Legal and Technical Writing
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Computer Science
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The project deliverables are as follows:
- Title Page
- Course number and name
- Project name
- Your name
- Date
- Project Manual Draft
- Draft the sections of your procedures manual building on your approved project from Unit 1.
- Brochure
- Create a tri-fold brochure, including graphics and information that would be used to promote your procedures manual that you are creating.
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New England College of Business and Finance Computer Science Questions
Attached Files: Question 1 - Building a Model - Goodman & Landry Data.xlsx (18.865 KB)Question 1The attached file contains ...
New England College of Business and Finance Computer Science Questions
Attached Files: Question 1 - Building a Model - Goodman & Landry Data.xlsx (18.865 KB)Question 1The attached file contains hypothetical data for working this problem. Goodman Corporation’s and Landry Incorporated’s stock prices and dividends, along with the Market Index, are shown in the file. Stock prices are reported for December 31 of each year, and dividends reflect those paid during the year. The market data are adjusted to include dividends.Use the data given to calculate annual returns for Goodman, Landry, and the Market Index, and then calculate average returns over the five-year period. (Hint: Remember, returns are calculated by subtracting the beginning price from the ending price to get the capital gain or loss, adding the dividend to the capital gain or loss, and dividing the result by the beginning price. Assume that dividends are already included in the index. Also, you cannot calculate the rate of return for 2015 because you do not have 2014 data.)Calculate the standard deviation of the returns for Goodman, Landry, and the Market Index. (Hint: Use the sample standard deviation formula given in the chapter, which corresponds to the STDEV function in Excel.) On a stand-alone basis which corporation is the least risky?Construct a scatter diagram graph that shows Goodman’s and Landry’ returns on the vertical axis and the Market Index’s returns on the horizontal axis. Estimate Goodman’s and Landry’s betas as the slopes of regression lines with stock returns on the vertical axis (y-axis) and market return on the horizontal axis (x-axis). (Hint: use Excel’s SLOPE function.) Are these betas consistent with your graph?The risk-free rate on long-term Treasury bonds is 8.04%. Assume that the market risk premium is 6%. What is the expected return on the market? Now use the SML equation to calculate the two companies' required returns.If you formed a portfolio that consisted of 60% Goodman stock and 40% Landry stock, what would be its beta and its required return?Suppose an investor wants to include Goodman Industries’ stock in his or her portfolio. Stocks A, B, and C are currently in the portfolio, and their betas are 0.769, 0.985, and 1.423, respectively. Calculate the new portfolio’s required return if it consists of 30% of Goodman, 20% of Stock A, 30% of Stock B, and 20% of Stock C.Question 2Quest Financial services balance sheets report $200 million in total debt, $100 million in short-term investments, and $30 million in preferred stock. Quest has 10 million shares of common stock outstanding. A financial analyst estimated that Quest’s value of operations is $1000 million. What is the analyst’s estimate of the intrinsic stock price per share?Question 3Lincoln Incorporated is expected to pay a $4.5 per share dividend at the end of this year (i.e., D1 = $4.50). The dividend is expected to grow at a constant rate of 5% a year. The required rate of return on the stock is, rs, is 12%. What is the estimated value per share of Boehm stock?Question 4Assume that the average firm in Masters Corporation’s industry is expected to grow at a constant rate of 3% and that its dividend yield is 5%. Masters is about as risky as the average firm in the industry and just paid a dividend (D0) of $2.5. Analysts expect that the growth rate of dividends will be 25% during the first year (g0,1 = 25%) and 10% during the second year (g1,2 = 10%). After Year 2, dividend growth will be constant at 5%. What is the required rate of return on Masters’s stock? What is the estimated intrinsic per share?Question 5Several years ago, Macro Riders issued preferred stock with a stated annual dividend of 5% of its $600 par value. Preferred stock of this type currently yields 10%. Assume dividends are paid annually.a. What is the estimated value of Macro’s preferred stock? b. Suppose interest rate levels have risen to the point where the preferred stock now yields 14%. What would be the new estimated value of Macro’s preferred stock?Question 61. Define each of the following terms:Call optionPut optionStrike price or exercise priceExpiration dateExercise valueOption priceTime valueWriting an optionCovered optionNaked optionIn-the-money callOut-of-the-money callLEAPS2. The current price of a stock is $50. In 1 year, the price will be either $65 or $35. The annual risk-free rate is 10%. Find the price of a call option on the stock that has an exercise price of $55 and that expires in 1 year. (Hint: Use daily compounding.)3. The exercise price on one of Chrisardan Company’s call options is $20, its exercise value is $27, and its time value is $8. What are the option’s market value and the price of the stock?Submit your answers in a Word document.
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Most Popular Content
University of Houston Organizational Leadership Essay
Discuss what performance management is and how it influences effective teams.
Review table 11.1, define leadership behavio ...
University of Houston Organizational Leadership Essay
Discuss what performance management is and how it influences effective teams.
Review table 11.1, define leadership behaviors (in your own words) and note which behaviors are beneficial at specific organizational activities (example: project planning, leading coworkers, etc…). Please note at least five organizational activities and be specific when responding.
Note at least two organizational capabilities and compare and contrast each.
New England College of Business and Finance Computer Science Questions
Attached Files: Question 1 - Building a Model - Goodman & Landry Data.xlsx (18.865 KB)Question 1The attached file contains ...
New England College of Business and Finance Computer Science Questions
Attached Files: Question 1 - Building a Model - Goodman & Landry Data.xlsx (18.865 KB)Question 1The attached file contains hypothetical data for working this problem. Goodman Corporation’s and Landry Incorporated’s stock prices and dividends, along with the Market Index, are shown in the file. Stock prices are reported for December 31 of each year, and dividends reflect those paid during the year. The market data are adjusted to include dividends.Use the data given to calculate annual returns for Goodman, Landry, and the Market Index, and then calculate average returns over the five-year period. (Hint: Remember, returns are calculated by subtracting the beginning price from the ending price to get the capital gain or loss, adding the dividend to the capital gain or loss, and dividing the result by the beginning price. Assume that dividends are already included in the index. Also, you cannot calculate the rate of return for 2015 because you do not have 2014 data.)Calculate the standard deviation of the returns for Goodman, Landry, and the Market Index. (Hint: Use the sample standard deviation formula given in the chapter, which corresponds to the STDEV function in Excel.) On a stand-alone basis which corporation is the least risky?Construct a scatter diagram graph that shows Goodman’s and Landry’ returns on the vertical axis and the Market Index’s returns on the horizontal axis. Estimate Goodman’s and Landry’s betas as the slopes of regression lines with stock returns on the vertical axis (y-axis) and market return on the horizontal axis (x-axis). (Hint: use Excel’s SLOPE function.) Are these betas consistent with your graph?The risk-free rate on long-term Treasury bonds is 8.04%. Assume that the market risk premium is 6%. What is the expected return on the market? Now use the SML equation to calculate the two companies' required returns.If you formed a portfolio that consisted of 60% Goodman stock and 40% Landry stock, what would be its beta and its required return?Suppose an investor wants to include Goodman Industries’ stock in his or her portfolio. Stocks A, B, and C are currently in the portfolio, and their betas are 0.769, 0.985, and 1.423, respectively. Calculate the new portfolio’s required return if it consists of 30% of Goodman, 20% of Stock A, 30% of Stock B, and 20% of Stock C.Question 2Quest Financial services balance sheets report $200 million in total debt, $100 million in short-term investments, and $30 million in preferred stock. Quest has 10 million shares of common stock outstanding. A financial analyst estimated that Quest’s value of operations is $1000 million. What is the analyst’s estimate of the intrinsic stock price per share?Question 3Lincoln Incorporated is expected to pay a $4.5 per share dividend at the end of this year (i.e., D1 = $4.50). The dividend is expected to grow at a constant rate of 5% a year. The required rate of return on the stock is, rs, is 12%. What is the estimated value per share of Boehm stock?Question 4Assume that the average firm in Masters Corporation’s industry is expected to grow at a constant rate of 3% and that its dividend yield is 5%. Masters is about as risky as the average firm in the industry and just paid a dividend (D0) of $2.5. Analysts expect that the growth rate of dividends will be 25% during the first year (g0,1 = 25%) and 10% during the second year (g1,2 = 10%). After Year 2, dividend growth will be constant at 5%. What is the required rate of return on Masters’s stock? What is the estimated intrinsic per share?Question 5Several years ago, Macro Riders issued preferred stock with a stated annual dividend of 5% of its $600 par value. Preferred stock of this type currently yields 10%. Assume dividends are paid annually.a. What is the estimated value of Macro’s preferred stock? b. Suppose interest rate levels have risen to the point where the preferred stock now yields 14%. What would be the new estimated value of Macro’s preferred stock?Question 61. Define each of the following terms:Call optionPut optionStrike price or exercise priceExpiration dateExercise valueOption priceTime valueWriting an optionCovered optionNaked optionIn-the-money callOut-of-the-money callLEAPS2. The current price of a stock is $50. In 1 year, the price will be either $65 or $35. The annual risk-free rate is 10%. Find the price of a call option on the stock that has an exercise price of $55 and that expires in 1 year. (Hint: Use daily compounding.)3. The exercise price on one of Chrisardan Company’s call options is $20, its exercise value is $27, and its time value is $8. What are the option’s market value and the price of the stock?Submit your answers in a Word document.
5 pages
27201872
Chapter 4 – Review the section on Linear Development in Learning Approaches. Discuss how learning changes over time impa ...
27201872
Chapter 4 – Review the section on Linear Development in Learning Approaches. Discuss how learning changes over time impact organizational culture. ...
CYB 320 University of Phoenix Core Solutions of SharePoint Server 2013 HW
Reflect on the cultural and global political considerations for the use of a sharing service as presented in the lab and t ...
CYB 320 University of Phoenix Core Solutions of SharePoint Server 2013 HW
Reflect on the cultural and global political considerations for the use of a sharing service as presented in the lab and the data which could be hosted and made available via the Internet. Reflect on the idea that some issues, such as keeping data unalterable, could transcend cultures, while other IT choices could depend on your cultural perspective.Consider the following:How cultural perspective could impact the security decisions of an administrator setting up SharePoint® Server 2013 citing choices that were made in the labsGlobal political issues, such as corruption, human rights, and rights to privacy in the U.S. and Key Nations, based on your readings and discussions this weekWrite a 1- to 2-page example of a policy statement using Microsoft® Word. Include the following:A brief description of the types of data that are hosted and made available via the Internet using SharePoint® Server 2013. Include at least two types.At least two cultural or global political considerations for sharing services (e.g., privacy rights)Your opinion regarding any IT choices that seem to transcend cultureAt least one example of choices you have when administering SharePoint® Server 2013 that could depend on your ethical stanceA brief policy statement for configuring SharePoint® Server 2013 that aligns with your ethical stance on data integrity (e.g., "The organization will seek to protect confidential and proprietary information when configuring SharePoint® Server 2013.")
KGSM Compare the IoT with Regular Internet Discussion
Compare the IoT with regular Internet.Discuss the potential impact of autonomous vehicles on our lives.Why must a truly sm ...
KGSM Compare the IoT with Regular Internet Discussion
Compare the IoT with regular Internet.Discuss the potential impact of autonomous vehicles on our lives.Why must a truly smart home have a bot?Why is the IoT considered a disruptive technology?AT&T is active in smart city projects. Investigate their activities (solutions). Write a summary.It is said that the IoT will enable new customer service and B2B interactions. Explain how.Find information about Sophia, a robot from Hanson Robotics. Summarize her capabilities.
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