CHAPTER 2 OBJECT: Adding Web Forms with Code to Your Site CODE: public partial class Demos_CodeBehind : BasePage { protected void Page_Load(object sender‚ EventArgs e) { Label1.Text = "Hello World; the time is now " + DateTime.Now.ToString(); } } OUTPUT: OBJECT: Adding Formatted Text CODE: <div class="style1"> <h1 class="style2"> hi there Visitor and Welcome to planet wrox</h1> </div> <div> <h1>Hi
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Name Course Number Professor’s Name Date Buying Versus Renting a House Abstract Shelter is one of the three basic needs that are essential to human survival in the world today. Both education and clothing have been subsidised in many countries to be cost effective and in others even free. This leaves shelter as the most expensive and intensive of the three. It is for this reason that buying a home as compared to renting one becomes an emerging issue. The cost/benefits of the two options should
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{name=n;} String getName() { return name;} } class Course { String title; Course () {title=null; } Course (String n) {title=n; } void setTitle(String n) {title=n;} String getTitle() { return title;} void dropCourse(){this.title=null;} } class Registration{ Student1 s; Course c; String reg; void setRegName(String n) {s.setName(n);} String getRegName() { return s.getName();} void setRegTitle(String n) {c.setTitle(n);} String getRegTitle() { return c.getTitle();} void register(String
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4 1. You’ve observed the following returns on INTC Corporation’s stock over the past five years: -25%‚ -36%‚ 9%‚ 11%‚ and 17%. a. What was the arithmetic average return on the stock over this five-year period? b. What was the variance of returns over this period? c. What was the standard deviation of returns over this period? d. Suppose the current T-bill rate is 0.15%. What is the risk premium of owing INTC Corporation’s stock? e. What range of returns would you expect to see 95% of the time
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where improvements are necessary If our customers are satisfied Present in the balance storecard: Financial Nonfinancial Firms uses the following measures in its balanced scorecard: 1. Financial perspective—stock price‚ net income‚ return on sales‚ return on investment‚ and economic value added 2. Customer perspective—market share in different geographic locations‚ customer satisfaction‚ and average number of repeat visits 3. Internal-business-process perspective—customer-service time for making
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that the Return on Investment was as follows: |1993 |1994 |1995 |1996 |1997 |1998 |1999 |2000 |2001 |2002 |2003 | |Return on Investment % |-0.4 |5.2 |11.9 |11.5 |14.7 |12 |11.1 |6.4 |-6.5 |-9.6 |-0.3 | | In reviewing the company’s Return on Investment‚ we can see an increased in the Airline Return on Investment in 1993 the return on investment was a negative 0.4 in 1994 the return on investment became positive at 5.2 ;and in 1995 the return on investment was 11.9‚ for 1996 the return on investment
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Problems on Risk and Return 1) Using the following returns‚ calculate the arithmetic average returns‚ the variances and the standard deviations for X and Y. Year X Y 1 8% 16% 2 21 38 3 17 14 4 -16 -21 5 9 26 2) You bought one of the Great White Shark Repellant Co’s 8 per cent coupon bonds one year ago for $1030. These bonds make annual payments and mature six years from now. Suppose you decide to sell your bonds today ‚when the required return on the bonds is 7 per cent
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annual return on investment. 10 years ago‚ the company ventured to China to lower labors costs of Rocky River Industries. It suffered money losing from the day it started its operations and interference from the Chinese government. Currently the annual return on investment of the company has been 5% for the past 3 years. The president of the company is expecting a 20% return on investment. The company is looking for ways to improve its annual return on
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the purpose to examine the relationship between EVA and the company performance in Malaysia. The study indicates that EVA has a strong relationship with stock return as compared to other measures due to its focus on long-term performance. EVA enhances stock performances by including more informational content in describing the stock returns. According to the study‚ EVA is considered as a better alternative to other traditional valuation tools such as EPS‚ ROE‚ etc. Its characteristic of transparency
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