueous halide ions, a precipitation reaction occurs as the silver ions combine with the halide ions to form an insoluble salt called a silver halide. The specific silver halide that would precipitate depends on the specific halide ion present in the mixture.

For example, if the mixture contains chloride ions (Cl⁻), silver chloride (AgCl) would precipitate as it is insoluble in water. Similarly, if the mixture contains bromide ions (Br⁻), silver bromide (AgBr) would precipitate, and if the mixture contains iodide ions (I⁻), silver iodide (AgI) would precipitate.

It's important to note that the solubility of silver halides depends on the concentration of the halide ions and the pH of the solution. In acidic solutions, the solubility of silver chloride decreases, while the solubility of silver iodide increases. Therefore, the specific silver halide that would precipitate in a mixture of aqueous halide ions can be affected by the pH of the solution.

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if capital is equal to 100,000 and investment is equal to 15,000, this will be a steady state if depreciation is at a rate of

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In a steady-state with a capital of 100,000 and an investment of 15,000, the depreciation rate should be 15%.

To determine the steady-state with a capital of 100,000 and an investment of 15,000, we'll need to find the depreciation rate.

1. First, recall that in a steady-state, investment equals depreciation.


2. In this scenario, investment is 15,000.


3. Let's denote the depreciation rate as "d" and capital as "K."


4. The formula for depreciation is: Depreciation = d * K.


5. Substituting the given values, we have: 15,000 = d * 100,000.


6. To solve for the depreciation rate "d," divide both sides of the equation by 100,000: d = 15,000 / 100,000.


7. Simplifying the fraction gives us: d = 0.15 or 15%.

Therefore, depreciation rate is 15%.

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Integration is summation operation performed on discrete random variables

Answers

The options available are:

A. No

B. Yes

C. None of the options

D. Both A and B

Answer:

Yes

Explanation:

Given that, integration involves integral calculus to give numbers processes such that it defines characteristics like area, sizes, volumes, length, and other similar concepts that have a measurable number of practical values by summing together smaller data.

Integration is one of the two fundamental operations of calculus. The other one is differentiation which operates inversely.

Hence, the statement is correct.

the risk of employee opportunism, on behalf of agents, is exacerbated by the concept of multiple choice corporate governance. stakeholder analysis. competitive advantage. information asymmetry.

Answers

Option A. The risk of employee opportunism, on behalf of agents is exacerbated by the concept of multiple corporate governances.

Stakeholder analysis is a framework used by organizations to determine how they affect and are affected by stakeholders in their operations.

What is employee opportunism?  Employee opportunism is a situation where the interests of the employer and the employee are not aligned, and the employee pursues their self-interest at the expense of the organization. The employee may manipulate the rules or use their position to gain an advantage or benefit.

The concept of multiple corporate governance structures exacerbates the risk of employee opportunism. This concept refers to a situation where different entities within an organization have different interests that they seek to advance.

In such a situation, employees may use their positions to favor one entity over another, leading to a conflict of interests and ultimately compromising the organization's objectives.

What is stakeholder analysis? Stakeholder analysis is a framework used by organizations to determine how they affect and is affected by stakeholders in their operations. It involves identifying stakeholders, assessing their interests, and evaluating their power or influence over the organization. The goal of stakeholder analysis is to identify the key stakeholders and understand their expectations, concerns, and demands in order to develop strategies that ensure their support and minimize conflicts.

Option A- corporate governance.

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Recall the educational and other requirements for Geographers. What are some requirements that would be helpful to
include in this career plan? Check all that apply.
master's degree and GISP certification
communication skills, including reading, writing, listening, and speaking
sales skills
associate degree, and GAST certification
leadership and supervisory skills for managing teams of other people
analytical and critical thinking skills
computer skills

Answers

Answer:

1 2 6 7

Explanation:

good luck luvs !!

Answer:

1,2,6,7

Explanation:

everyone who says otherwise is a big fat liar >:(

Recall the educational and other requirements for Geographers. What are some requirements that would

How important is money

Answers

Answer:

very important

Explanation:

money is a global income source for everyone. we all have different types but it is all still money. now say one country got rid of money and had people pay for stuff using other things. if china did that lots of different countries wouldn't be able to get stuff from there unless they had so much of that product they could just give it up.

Quote one purpose of the organization culture in a case study of MPUMI BOTTLE MANUFACTURE ​

Answers

One purpose of the organization culture in this bottling company is that it would help to create a rule for expected behavior among the employees in the organization.

What is organizational culture?

This is the collection of values, what the company expects of its employees and the guides and rules to the behavior of members of the organization.

In a company, organizational culture helps to establish the norms and the ethics in the business environment.

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A korean steel company produces steel in the united states, with some of its steel being exported to other nations and some of it being sold within the united states. If the prices of this steel increase, then.

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If the prices of this steel increase, then the GDP deflator and CPI will both increase.

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A korean steel company produces steel in the united states, with some of its steel being exported to

Which economic tool would most likely be used as part of an expansionary
monetary policy?
O A. Selling treasury securities
B. Raising the reserve requirement
C. Reducing the discount rate
D. Increasing interest on reserves

Answers

Answer:

C. Reducing the discount rate

Explanation:

Expansionary monetary policies are macroeconomic undertakings by the Federal Reserve that aim at stimulating economic growth in the economy. Expansionary policies result in an increased flow of money in the country, which increases the aggregate demand.

The discount rate is the rate at which the Federal Reserve (the Fed ) charges commercial banks for advancing them credit. Reducing the discount rate makes loans from the Fed more affordable. Commercial banks will opt to borrow from the Fed at lower rates and lend out to households and firms at a higher interest rate, thereby making profits. Reducing the discount rate increases the money available for banks to lend out. Households and businesses will borrow this money for development and investments, which ignites economic growth.

Answer:

reducing the discount rate

Explanation:

ap3x

ABC Company needs Tk 32,00,000 for the expansion of its business. The manager of the company decided to raise the funds as follows:
I. Issuing common stock for Tk 12,00,000 with Tk. 100 each with a flotation cost of 6.5%. The company's next expected dividend is Tk. 22.5 per share, and the dividend payout ratio is 34%, where the return from its reinvestment is 13.5%.
I. The firm plans to issue 11% bond with a face value of 2500 for 20 years to manage Tk. 15,00,000. The company is in the tax bracket of 34%.
IlI. Issuing 8.5% preferred stock for Tk.100 each with a flotation cost of 4.5% for collecting the remaining needed capital. From the above data calculate-
i. The cost of each components of capital structure.
ii. The WACC where the weights are taken as the proportion of amount
collection with each component.

Answers

The cost of each component in ABC Company's capital structure is: equity - 9.135%, debt - 7.26%, preferred stock - 0.093%. The Weighted Average Cost of Capital (WACC) is 6.833% based on the proportion of funds raised from each component.

To calculate the cost of each component of the capital structure, we need to consider the cost of equity, cost of debt, and cost of preferred stock. Let's calculate each component:

I. Cost of Equity:

The cost of equity can be determined using the Dividend Discount Model (DDM). The formula for the cost of equity is as follows:

Cost of Equity = (Next Expected Dividend / Current Stock Price) + Growth Rate of Dividends

Next Expected Dividend = Tk. 22.5 (given)

Current Stock Price = Tk. 100 (given)

Growth Rate of Dividends = Retention Ratio * Return from Reinvestment

Retention Ratio = 1 - Dividend Payout Ratio = 1 - 0.34 = 0.66

Return from Reinvestment = 13.5% (given)

Cost of Equity = (22.5 / 100) + (0.66 * 13.5) = 0.225 + 8.91 = 9.135%

II. Cost of Debt:

The cost of debt is calculated as the yield to maturity (YTM) of the bond. The formula for the cost of debt is as follows:

Cost of Debt = YTM * (1 - Tax Rate)

YTM = 11% (given)

Tax Rate = 34% (given)

Cost of Debt = 0.11 * (1 - 0.34) = 0.11 * 0.66 = 0.0726 = 7.26%

III. Cost of Preferred Stock:

The cost of preferred stock can be calculated as the preferred dividend divided by the net issuing price of preferred stock. The formula for the cost of preferred stock is as follows:

Cost of Preferred Stock = Preferred Dividend / (Net Issuing Price - Flotation Cost)

Preferred Dividend = 8.5 (given)

Net Issuing Price = Tk. 100 - (Tk. 100 * 0.045) = Tk. 100 - Tk. 4.5 = Tk. 95.5 (Tk. 100 - Flotation Cost)

Flotation Cost = 4.5% (given)

Cost of Preferred Stock = 8.5 / (95.5 - (95.5 * 0.045)) = 8.5 / (95.5 - 4.2975) = 8.5 / 91.2025 = 0.093%

Now, let's calculate the Weighted Average Cost of Capital (WACC):

WACC = (Weight of Equity * Cost of Equity) + (Weight of Debt * Cost of Debt) + (Weight of Preferred Stock * Cost of Preferred Stock)

Given:

Total Funds Required = Tk. 32,00,000

Amount raised through Common Stock = Tk. 12,00,000

Amount raised through Bond = Tk. 15,00,000

Amount raised through Preferred Stock = Remaining amount after Common Stock and Bond

Weight of Equity = Amount raised through Common Stock / Total Funds Required = Tk. 12,00,000 / Tk. 32,00,000 = 0.375

Weight of Debt = Amount raised through Bond / Total Funds Required = Tk. 15,00,000 / Tk. 32,00,000 = 0.46875

Weight of Preferred Stock = Remaining amount / Total Funds Required = (32,00,000 - 12,00,000 - 15,00,000) / 32,00,000 = 0.15625

WACC = (0.375 * 9.135%) + (0.46875 * 7.26%) + (0.15625 * 0.093%) = 3.425625% + 3.4059375% + 0.001453125% = 6.833%

Therefore, the Weighted Average Cost of Capital (WACC) for the company is 6.833%.

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Today's theories about motivation emphasize the importance of factors within the individual particularly the variables of expectancy and value Students' motivations are strongly influenced by what they think is important (value) and what they believe they can accomplish (expectancy). Who quote is this?

Answers

What students value and what they believe can accomplish have a significant impact on their motivation expectancy. This quote comes from the philosophy of motivation.

What motivational ideas does the expectancy-value theory put forth?

The relationship between a student's expectation for success at a task or the achievement of a goal in relation to the value of task completion or goal attainment is described by the expectancy-value theory, which is a theory of motivation. A student's expectation for success on a particular activity is referred to as expectancy. Theoretical models of motivation nowadays place a strong emphasis on internal factors, particularly the variables of expectation and value.

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Scale efficiencies are the cost advantages that enterprises obtain as fixed costs are spread out over more units of output. But some companies sacrifice scale efficiencies for responsiveness to local conditions. In these companies, country managers understand local laws, customs, and tastes and can decide how to meet them and increase sales. This global strategy is called

Answers

Answer: multi-domestic strategy

Explanation:

A multi-domestic strategy refers to a strategy whereby a company responds to the local market by making and customizing their product in order to match the different national conditions.

The strategy enables the multinational's individual subsidiaries to be able to compete independently in the domestic markets. An example of a multidomestic company that uses the multidomestic strategy is Nestlé which utilizes its marketing approach for the markets where it operates as it tastes is based on the needs of the people in the country.

On July 1, 2021, Bonita Industries issued 3500 of its 10%, $1,000 bonds at 99 plus accrued interest. The bonds are dated April 1, 2021 and mature on April 1, 2031. Interest is payable semiannually on April 1 and October 1. What amount did Bonita receive from the bond issuance

Answers

Answer:

On July 1, Year 1, Howe Corp. issued 300 of its 10%, $1,000 bonds at 99 plus accrued interest.

The bonds are dated April 1, year 1 and mature on April 1, year 11. Interest is payable semiannually on April 1 and October 1.

What amount did Howe receive from the bond issuance?

a) $304,500

b) $300,000

c) $297,000

d) $289,500

a) $304,500

The amount received is the price of the bonds plus interest from April 1, the bond date, to July 1, the issue date:

Amount received = .99(300)($1,000) + .10(3/12 year)(300)($1,000) = $304,500

The second term in the above calculation uses 3/12 of a year, which is the portion of a year between April 1 and July 1.

If the value of the goods and services a country produces increases while its
population stays the same, which statement must be true?
A. The country's unemployment rate has decreased.
B. The country's total GDP has decreased.
C. The country's per capita GDP has increased.
D. The country's rate of inflation has increased.

Answers

If the value of the goods and services a country produces increases while its population stays the same, "the country's per capita GDP has increased."

This is based on the idea that per capita GDP is a form of GDP measure that divides the total GDP, particularly a country with the population or number of people living in that country.

Therefore, when the value of the goods and services a country produces increases while its population stays the same, "the country's per capita GDP has increased."

Hence, in this case, the correct answer is option C. "the country's per capita GDP has increased."

Learn more here: https://brainly.com/question/17361672

Answer: The country's per capita GDP has increased. So "C" is right.

Explanation: Just took the quiz

Using a loan could help with the purchase of which of the
following?
Airline tickets to your dream vacation
A dream wedding
A house
A new television

Answers

Answer:

A house

Explanation:

Answer:

A house

Explanation:

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