5 . What is the capital structure of the company ?: Short term portion of Long Term Debt , Long Term Debt , Preferred Stock ( if any ), and market value of Common Stock issued and outstanding ?
6 . What is the company ’ s current actual Beta ?
7 . What would the Beta of this company be if it had no Long Term Debt in its capital structure ? ( Apply the Hamada Formula .)
8 . What is the company ’ s current Marginal Tax Rate ? 9 . What is the Cost of Debt , before and after taxes ? 10 . What is the Cost of Preferred Stock ( if any )? 11 . What is the Cost of Equity ? 12 . What is the cash dividend yield on the Common Stock ? 13 . What is the Weighted Average Cost of Capital of the company ? 14 . What is the Price Earnings Multiple of the company ? 15 . How has the company ’ s stock been performing in the last 5 years ?
16 . How would you assess the overall risk structure of the company in terms of its Operating Risks and Financial Risk ( Debt to Capitalization Ratio )?
17 . Would you invest in this company ? Why ? Or Why not ?
18 . The last page of your paper should be a Bibliography of the sources you used to prepare this paper .