I’m working on a Business question and need guidance to help me study.
Read the 3 files that I attach it and Do fact sheet and powerpoint about the factsheet Also see the sample of factsheet that I attach It
Assignment
– Winfield Refuse Management, Inc. Case – Raising debt versus equity
In choosing the “best” financing option for Winfield Refuse Management, Inc., consider the following:
Pros and cons of issuing debt versus equity – specific to Winfield Refuse
Interpreting EBIT chart and how used in your decision making
Annual cash outlays for each financing decision, especially annual cash outlay in 2013 and 2030
Risk and Return tradeoffs for bondholders versus stockholders – specific to Winfield Refuse
Impact of each financing decision on relevant financial ratios, impact to control, corporate flexibility, increased risk
Why your chosen financing option is the “best” for this company – how do you address each director’s concerns
Note
standard 1" margins
single-spacing (text)
double-spacing between paragraphs
no paragraph indentation (left justified)
size 12 font, Times New Roman, black text
italicized or bold font for section headings