33.Given the following information about a firm: debt-to-equity ratio of 50% tax rate of 40% cost of debt of 8% cost of equity of 13%, the firm's weighted average cost of capital (WACC) is closest to: A:A.7.5%. B:B.8.9%. C:C.10.3%....
A firm has a debt to asset ratio of 60%, $300,000 in debt, and net income of $50,000. Calculate return on equity. A. 60% B. 20% C. 25% D. not enough information Return on Equity: Return on equity (ROE...
Any ratio measuring risk-adjusted returns can have different interpretations depending on the investor. Each investor has different risk tolerance levels and, depending on factors such as age, financial situation, and income, might have different investment goals. Therefore, each investor interprets the...
Depending on its economic meaning and the context in which it's used; it is possible to talk about various concepts and definitions of "government debt" as a measure of a country's indebtedness. In terms of international comparisons and measurement of country risk, the concept of "government ...
The study estimates that overall global debt since 2007 has increased by a staggering $57 trillion, outpacing world GDP growth and raising the debt-to-GDP ratio by 17... Looming financial collapse of Greece spells beginning of the end of global debt Ponzi scheme3/11/2015 - The European ...
A is incorrect because the debt-to-equity ratio, rate of return on common stock, earnings per share, price-earnings ratio, and book value per share were all affected by exercising the stock options.B is incorrect because not enough information is given to calculate the asset turnover.D is ...
After documenting the return persistence and predictability of Hedge funds, we examine the information ratio performance of FoHF (Fund of Hedge Funds) portfolios for the 1994-2005 period. We also analyze the return enhancing role of FoHF in equity- and debt-oriented TAAs (tactical asset allocations...
steady improvement; total capital ratio was 17.52%, providing a firmer foundation for development. CCB fulfilled the responsibilities as a large bank while adhering to its original mission, and made progress on all fronts while serving the economy and society. We delivered a stable, balanced and ...
(%) Return on average total assets2 Return on weighted average net assets3 Net interest margin4 Net interest spread5 Return on risk-weighted assets1, 6 Net fee and commission income to operating income Cost-to-income ratio7 Data per share (RMB Yuan) Basic earnings per shar...
(2) Other comprehensive income that may be reclassified subsequently to profit or loss Fair value changes of debt instruments measured at fair value through other comprehensive income Allowances for credit losses of debt instruments measured at fair value through other comprehensive income ...