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[判断题]

A company must optimize performance of free cash flow divers at the operating level.公司必须在操作面优化自由现金流驱动因素的表现。()

提问人:网友欧阳灿 发布时间:2022-09-28
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更多“A company must optimize perfor…”相关的问题
第1题
听力原文:Credit cards are big business. Americans spend $16 billion a year on cards and th

听力原文: Credit cards are big business. Americans spend $16 billion a year on cards and there are already 590 millions of them in circulation. Many banks sponsor their own credit card companies and issue cards free to their customers. Other credit card companies charge their members annual dues. The stores that accept credit cards must pay a small fee to the credit card company—a percentage of the purchase price of the merchandise or service. Credit card companies make a profit from the fees they charge the store and also from the fees collected from customers who pay for their charges in monthly installments. However, credit card companies sometimes have problems collecting overdue payments from unreliable customers. Also, the use of stolen, lost or counterfeit credit cards by criminals has become a big headache for the credit card company that is responsible for the goods and services illegally charged to its customer's account.

Yet, in many ways, the big loser in the credit card system is not the credit card company, the store, or the card user, but rather the general customer. The store makes up for the fees it pays to the credit card company by increasing prices for goods and services. Stores may have more sales if they accept cards, but the added cost to the store when credit cards are accepted instead of cash is actually passed on to all customers in higher prices. In this way the cash customer suffers for the convenience the credit card customer enjoys.

(33)

A.The bank.

B.The store that accepts the card.

C.The credit card company.

D.The customer himself.

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第2题
If a company generates free cash flow, that money technically belongs to shareholders.
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第3题
Section A – BOTH questions are compulsory and MUST be attemptedCoeden Co is a listed compa

Section A – BOTH questions are compulsory and MUST be attempted

Coeden Co is a listed company operating in the hospitality and leisure industry. Coeden Co’s board of directors met recently to discuss a new strategy for the business. The proposal put forward was to sell all the hotel properties that Coeden Co owns and rent them back on a long-term rental agreement. Coeden Co would then focus solely on the provision of hotel services at these properties under its popular brand name. The proposal stated that the funds raised from the sale of the hotel properties would be used to pay off 70% of the outstanding non-current liabilities and the remaining funds would be retained for future investments.

The board of directors are of the opinion that reducing the level of debt in Coeden Co will reduce the company’s risk and therefore its cost of capital. If the proposal is undertaken and Coeden Co focuses exclusively on the provision of hotel services, it can be assumed that the current market value of equity will remain unchanged after implementing the proposal.

Coeden Co Financial Information

Extract from the most recent Statement of Financial Position

Coeden Co’s latest free cash flow to equity of $2,600,000 was estimated after taking into account taxation, interest and reinvestment in assets to continue with the current level of business. It can be assumed that the annual reinvestment in assets required to continue with the current level of business is equivalent to the annual amount of depreciation. Over the past few years, Coeden Co has consistently used 40% of its free cash flow to equity on new investments while distributing the remaining 60%. The market value of equity calculated on the basis of the free cash flow to equity model provides a reasonable estimate of the current market value of Coeden Co.

The bonds are redeemable at par in three years and pay the coupon on an annual basis. Although the bonds are not traded, it is estimated that Coeden Co’s current debt credit rating is BBB but would improve to A+ if the non-current liabilities are reduced by 70%.

Other Information

Coeden Co’s current equity beta is 1·1 and it can be assumed that debt beta is 0. The risk free rate is estimated to be 4% and the market risk premium is estimated to be 6%.

There is no beta available for companies offering just hotel services, since most companies own their own buildings. The average asset beta for property companies has been estimated at 0·4. It has been estimated that the hotel services business accounts for approximately 60% of the current value of Coeden Co and the property company business accounts for the remaining 40%.

Coeden Co’s corporation tax rate is 20%. The three-year borrowing credit spread on A+ rated bonds is 60 basis points and 90 basis points on BBB rated bonds, over the risk free rate of interest.

Required: (a) Calculate, and comment on, Coeden Co’s cost of equity and weighted average cost of capital before and after implementing the proposal. Briefly explain any assumptions made. (20 marks) (b) Discuss the validity of the assumption that the market value of equity will remain unchanged after the implementation of the proposal. (5 marks) (c) As an alternative to selling the hotel properties, the board of directors is considering a demerger of the hotel services and a separate property company which would own the hotel properties. The property company would take over 70% of Coeden Co’s long-term debt and pay Coeden Co cash for the balance of the property value. Required: Explain what a demerger is, and the possible benefits and drawbacks of pursuing the demerger option as opposed to selling the hotel properties. (8 marks)

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第4题
阅读理解:阅读下面的短文,根据文章内容进行判断,正确写“T”错误写“F”。An annual report of a co

阅读理解:阅读下面的短文,根据文章内容进行判断,正确写“T”错误写“F”。

An annual report of a company provides information about its business performance for certain people. These people include the investors, potential investors and other stakeholders. From the report, people can understand the company’s business scope, recent situation and future development. The main parts of an annual report usually include chairman’s letter, financial statements and operation analysis.

● CHAIRMAN’S LETTER

Usually, an annual report should contain a letter from the chairman. The letter should provide details about the successes and the challenges of the past year. It should also include the future outlook for the company.

● OPERATION ANALYSIS

The operation analysis is an overview of the business in the past year. It usually includes new hires and new product introductions. At the same time, it will introduce business acquisitions and other important issues.

● FINANCIAL STATEMENTS

The financial statements are very important for an annual report. People can know the company’s performance in the past from the statements. It usually consists of the following three aspects. The first one is the profit and loss statement. The second one is the balance sheet. And the third one is the cash flow statement.

1. An annual report of a company provides some information about its business performance for certain people.{T、F}

2. People can know everything of the company from the annual report.{T、F}

3. An annual report usually includes chairman’s letter, financial statements and operation analysis.{T、F}

4. A chairman’s letter should include the strategic direction moving forward.{T、F}

5. This passage is mainly about the main parts of an annual report.{T、F}

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第5题
6. Due to the fact that products in dogs do not offer significant financial gain to the company, instead they consume cash investment, they are recognized as ____________.

A、market shares

B、mature stage

C、poor performance

D、cash traps

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第6题
请根据短文内容判断给出的语句是否正确,正确的写“T”,错误的写“F”。

An annual report of a company provides information about its business performance for certain people. These people include the investors, potential investors and other stakeholders. From the report, people can understand the company's business scope, recent situation and future development. The main parts of an annual report usually include chairman's letter, operation analysis and financial statements.

·Chairman's Letter

Usually, an annual report should contain a letter from the chairman. The letter should provide details about the successes and the challenges of the past year. It should also include the future outlook for the company.

·Operation Analysis

The operation analysis is an overview of the business in the past year. It usually includes new hires and new product introductions. At the same time, it will introduce business acquisitions and other important issues.

·Financial Statements

The financial statements are very important for an annual report. People can know the company's performance in the past from the statements. It usually three aspects. The first one is the profit and loss statement. The second one is the balance sheet. And the third one is the cash flow statement.

() 26. An annual report of a company provides some information about its business performance for certain people.

() 27. People can know everything of the company from the annual report.

() 28. An annual report usually includes chairman's letter, financial statements and operation analysis.

() 29. A chairman's letter should include the strategic direction moving forward.

() 30. This passage is mainly about the main parts of an annual report.

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第7题
Free cash flow is defined as:

A、money in a company's bank account.

B、government funds given to a company for meeting Environmental Protection Agency (EPA) regulations.

C、additional funds donated by stockholders.

D、cash in excess of that required to fund investments in the company's industry and to meet any debt commitments.

E、cash borrowed by the company that requires no interest payments.

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第8题
Under the accrual basis of accounting

A.cash must be disbursed before an expense is recognizeD

B.profit is calculated by matching cash outflows against cash inflows.

C.events that change a company’s financial statements are recognized in the period they occur rather than in the period in which cash is paid or receive

D.the ledger accounts must be adjusted to reflect a cash basis of accounting before financial statements are prepared under generally accepted accounting principles.

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第9题
The use of financial ratio analysis is most likelylimited in which of the following s
ituations? When:

A.providing a means of evaluating management’s ability.

B.comparing companies using different accounting methods.

C.providing insights into microeconomic relationships within a company that help analysts project earnings and free cash flow.

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第10题
【单选题】Lincoln Company paid $8 million cash for research anddevelopment. EVA capital was
computed as$20 million. Lincoln Company cost ofcapital was 15%. To add economic valueto the firm, Lincoln Company must generate revenues less operating costs of atleast:

A、$4.2 million

B、$9.2 million

C、$11 million

D、$28 million

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第11题
If a company arranges to pay later rather than in cash for materials and other expenses, its accountant must set up accounts _____.
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