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Lostsunrise [7]
3 years ago
8

Explique como a regulação do sistema financeiro Brasileiro pode contribuir para o crescimento e o desenvolvimento econômico?

Business
1 answer:
Alex Ar [27]3 years ago
3 0

Answer:

hola

Explanation:

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7. Constant growth rates One of the most important components of stock valuation is a firm’s estimated growth rate. Financial st
olchik [2.2K]

Based on information given, Robert’s forecast of PAMC’s growth rate will be 11.4%.

Here, we are going to calculate Robert’s forecast of PAMC’s growth rate by using the information provided..

<u />

  • The formula to be deployed is Price = Dividend in 1 year/(cost of equity - growth rate)

<u />

<u>Given Information</u>

Pan Asia Mining Co.’s stock is trading at $13.75

Expected year-end dividend = $0.66

Stock’s expected rate of return = 6.60%.

<em> </em>

<em>$</em>13.75 = $0.66 / (6.60% - Growth rate)

<em>$</em>13.75 = $0.66 / (0.066 - Growth rate)

<em>$</em>13.75*((0.066 - Growth rate) = $0.66

$0.9075 - $13.75(Growth rate) = $0.66

$13.75(Growth rate) = $0.66 + $0.9075

Growth rate = $1.5675 / $13.75

Growth rate = 0.114

Growth rate = 11.4%

Therefore, Robert’s forecast of PAMC’s growth rate will be 11.4%.

See similar solution here

<em>brainly.com/question/15517733</em>

4 0
3 years ago
In order to obtain a job you may have to go through the typical sequence of interviews, which includes
Scrat [10]
Hello,

The answer to this question is B. preliminary screening stage, selection stage, and review stage.
8 0
3 years ago
In compliance with new policies, banks increased rate of interest on housing loans. Gregory’s real estate business started suffe
Tju [1.3M]

Answer:

Financial Risk

Explanation:

8 0
3 years ago
Old-style and standard sprinklers protect ceiling equally well. True or false
gayaneshka [121]

Answer: False

Explanation: old style sprinklers sprayed in a circle, outward. New sprinklers are designed to spray more downwardly.

3 0
3 years ago
P11-45. Statement of Cash Flows (Indirect Method). Artic Company’s income statement and comparative balance sheet follow. ARTIC
Wittaler [7]

Answer and Explanation:

a. The computation of change in cash during 2019 is shown below:-

Change in cash = Cash balance on 31 Dec 2019 - Cash balance on 31 Dec 2018

= $49,000 - $28,000

= $21,000

b. The Preparation of statement of cash flows using the indirect method of 2019 is shown below:-

                                       <u>Artic Company’s</u>

                                 <u>By using the direct method</u>

                                <u> For the year ended 2019</u>

<u>Particulars                                                                    Amount</u>

Cash flow from operating activities

Net income/loss                                                            ($42,000)

Adjustment to reconcile the net income

Depreciation expenses                     $22,000

Less: Gain on sales of land                ($25,000)

Changes in current assets and current liabilities

Decrease in accounts receivable       $8,000

($50,000 - $42,000)

Decrease in Inventory                          $6,000

($113,000 - $107,000)

Decrease in Prepaid advertising          $3,000

($13,000 - $10,000)

Increase in Interest payable                  $6,000

Less: Decrease in accounts payable    ($14,000)           $6,000

($31,000 - $17,000)

Net cash provided by operating activities                     ($36,000)

Cash flow from investing activities    

Cash received from sale of land               $70,000

Cash paid for equipment                            ($183,000)

($360,000 - ($222,000 - $45,000)

Cash flow provided by investing activities                       ($113,000)

Cash flow from financing activities

Cash received from issue of bonds payable $200,000

Cash payment for Treasury stock                   ($30,000)

Net cash provided by financing activities                        $170,000    

Net Increase (Decrease) in cash                                        $21,000

Cash baalance on 21 Dec 2018                                          $28,000

Cash balance on 31 Dec 2019                                             $49,000

5 0
3 years ago
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