Aspin Corporation’s charter authorizes issuance of 2‚000‚000 shares of common stock. Currently‚ 1‚400‚000 shares are outstanding‚ and 100‚000 shares are being held as treasury stock. The firm wishes to raise $48‚000‚000 for a plant expansion. Discussions with its investment bankers indicate that the sale of new common stock will net the firm $60 per share. a. What is the maximum number of new shares of common stock that the firm can sell without receiving further authorization from shareholders
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ch10 Student: ___________________________________________________________________________ 1. The capital gains yield plus the dividend yield on a security is called the: A. geometric return. B. average period return. C. current yield. D. total return. 2. The expected return on a security in the market context is: A. a negative function of execs security risk. B. a positive function of the beta. C. a negative function of the beta. D. a positive function of the excess security
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Diminishing returns From Wikipedia‚ the free encyclopedia Jump to: navigation‚ search In economics‚ diminishing returns (also called diminishing marginal returns) refers to how the marginal production of a factor of production starts to progressively decrease as the factor is increased‚ in contrast to the increase that would otherwise be normally expected. According to this relationship‚ in a production system with fixed and variable inputs (say factory size and labor)‚ each additional unit of
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The main point on this video is what factors contributed to the stock market crash to start the Great Depression in the 1930s. Because there was no regulation or government involvement in the stock markets at the time‚ corruption ran ramped. In the 1920s and 30s it was not considered corruption because there no laws against insider trading as there are today. The stock markets were manipulated to drive the cost of shares and stock up through the illusion that the market was strong and everyone was
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Stock market crash of 1929 The stock market crash of 1929. Lots of people ask the question‚ how did it happen? Or What was the after math of the crash? Today these questions will be answered‚ and you will become a little bit more knowledgeable on the stock market crash of 1929. In my opinion the 1929 crash was much bigger than 2008 and caused more damage to the economy. Let’s talk about why the stock market crashed in 1929 as well as the aftermath of it. On October 29‚ 1929 ( Black Tuesday ) 16
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computer in market. There are a number of factors which affect the demand and supply of computers and hence the price is automatically determined from the demand-supply curve in a demand-supply model. The increasing number of population‚ preferences‚ income etc mainly affects the demand of computers. All these factors affect the demand of computers positively we get a clear right shift in demand curve that increases price and quantity of computers which may yield a shortage of computers in market
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FACTS ABOUT ASPARTAME. In an even that one wants to make something taste sweeter‚ an individual is faced with two choices; they can either use sugar and sugar alcohols or artificial sweeteners. In choosing to use artificial sweeteners also called sugar substitutes or nonnutritive sweeteners or noncaloric sweeteners‚ one can either use acesulfame K‚ neotame‚ saccharin‚ sucralose and finally Aspartame. Aaspartame is a lab manufactured sweetener that does not exist in the form of a naturally grown
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In this case this the revolution took place in two countries France and England during the seventeenth and eighteenth centuries. The Enlightenment and the political leaders commanded France in that time France to financial problems‚ causing the French Revolution. People wanted to change and brought on the revolt against their government. So France’s whole government perspective changed. First‚ there were many problems at the economic area which had to be
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profit: APOL‚SLB‚ SHLD‚DWA‚ MOD‚F 3) what went wrong and right with the specific trade and overall portfolio chapter8 page 260 loss aversion and anchoring‚ overconfidence. Buy sell policy : -10% 4) calculate data technical analysis chapter 11 &6 5) summary‚ what I have learned through Stock Trak Market efficiency‚ beat the market‚ random walk and stock price from chapter 7 ‚ page 223. Diversification page 265‚ page 373 in chapter11 Stock Trak Project Looking back the investment
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Alex Sharpe’s Portfolio Student Assignment 1. Returns and Risk Estimate and compare the returns and variability (i.e. annual standard deviation over the past five years) of Reynolds and Hasbro with that of the S&P 500 Index. Which stock appears to be riskiest? Reynolds appears to be the riskiest stock based on the returns and variability alone currently holding the highest average return out of two at 1.87%. With their higher return rate over the three they also hold the highest standard
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