Description
FIN 370 Week 5 Question and Problem Sets
Chapter 18
Question 3: Changes in the Operating Cycle
Question 11: Calculating the Cash Budget
Chapter 20
Question 8: Size of Accounts Receivable
Question 14: Credit Policy Evaluation
Chapter 21
Question 4: Using Spot and Forward Exchange
Question 7: Interest Rates and Arbitrage
Chapter 26
Question 1: Calculating Synergy
Question 2: Balance Sheets for Mergers