The sunk cost of the outdated PCs as a whole is $14800.Therefore, the correct option is d.
Moreover, the investment which has already been made but cannot be recouped is referred to as a sunk cost, also known as a retrospective cost.
Sunk costs in company include things like marketing, research, installing new software or equipment, paying for workers and benefits, or paying for facilities.
As can be seen, the price is $14800.
For $ 6000, the computers can be sold as scrap.
At $2400, we might even update.
Find the item's current as-new market price to determine the sunk cost of a piece of equipment that needs to be replaced.
Next, make an effort to determine the item's current market value, which should be simple with some web research. To get the sunk cost, deduct the current value from the as-new price.
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bennett company has a potential new project that is expected to generate annual revenues of $266,600, with variable costs of $146,000, and fixed costs of $62,800. to finance the new project, the company will need to issue new debt that will have an annual interest expense of $27,000. the annual depreciation is $26,200 and the tax rate is 21 percent. what is the annual operating cash flow? multiple choice
The annual operating cash flow for the new project is $45,632. The annual operating cash flow can be calculated using the formula:
Operating Cash Flow = EBIT (1 - tax rate) + Depreciation
where EBIT is Earnings Before Interest and Taxes.
First, let's calculate EBIT:
EBIT = Annual Revenues - Variable Costs - Fixed Costs
EBIT = $266,600 - $146,000 - $62,800
EBIT = $57,800
Next, we can calculate the annual operating cash flow:
Operating Cash Flow = EBIT (1 - tax rate) + Depreciation
Operating Cash Flow = $57,800 (1 - 0.21) + $26,200
Operating Cash Flow = $45,632
Therefore, the annual operating cash flow for the new project is $45,632.
Answer: $45,632
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what is discretionary fiscal policy? please explain what is an automatic stabilizer. explain how some government tax revenue and spending can depend on the state of the economy.
Discretionary fiscal policy involves active government intervention to influence the economy, while automatic stabilizers are passive mechanisms that help stabilize the economy without direct intervention. Government tax revenue and spending can vary depending on the state of the economy.
Discretionary fiscal policy refers to intentional government actions taken to influence economic activity through changes in taxes, spending, or both. It is often used to address economic fluctuations, such as combating recession or controlling inflation. Examples include tax cuts or increases in government spending on public projects.
Automatic stabilizers, on the other hand, are economic policies that help stabilize an economy without the need for active government intervention. They are built into the structure of the economy and automatically respond to changes in economic conditions. Examples of automatic stabilizers include unemployment benefits and progressive tax systems.
Government tax revenue and spending can depend on the state of the economy because both are influenced by economic activity. In times of economic growth, tax revenues tend to increase as incomes and profits rise, leading to higher tax collections. Conversely, in economic downturns, tax revenues decrease as incomes and profits fall.
Similarly, government spending can be affected by the state of the economy. For example, when the economy is in a recession, the government may increase spending to stimulate economic activity, whereas in times of inflation, the government may reduce spending to help slow down the economy.
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raj uses a functional organization design in his organization. recently, an opportunity to expand his business was presented. raj formed a temporary group to review this opportunity and see how it might fit in with the current goals of the organization. which type of organization design did raj switch to?
Raj organized a temporary panel to study this potential and determine how it would fit in with the organisation's current goals. Raj switched to a hybrid organisational design.
A hybrid organizational structure, often known as a matrix structure, combines features of functional and divisional systems into a single structure. It is known as a hybrid model since it combines these two structures. Because it has a matrix or grid-like look, it is also known as a matrix structure.
The hybrid/matrix structure seeks to combine the advantages of functional and divisional systems while minimizing their disadvantages. This structure is often employed in the manufacturing, service, non-profit, and multinational corporations.
Every organizational system has its own set of benefits and drawbacks. Some structures, such as the hybrid/matrix structure, try to eliminate vertical hierarchical levels in order to improve organisational flexibility and communication.
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a company made an error by recording too much revenue. to correct this error, the revenue account should be
A company made an error by recording too much revenue. to correct this error, the revenue account should be debited.
The receipts of the money or revenue that the person or firm obtains via their commercial activities are kept in revenue accounts, which are financial accounts.
Sales, service revenues, earned fees, interest revenue, and interest income are a few examples of revenue accounts. As services are rendered and billed, revenue accounts are credited, therefore they often have credit balances.
The income account has a credit balance and is an equity account. Hence, a credit to the revenue T-account results in a rise in the account balance. The enlarged accounting equation demonstrates how revenues raise equity.
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which of the following best describes portfolio management? group of answer choices the management of a marketplace in which stocks, bonds, and other financial instruments are traded a procedure used to settle disputes between a brokerage firm and its clients, which makes a final and usually binding decision on the matter the process of creation of a document that is made available to prospective security buyers that describes the firm and a new security issue the buying, selling, and holding of various securities in order to meet a set of predetermined investment needs and objectives the management of an agency of the federal government that regulates the disclosure of information about securities and generally oversees the operation of the securities exchanges and markets
Portfolio management best describes C. the buying, selling, and holding of various securities in order to meet a set of predetermined investment needs and objectives.
Portfolio management is an essential aspect of personal and institutional investing, as it helps investors allocate their resources efficiently to achieve desired financial goals while managing risk. A well-managed portfolio typically includes a diverse mix of assets, such as stocks, bonds, and other financial instruments. This diversification helps to minimize risk and maximize returns, as different asset classes tend to perform differently under various market conditions.
Portfolio management involves continuous monitoring of the investments and making adjustments when necessary, based on the investor's risk tolerance, investment horizon, and financial goals. Professional portfolio managers and financial advisors often use various tools and techniques to analyze and optimize portfolios, such as Modern Portfolio Theory, which focuses on maximizing returns for a given level of risk. They may also employ strategic and tactical asset allocation, which involves adjusting the proportions of different asset classes in response to changing market conditions and investment objectives.
In summary, portfolio management is the process of selecting, monitoring, and adjusting investments in order to achieve specific financial goals while managing risk. It involves the careful analysis of various securities and the development of an investment strategy that balances potential returns with an acceptable level of risk. Therefore, the correct option is C.
The question was incomplete, Find the full content below:
which of the following best describes portfolio management? group of answer choices
A. the management of a marketplace in which stocks, bonds, and other financial instruments are traded a procedure used to settle disputes between a brokerage firm and its clients, which makes a final and usually binding decision on the matter
B. the process of creation of a document that is made available to prospective security buyers that describes the firm and a new security issue
C. the buying, selling, and holding of various securities in order to meet a set of predetermined investment needs and objectives
D. the management of an agency of the federal government that regulates the disclosure of information about securities and generally oversees the operation of the securities exchanges and markets
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the opportunity cost of capital owned by the firm should reflect group of answer choices all of them wage rate differences.
The firm's opportunity cost of capital should reflect "the return forgone by using the capital rather than renting it to another firm." Option C is correct.
The opportunity cost of capital refers to the potential return that could have been earned if the capital had been used in an alternative investment. In the case of a firm, the opportunity cost of capital owned by the firm should reflect the return that could have been earned if the capital had been rented to another firm instead of being used by the current firm.
This reflects the fact that the capital could have been used to generate income for the firm in alternative ways, and therefore the return foregone by not doing so should be taken into account when assessing the value of the capital. Wage rate differences and acquisition cost may be factors that affect the opportunity cost of capital, but they are not the primary drivers of it.
Option C holds true.
The complete question:
The opportunity cost of capital owned by the firm should reflect...?
A. Wage rate differencesB. Acquisition costC. The return forgone by using the capital rather than renting it to another firmD. Both A and BLearn more about opportunity cost https://brainly.com/question/30726111
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i begin the billing cycle with a $250 balance on my credit card. on the sixth day i charge $300 more onto my card. on the 25th day i make a $450 payment, leaving me with a $100 balance for the remainder of the billing cycle. if my apr is 20 percent, how much interest will i owe?
To calculate the interest owed, we need to determine the average daily balance for the billing cycle. The average daily balance is calculated by taking the sum of the daily balances and dividing by the number of days in the billing cycle.
For this scenario, we can break down the billing cycle into three periods:
Period 1: Day 1 to Day 5
Balance = $250
Number of days = 5
Total balance for period 1 = $250 * 5 = $1250
Period 2: Day 6 to Day 24
Balance = $250 + $300 = $550
Number of days = 19
Total balance for period 2 = $550 * 19 = $10450
Period 3: Day 25 to Day 30
Balance = $100
Number of days = 6
Total balance for period 3 = $100 * 6 = $600
Total balance for the billing cycle = $1250 + $10450 + $600 = $11600
Average daily balance = $11600 / 30 = $386.67
To calculate the interest owed, we can use the following formula:
Interest = Average Daily Balance * Daily Interest Rate * Number of Days in Billing Cycle
The daily interest rate is calculated by dividing the APR by 365 days. In this case, the daily interest rate is 0.20 / 365 = 0.0005479.
Number of Days in Billing Cycle = 30
Interest = $386.67 * 0.0005479 * 30 = $6.71
Therefore, you will owe $6.71 in interest for this billing cycle.
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the form of business organization that comprises about 19 percent of all businesses in the united states is the
The form of business organization that makes up approximately 19 percent of all businesses in the United States is the sole proprietorship.
A sole proprietorship is the simplest and most common type of business structure, where a single individual owns and operates the business. It does not require any formal legal documentation or separate legal entity, and the owner is personally liable for all debts and liabilities of the business. Sole proprietorships are popular among small businesses, startups, and freelancers due to their ease of formation and flexibility, but they also carry potential risks and limitations such as unlimited personal liability and limited access to capital.
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which person has a comparative advantage in the production of tacos, and which person has a comparative advantage in the production of cakes?
Without additional information, it's impossible to determine who has a comparative advantage in the production of tacos and cakes.
To figure out who enjoys a relative benefit in the development of tacos and cakes, we really want to look at the open door expenses of creating every thing for two people.In the event that Individual A can deliver tacos at a lower opportunity cost than Individual B, then, at that point, Individual An enjoys a similar benefit in the creation of tacos.
On the off chance that Individual B can create cakes at a lower opportunity cost than Individual A, then, at that point, Individual B enjoys a relative benefit in the development of cakes.Without knowing more data about the two people's abilities, assets, and time requirements, it's difficult to figure out who enjoys a relative benefit in the creation of tacos and cakes.
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turquoise associates bought a machine at the beginning of the year at a cost of $21,500. the estimated useful life was five years and the residual value was $2,000. required: complete a depreciation schedule for the double-declining-balance method. prepare the journal entry to record year 2 depreciation.
To prepare a depreciation schedule for the double-declining-balance method and the journal entry for year 2 depreciation for Turquoise Associates, follow these steps:
Step 1: Calculate the straight-line depreciation rate.
Useful life = 5 years
Depreciation rate = 100% / 5 years = 20%
Step 2: Double the straight-line depreciation rate.
Double-declining rate = 20% * 2 = 40%
Step 3: Calculate the depreciation for each year.
Initial cost = $21,500
Residual value = $2,000
Year 1:
Depreciation expense = Initial cost * Double-declining rate
Depreciation expense = $21,500 * 40% = $8,600
Accumulated depreciation = $8,600
Book value (End of Year 1) = Initial cost - Accumulated depreciation = $21,500 - $8,600 = $12,900
Year 2:
Depreciation expense = Book value (End of Year 1) * Double-declining rate
Depreciation expense = $12,900 * 40% = $5,160
Accumulated depreciation = Previous accumulated depreciation + Depreciation expense = $8,600 + $5,160 = $13,760
Book value (End of Year 2) = Initial cost - Accumulated depreciation = $21,500 - $13,760 = $7,740
Step 4: Prepare the journal entry to record year 2 depreciation.
To record year 2 depreciation, you will make the following journal entry:
Debit: Depreciation Expense $5,160
Credit: Accumulated Depreciation $5,160
In summary, the depreciation schedule for the double-declining-balance method shows a depreciation expense of $5,160 for year 2. The journal entry to record this depreciation includes debiting the Depreciation Expense account and crediting the Accumulated Depreciation account with the same amount.
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you have just started a new job and plan to save $5,050 per year for 39 years until you retire. you will make your first deposit in one year. how much will you have when you retire if you earn an annual interest rate of 9.75 percent?
If you save $5,050 per year for 39 years and earn an annual interest rate of 9.75%, you will have approximately $1,934,947 when you retire. This calculation assumes that the interest rate remains constant throughout the 39-year period, which may not be the case in reality.
Assuming that you will be making annual deposits of $5,050 for 39 years, the total amount that you will save would be $5,050 x 39 = $197,050.
To calculate the future value of your savings at an annual interest rate of 9.75%, we can use the formula for compound interest:
FV = PV x (1 + r)^n
Where:
FV = Future Value
PV = Present value (or the amount you're investing)
r = Annual interest rate
n = Number of years
In this case, PV is the total amount that you will be saving over 39 years, which is $197,050. The annual interest rate is 9.75% or 0.0975, and n is the number of years that you will be investing, which is also 39.
Plugging these values into the formula, we get:
FV = $197,050 x (1 + 0.0975)^39
FV = $1,934,946.87
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for the typical business plan having current and early cash outflows and later-stage cash inflows, the vscs will give a higher valuation than the dda. question 9 options: true false
The given statement "for the typical business plan having current and early cash outflows and later-stage cash inflows, the VSCS will give a higher valuation than the DDA." is true because its ability to consider the time value of money and the cash flows occurring at different stages of the business plan.
Firstly, let's define the terms "VSCS" and "DDA". VSCS stands for Venture Capital Method (VCM), Scorecard Valuation Method, and Risk Factor Summation Method, while DDA stands for Discounted Cash Flow (DCF) Analysis. These are two of the most commonly used methods for valuing a business.
Now, let's consider a business plan with current and early cash outflows and later-stage cash inflows. This means that the business will spend money upfront, such as on research and development or marketing, and generate revenue later on when the product or service is launched.
The reason for this is that DCF takes into account the time value of money, meaning it considers the fact that money today is worth more than the same amount of money in the future.
On the other hand, VSCS focuses on estimating the potential value of a business based on its growth potential and the level of risk involved. While VSCS can be a useful method for valuing early-stage startups, it may not be as accurate in valuing a business plan with significant early cash outflows and later-stage cash inflows.
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constanza, who owns and operates a daycare, is meeting with all of her employees to set goals. one employee, carlos, sets a goal of teaching 90% of the 4-year old students in his class to tie their shoes. is this a smart goal?
The Carlos' goal of teaching 90% of the 4-year-old students in his class to tie their shoes can be considered a SMART goal.
A goal is considered SMART goal if it is specific, measurable, achievable, relevant, and time-bound. In the given case:
1. Specific: The goal targets a particular skill (tying shoes) for a specific age group (4-year-olds).
2. Measurable: The goal is quantifiable with a percentage (90%).
3. Achievable: With proper teaching techniques and practice, it is realistic for a majority of 4-year-olds to learn to tie their shoes.
4. Relevant: The goal aligns with Constanza's daycare's mission of educating and developing essential life skills for children.
5. Time-bound: Although the timeframe is not explicitly mentioned, it can be assumed that the goal is set for a particular academic year or semester.
To make it even more effective, Carlos can add a specific timeframe for achieving this goal.
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any employee not under a formal contract as part of their employment is considered to be a(n) blank employee. multiple choice question.
Any employee not under a formal contract as part of their employment is considered to be at-will employee.
An at-will employee is a worker who does not have a formal contract with their employer and can be terminated at any time, with or without cause, as long as the reason for termination is not illegal.
This means that the employer has the right to terminate the employment relationship at any time, and the employee has the right to quit at any time, without any legal consequences. In the United States, most employees are considered at-will unless they have a written employment contract that specifies otherwise.
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--The complete question is, any employee not under a formal contract as part of their employment is considered to be _____________--
which of the following are true about a bond's face value? multiple select question. it is the market value of the bond at the time of maturity. it is the principal amount repaid at maturity. it is also known as the par value. a bond's face value is the same for all corporations.
Option (b) and (c), The face value of a bond is also referred to as the par value and the principal amount repaid at maturity, both of which are accurate terms.
The face value sometimes referred to as the par value or nominal value, of a bond or stock is stated in the corporate charter. A bond's par value is typical $1,000 (or, to a lesser extent, $100) because these are the most common denominations in which they are issued.
Yes. We talk about the initial dollar value of a financial instrument when we talk about face value. The bond's "par value" or "face value" is the amount that the issuer will pay when it matures. The price at which a stock is initially issued—also referred to as the face value of the shares—is set by the issuer.
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a video-recording system was purchased 2 years ago at a cost of $39,000. a 5-year recovery period and ddb (double declining balance) depreciation have been used to write off the basis. the system is to be replaced this year with a trade-in value of $5,500. what is the difference between the book value and the trade-in value?
The difference between book value and trade-in value for the given cost and trade in value is equals to $8,540.
Cost of video-recording system = $39,000
Trade value = $5,500
Using the DDB method,
Annual depreciation rate is calculated as twice the straight-line depreciation rate for the recovery period is 5 years,
= 1/5 or 0.2
The annual depreciation rate using DDB is
= 2 x 0.2
= 0.4
Depreciation expense for the first year
= $39,000 x 0.4
= $15,600
Book value at the end of the first year
= $39,000 - $15,600
= $23,400
Depreciation expense for the second year
= $23,400 x 0.4
= $9,360
Book value at the end of the second year
= $23,400 - $9,360
= $14,040
Book value of the video-recording system at the time of replacement is $14,040.
The trade-in value is = $5,500.
Difference between the book value and the trade-in value is,
$14,040 - $5,500
= $8,540
Therefore, the difference between the book value and the trade-in value is $8,540.
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which of the following is an analytical symptom associated with revenue-related financial statement frauds? (a) truthful responses by management to queries about revenue-related accounts. (b) decline in gross profit percentage compared to the previous year. (c)) unusual entries made at the end of the accounting period (often in large dollar amounts in round numbers) that increase revenues. (d) insiders (e.g., ceo and cfo) selling a substantial amount of their stockholdings.
The analytical symptom associated with revenue-related financial statement fraud is a decline in gross profit percentage compared to the previous year. Here option B is the correct answer.
This analytical symptom can indicate that a company is manipulating its revenue and cost figures to boost revenue in the current period. By inflating revenue figures, the company can increase its gross profit percentage.
However, this may not be sustainable, and eventually, the company's fraud may be detected, leading to a decline in gross profit percentage in the subsequent periods. This decline can be a warning sign of revenue-related financial statement fraud.
Option (a) is not a symptom of revenue-related financial statement fraud. Truthful responses by management to queries about revenue-related accounts do not necessarily indicate that the company is not committing fraud.
Option (c) is a red flag of revenue-related financial statement fraud, but it is not an analytical symptom. Unusual entries made at the end of the accounting period that increase revenues can indicate revenue manipulation.
Option (d) is not directly related to revenue-related financial statement fraud. Insiders selling a substantial amount of their stockholdings can indicate a lack of confidence in the company's future performance or a need for liquidity, but it is not a symptom of revenue-related financial statement fraud.
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a worker chooses to continue drawing disability benefits even though he or she is capable of returning to work. what is the term for this conduct
The term for a worker choosing to continue drawing disability benefits even though he or she is capable of returning to work is called disability fraud.
Disability fraud is a type of fraudulent activity where an individual misrepresents their medical condition or ability to work in order to receive disability benefits they are not entitled to.
Disability fraud can take various forms, including exaggerating or falsifying medical symptoms, failing to report income earned through work or other sources, or continuing to collect benefits after returning to work or becoming capable of working again.
This type of conduct is considered fraudulent because it involves intentionally deceiving government agencies or insurance companies in order to receive benefits that the individual is not entitled to.
Disability fraud not only takes resources away from those who truly need them, but it also harms taxpayers and can lead to higher insurance premiums for employers.
Overall, disability fraud is a serious offense that can result in legal consequences and penalties, including fines and imprisonment.
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which of the following contingencies that exist at the acquisition date should be recognized by the acquirer in a business combination? i. a contractual contingency to provide warranty services to prior customers of the acquiree. ii. an outstanding lawsuit against the acquiree for which legal experts believe there is a 90% probability that the suit will be successful.
"An outstanding lawsuit against the acquiree for which legal experts believe there is a 90% probability that the suit will be successful" should be recognized by the acquirer in a business combination. Option II is the right answer.
Contingencies are probable events or uncertain conditions that are likely to result in a loss to the company. When companies enter into a business combination, they must recognize and measure such contingencies. As a result, the following contingencies should be identified by the acquirer in a business combination: An outstanding lawsuit against the acquiree for which legal experts believe there is a 90% probability that the suit will be successful.
A contractual contingency to provide warranty services to prior customers of the acquiree. Contingencies are probable events or uncertain conditions that are likely to result in a loss to the company. It is an essential concept in the financial accounting cycle as it helps companies identify potential risks and measure their impact on financial statements.
Thus, option II is the correct answer.
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what is the theory of constraints? provide some examples of possible constraints for a manufacturer.
The Theory of Constraints (TOC) is a management methodology that emphasizes the importance of recognizing and addressing constraints in achieving organizational objectives.
Examples of possible constraints for a manufacturer:Machine capacity: The capacity of machines to produce goods may be limited, resulting in a production bottleneck.Raw materials: A manufacturer may encounter a shortage of raw materials, causing delays and increased costs for obtaining and transporting the necessary resources.Workforce capacity: Limited workforce capacity may cause delays and quality control issues, resulting in a backlog of orders and customer dissatisfaction. It may be due to a shortage of skilled workers or lack of training and supervision.Poor process flow: Process flow issues can cause a manufacturer to waste resources, time, and money. Poor process design, inefficient scheduling, or inadequate maintenance of equipment are common issues.Supplier capacity: Suppliers may have limitations in their capacity to deliver products or materials on time, which can impact a manufacturer's ability to fulfill customer orders.Quality issues: Quality issues can cause rework, repair, or recalls, which can be costly and time-consuming for a manufacturer. The quality issues can be due to the suppliers, the manufacturing process or employees, and others.According to the theory, constraints limit an organization's potential to achieve its objectives by causing bottlenecks, delays, and inefficiencies. As a result, organizations must identify, prioritize, and eliminate constraints to increase throughput and efficiency.
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financing activities include: multiple choice the purchase and sale of resources that are expected to benefit the company for several years. primary operations such as selling goods to customers. transactions with company employees. transactions the company has with investors and creditors.
Financial activites include transactions the company has with investors and creditors.
What are financing activities?Financing activities include transactions that a company engages in to secure funding or capital from external sources such as investors and creditors. This is in contrast to operating activities, which refer to the day-to-day activities of a business, such as selling goods and services, paying employees, and paying for inventory or supplies.The primary purpose of financing activities is to raise capital for the company to support its operations, expansion, and growth. It includes activities such as borrowing money, issuing stocks or bonds, repaying debts, and paying dividends to shareholders. These activities are often long-term investments that are expected to benefit the company for several years.
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jefferson's recently paid an annual dividend of $1.31 per share. the dividend is expected to decrease by 4% each year. how much should you pay for this stock today if your required return is 16%? group of answer choices $10.48 $11.57 $6.29 $5.74
The correct answer is $6.29. Stock value calculated using dividend discount model with $1.31 dividend, 16% required return, and -4% expected growth.
The value of the stock today is $11.57, calculated using the dividend discount model with a recent dividend of $1.31, required return of 16%, and expected growth rate of -4%.To ascertain the worth of the stock today, we really want to utilize the profit rebate model.
The equation for this is D/(r - g), where D is the latest profit, r is the necessary return, and g is the normal development pace of the profit.For this situation, the latest profit is $1.31. The necessary return is 16%. The normal development rate is - 4% on the grounds that the profit is supposed to diminish by 4% every year.
In this way, the estimation would be:
$1.31/(0.16 - (- 0.04)) = $11.57
Subsequently, the worth of the stock today is $11.57.
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The complete question is:
What is the present value of Jefferson's stock if the company recently paid an annual dividend of $1.31 per share, which is expected to decrease by 4% each year, and your required return on the stock is 16%? The options are: $10.48, $11.57, $6.29, $5.74.
during march, a firm expects its total sales to be $158,000, its total variable costs to be $94,800, and its total fixed costs to be $24,800. the contribution margin for march is:
A company anticipates total revenues of $158,000 for the month of March, total variable costs of $94,800, and total fixed costs of $24,800. The March donation margin is $63,200.
The contribution margin measures the profit your business gets on each sale after deducting the variable cost of the product being sold. A contribution margin can be expressed as a ratio or a proportion.
Companies can determine how much money is available to cover fixed expenses, such as salaries, rent, or utilities, by calculating this margin.The variable expenses per unit can be subtracted from the selling price to obtain your contribution margin. Let us run through a brief scenario to show how this operates.
Suppose you own a company that manufactures pastries.
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profit-sharing plans, commissions, bonuses, and stock options are examples of group of answer choices benefits. incentives. salaries. wages.
Profit-sharing plans, commissions, bonuses, as well as stock options are the examples of incentives. Option B is correct.
Incentives are rewards given to employees for achieving specific goals or objectives, typically related to performance. These rewards are intended to motivate employees to work harder and more effectively, and to align their interests with those of the organization. Other examples of incentives may include performance-based pay, promotions, and recognition programs.
Salaries and wages, on the other hand, are forms of compensation that are paid to employees for their time and effort, regardless of their performance or contribution to the organization. While salaries and wages may be adjusted periodically to reflect changes in market conditions or the cost of living, they are generally not tied to specific performance goals or objectives.
Hence, B. is the correct option.
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-The given question is incomplete, the complete question is
"Profit-sharing plans, commissions, bonuses, and stock options are examples of group of answer choices A) benefits. B) incentives. C) salaries. D) wages."--
black top taxis is hiring new drivers. one of the key selection criteria for potential candidates is the ability to choose the right action quickly in response to several different signals and the ability to respond quickly to signaling information after it occurs. the selection criteria indicate that to be selected, a candidate must have the two psychomotor abilities of
"Black Top Taxis is hiring new drivers. One of the key selection criteria for potential candidates is the ability to choose the right action quickly in response to several different signals and the ability to respond quickly to signaling information after it occurs. The selection criteria indicate that to be selected, a candidate must have the two psychomotor abilities of response orientation and low response time." Option E is correct.
The key selection criteria for potential candidates to become drivers at Black Top Taxis is their ability to choose the right action quickly in response to several different signals and the ability to respond quickly to signaling information after it occurs, with the two psychomotor abilities required being response orientation and low response time.
Response orientation refers to the ability to accurately identify and interpret signals, while low response time refers to the ability to respond quickly to those signals. These abilities are crucial for a taxi driver, as they need to be able to make split-second decisions in response to changing traffic and road conditions.
Overall, Black Top Taxis is looking for drivers who are quick and responsive, with a strong ability to process and interpret signals in real-time, allowing them to react quickly and safely in a variety of different driving situations. Thus, Option E is correct.
This question should be provided as:
Black Top Taxis is hiring new drivers. One of the key selection criteria for potential candidates is the ability to choose the right action quickly in response to several different signals and the ability to respond quickly to signaling information after it occurs. The selection criteria indicate that to be selected, a candidate must have the two psychomotor abilities of ______?
a. number facility and response orientation abilities. b. control movement abilities and originality. c. visualization and gross motor coordination. d. perceptual speed and extent flexibility. e. response orientation and low response timeLearn more about selection criteria https://brainly.com/question/15850229
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jojo's portfolio's return is 12 percent. she is invested in cisco and ibm which had returns of 15 percent and 9 percent respectively. what percentage of jojo's assets are invested in each firm?
The Percentage of jojo's assets are invested in each firm D. Unable to determine with the data provided
Jojo's portfolio's return is 12 percent. she is invested in cisco and IBM which had returns of 15 percent and 9 percent respectively. The Percentage of Jojo's assets invested in each firm is 50%.
To determine the percentage of Jojo's assets invested in each firm, we can use the weighted average formula for her portfolio's return:
Portfolio Return = (Weight of Cisco * Return of Cisco) + (Weight of IBM * Return of IBM)
Given the information, we have:
12% (Jojo's portfolio's return) = (Weight of Cisco * 15%) + (Weight of IBM * 9%)
Let's represent the Weight of Cisco as x, and since the combined weights should equal 100%, the Weight of IBM would be (1-x).
Now, we can rewrite the equation as
12% = (x * 15%) + ((1-x) * 9%)
To solve for x, follow these steps:
1. Multiply the percentages with the respective weights:
12% = (0.15x) + (0.09 - 0.09x)
2. Combine the terms with x:
12% = 0.06x + 0.09
3. Subtract 0.09 from both sides:
3% = 0.06x
4. Divide by 0.06:
x = 0.5 (or 50%)
Now we know that 50% of Jojo's assets are invested in Cisco, which means that the remaining 50% are invested in IBM.
In conclusion, Jojo has 50% of her assets invested in Cisco and 50% of her assets invested in IBM. This balanced allocation results in a 12% return on her overall portfolio. Therefore the correct option is D.
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JoJo's portfolio's return is 12%. She is invested in Cisco and IBM which had returns of 15% and 9% respectively. What percentage of JoJo's assets are invested in each firm?
a. 40% in Cisco and 60% in IBM
b. 50% in Cisco and 50% in IBM
c. 30% in Cisco and 70% in IBM
d. Unable to determine with the data provided
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between 1860 and 1898 a. iron and steel exports increased. b. american-made goods sold abroad increased. c. america exported more goods than it imported. d. each statement is correct.
The correct response is d. each statement is correct. Between 1860 and 1868, iron and steel exports increased, American made goods sold abroad increased, and America exported more goods than it imported.
An import is a good or service that was produced in another country but bought in one. Both imports and exports serve as the foundation of world trade. A country's trade balance, often known as its trade deficit, is negative if its imports exceed its exports. Anything created overseas and then brought into another nation is an import. For instance, an American would consider it an import if a Belgian company produced chocolate and sold it there. Imports are any raw materials, finished goods, or services that manufacturers sell to consumers in another country.
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affiliate marketing is when a merchant pays a comission to another online entity for direction busines sto the merchants website true/false
The given statement "affiliate marketing is when a merchant pays a commission to another online entity for directing business to the merchant's website" is true.
Affiliate marketing is a kind of online marketing in which an affiliate earns a commission by promoting a product or service for another person or organization. An affiliate acts as a bridge between the buyer and the seller. The affiliate is compensated for their work by the merchant, who pays them a commission for each successful sale made through their affiliate link.
It can be an effective and inexpensive way for merchants to increase their reach and sales, while affiliates can earn a significant passive income. Therefore, Affiliate marketing is one of the most successful ways to make money online. By promoting someone else's products or services, you can earn a commission on each sale made through your affiliate link, making it an ideal choice for those looking for a passive income stream.
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seller amy wants arkansas licensee kevin to represent her as a listing agent, and she wants to waive some agency duties. how can she do this?
To waive some agency duties, Seller Amy and Arkansas Licensee Kevin should create a written agreement that outlines the specific duties she wishes to waive.
Both parties must review and sign the agreement to ensure mutual understanding and consent.
When a seller hires a real estate agent to represent them in a transaction, the agent is typically bound by certain legal duties known as agency duties. These duties include loyalty, obedience, disclosure, confidentiality, and reasonable care and diligence.
However, in some cases, the seller may wish to waive certain duties for various reasons, such as to avoid potential conflicts of interest or to have more control over the transaction.
If Seller Amy and Arkansas Licensee Kevin wish to waive some agency duties, they should create a written agreement that clearly outlines which duties are being waived and why. This agreement should be reviewed and signed by both parties to ensure mutual understanding and consent.
The written agreement should clearly state which specific duties are being waived and under what circumstances.
For example, Seller Amy may wish to waive the duty of confidentiality for certain information that she wants to disclose to potential buyers. The agreement should also include any limitations or conditions on the waiver of duties, such as a time limit or specific transaction terms.
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jin is the warehouse manager at a bottling company. employees are on a four-week schedule during which each employee spends one week loading trucks, another week unloading trucks, a week verifying invoices, and a week pulling inventory from storage. which approach to job design is jin using
As per the concept of inventory, Jin's approach to job design is using a task-based approach, where each employee is assigned a specific task for a specific week.
Moreover, by rotating the tasks, employees avoid boredom and monotony, as they get to experience different tasks over time.
Notably, the task of pulling inventory from storage is particularly crucial for a bottling company. It is the task of pulling inventory from storage that ensures that the company has sufficient stock to continue its operations.
Overall, Jin's approach to job design is effective in ensuring that employees are appropriately trained, proficient in their roles, and motivated to perform their tasks.
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