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Consider two companies:  

Look at the profiles (financial statements for 2018) of each on yahoo finance and discuss the followings (you need to calculate these values yourself and show details of your calculations):

  • How many outstanding shares the company has? 
  • What is the market value of the company? 
  • What is the book value of the company? 
  • What is the beta for the company?
  • How do you find the risk free rate? (consider the market risk premium to be 8%)
  • Using CAPM calculate the expected return on the equity for the company. 
  • (To get the required rate of return on debt, divide the interest expense by total debt) 
  • (To get the total debt, add the short term debt to long term debt) 
  • What is the Weighted average cost of capital (WACC) for the company?
  • What is the leverage (total debt/equity ratio) for the company?
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