When providing employment becomes the primary reason for government spending, the following happens:
Increased national debt is the result when providing employment becomes the primary reason (the end instead of the means) for government spending.
The budget deficit is increased when providing employment becomes the primary reason (the end instead of the means) for government spending.
There is a scarcity of capital for investment when providing employment becomes the primary reason (the end instead of the means) for government spending.
Government spending, increased national debt, and budget deficits are all symptoms of the fact that the government is focused on employment as its primary objective. As a result, investment capital is scarce, and the economy suffers.
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bruce is purchasing a duplex for $275,000. he has given $2,000 in earnest money and the closing costs are $3,750. the lender has agreed to a 75% ltv. the seller has agreed to pay $2,000 in closing costs. how much does bruce need to bring to closing?
Answer:
1750
Explanation:
I'm notsure but it should be 1750 because I calculated it with a formula but it might not be the right answer
which of the following is the first step in effective career planning? group of answer choices career counseling performance management individual assessment communication
The first step in effective career planning is individual assessment, which involves identifying one's interests, skills, values, and goals in order to make informed career decisions. Option C is correct.
Individual assessment is critical in effective career planning because it helps individuals identify their strengths, weaknesses, interests, values, and career goals. This information can then be used to explore potential career paths and determine the best fit based on individual preferences and abilities. Without an understanding of one's own strengths and goals, it can be difficult to make informed career decisions or develop a plan for career advancement.
While career counseling and communication with others can be helpful in the process, individual assessment is the crucial first step.
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which situations show a nurse leader using structural empowerment to increase employee satisfaction?
Nurse leaders use structural empowerment to increase employee satisfaction in a number of situations. Structural empowerment is a crucial concept in nursing that focuses on improving work conditions for nurses and their engagement in decision-making.
What is Structural empowerment?Structural empowerment refers to a leadership style that includes providing staff with the resources and support they require to do their jobs effectively.
Creating a shared governance model: Nurses should be involved in the decision-making process when it comes to patient care, policies and procedures, and staffing levels. This can be achieved through the creation of shared governance models that give nurses a voice in the decision-making process.
Establishing a culture of trust: leaders should foster an environment of trust and respect, where nurses feel valued and heard. This includes providing opportunities for feedback and open communication, as well as encouraging collaboration and teamwork.
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clay purchased elm corporation stock 20 years ago for $10,000. in the current year, he sells the stock for $29,000. what is clay's gain or loss
Clay's Capital gain is $19,000. Clay purchased the Elm Corporation stock 20 years ago for $10,000. This means that in the current year, he sold the stock for $29,000, resulting in a gain of $19,000.
The gain or loss of a security is calculated by subtracting the purchase price from the sale price. In this case, Clay's gain is $19,000 ($29,000 - $10,000 = $19,000).
Capital gains and losses are reported on the IRS tax form Schedule D, and the gain or loss is calculated by subtracting the original cost basis (the cost at the time of purchase) from the current sale price.
If the sale price is higher than the original cost basis, then the difference is the gain, and if it is lower, then the difference is the loss.
In Clay's case, the sale price was $29,000, which was higher than the original cost basis of $10,000, resulting in a gain of $19,000. Clay must report this gain on his tax return, and he may be liable for taxes depending on his other income and deductions.
Therefore, Clay's gain from selling the Elm Corporation stock is $19,000.
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hich of the following is the biggest advantage of using a yardstick report? you can include an indirect organizational plan in it you can begin outlining a specific course of action in it the report begins with recommendations, saving the reader time alternatives are measured consistently using the same criteria
Answer: Alternatives are measured consistently using the same criteria
Explanation: It's in the cengage book on page 9-5c where it's talking about yardstick report
a public planning movement that explicitly advocates a cul-de-sac hierarchy of development, an automobile-oriented society, and separated land use is more commonly referred to as
The public planning movement that explicitly advocates a cul-de-sac hierarchy of development, an automobile-oriented society, and separated land use is more commonly referred to as suburban sprawl.
Suburban sprawl is the spreading of development from city centers outward into rural and suburban areas, often with large amounts of automobile-oriented infrastructure, such as roads and highways.
The cul-de-sac hierarchy of development involves building neighborhoods with a series of dead-end streets, with development placed further away from the roads in residential subdivisions. This type of development encourages more automobile-oriented transportation, as people need to drive in order to reach different destinations.
The separation of land use is also a hallmark of suburban sprawl, where different land uses, such as residential, commercial, and industrial, are kept separate from each other, with little to no mixed-use development.
This type of development often results in the fragmentation of habitats, the increasing reliance on automobiles, and the growth of suburban areas at the expense of more compact, urban development.
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ssume a firm generates $2,000 in sales and has a $500 increase in accounts receivable during an accounting period. based solely on this information, cash flow will increase by:
Based solely on the information provided, cash flow will not necessarily increase.
Accounts receivable is an asset account that represents the amount of money owed to a company by its customers for goods or services sold on credit. An increase in accounts receivable means that customers have purchased products or services on credit, and the company has not yet received the cash for those sales.
The increase in accounts receivable indicates that the company has made sales but has not yet received the cash from those sales. Therefore, the increase in accounts receivable is a use of cash, not a source of cash. The company will need to collect the cash from its customers to convert the increase in accounts receivable into cash.
If the company is successful in collecting the cash from its customers, the increase in accounts receivable will eventually be converted into cash. However, if the company is unable to collect the cash from its customers, the increase in accounts receivable will result in a decrease in cash flow.
Therefore, based solely on the information provided, it is not possible to determine whether cash flow will increase or decrease. Additional information, such as the amount of cash collected during the accounting period, is needed to determine the impact on cash flow.
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a. On May 23, 2016, what were the coupon rate, price, and yield on municipal bonds issued by the Illinois (State) GOs Series 2013 maturing on July 1, 2038?b. What was the yield to maturity, on May 23, 2016, on Transportation Program Bonds, Series 201 maturing on June 15, 2044?
a. On May 23, 2016, the coupon rate, price, and yield on municipal bonds issued by the Illinois (State) GOs Series 2013 maturing on July 1, 2038, were 5.00%, 107.394, and 3.741%, respectively.
b. On May 23, 2016, the yield to maturity on Transportation Program Bonds, Series 201 maturing on June 15, 2044, was 4.547%.
Coupon rate: Coupon rate is the interest rate that is paid on the face value of a bond. It is also known as the nominal rate or coupon yield. Price: Price is the amount that is paid for a bond when it is purchased. Yield: Yield is the return on investment that is generated by a bond. It is calculated by dividing the annual coupon rate by the bond's price and multiplying it by 100. It is also known as yield to maturity (YTM).
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casey majored in marketing and really enjoyed studying market research as a subject. through research on the internet and in the university library, she discovers that this industry appears to have significant positive trends in employment. she interprets this as a(n) .
Casey interprets the significant positive trends in employment in the market research industry as an opportunity.
Casey's interest in market research led her to research the industry's employment trends. The significant positive trends she discovered indicate an increase in demand for professionals in the industry, creating opportunities for those with a marketing degree or specialization in market research.
This trend could mean that there will be more job openings, higher salaries, and greater career advancement opportunities for those interested in this field.
As such, Casey sees this as an opportunity to pursue a career in market research, using her marketing degree and knowledge in the field. She could also consider furthering her education and obtaining additional qualifications that would enhance her chances of landing a job in this growing industry.
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how does a sole proprietorship own property? unset starred question in joint tenancy in partnership in severalty in trust
A sole proprietorship can own property in severalty, in trust, in joint tenancy, or in partnership. The term "in severalty" refers to an owner's right to exclusive possession and control over an asset. In this type of ownership, there is only one owner.
Therefore, the assets of a sole proprietorship are owned by one person in severalty. The assets of the business are not separate from the personal assets of the owner. The property acquired by a sole proprietorship is owned by the owner in severalty.
Therefore, the owner has the right to use, sell, mortgage, or transfer the property at any time without the consent of anyone else. In partnership, two or more individuals can own property together. A joint tenancy is a type of ownership in which two or more individuals own property together.
Each person has an equal share in the property and the right of survivorship. In the case of a partnership, the property is owned by the partners. They have the right to use and control the property together.In a trust, a trustee holds legal title to property on behalf of the beneficiaries.
The trustee is responsible for managing and protecting the property. The beneficiaries have an equitable interest in the property. In this case, the sole proprietorship can own property through a trust arrangement. The property will be held in trust, and the sole proprietor will be the beneficiary. Therefore, the sole proprietorship can own property in trust.
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which part of the check is used to write the amount in words? imported asset responses a a b b c c e
The part of the check that is used to write the amount in words is the line labeled "Pay to the order of."
What is a check?
A check is a written order instructing a financial institution to pay a specific amount of money to a particular recipient. Checks are a type of negotiable instrument, which means that they can be legally traded for cash or goods and services.
A check typically has several parts, including the following: Date: The date on which the check was written. Payer's Name: The name of the individual or company who wrote the check. Payee's Name: The name of the person or entity who will receive the money.
Amount in Digits: The amount of money to be paid in numerical format. Amount in Words: The amount of money to be paid in written format. Signature: The signature of the person who wrote the check.
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the rate of return on a savings account may also be referred to as . question 4 options: yield compounding liquidity equity
The rate of return on a savings account may also be referred to as yield. Yield is the percentage of money earned on an investment or a financial product over a specific period.
It is also known as the return on investment (ROI). This percentage is calculated by dividing the earnings by the amount invested or the principal.
Yield can be either nominal or real, depending on the inflation rate. Nominal yield is the percentage of returns before factoring in inflation, whereas real yield is calculated after accounting for inflation. The higher the yield, the more profitable the investment or savings account is.
The rate of return on a savings account is dependent on the bank's interest rate policy. A bank may offer a fixed interest rate or a variable interest rate, which is based on market conditions.
A savings account with a higher interest rate provides a higher yield. The compounding effect can also increase the yield on a savings account.
Compounding refers to the interest earned on the principal and the interest previously earned on the account.
This compounding interest is added to the account balance and earns more interest, leading to an exponential growth in savings. Liquidity refers to the ease with which an investment can be converted into cash without losing value.
Savings accounts are highly liquid, which means that the money can be withdrawn quickly without any penalty.
Equity is the difference between the assets and liabilities of an individual or a business. It does not apply to a savings account. Yield is an essential factor to consider while choosing a savings account.
A high-yield savings account can earn more interest and lead to more significant savings. The compounding effect and liquidity also play a role in determining the rate of return on a savings account.
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at what stage in the situational view of leadership does shared decision making occur while simultaneously less direction is provided?
Shared decision making occurs in the fourth stage of the situational view of leadership, known as “Developing.” This stage is characterized by less direction from the leader and more collaboration between the leader and followers.
During this stage, the leader and followers work together to create a plan for achieving the desired outcome, rather than relying on the leader to provide a solution. This type of leadership style encourages creativity, innovation, and open communication. As the leader provides less direction, followers are given more autonomy to share their ideas and take responsibility for their actions. Ultimately, shared decision making is important for establishing trust, creating buy-in, and developing a more positive organizational culture.
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when a principal is partially disclosed: group of answer choices only the agent is liable both the agent and the principal will be liable on the contract only the third party can enforce the contract on the principal can be liable
When a principal is partially disclosed, In a partially disclosed agency, the principal is only liable to the third party for losses arising from the agent's actions that are authorized by the principal.
What does it mean when a principal is partially disclosed, In a partially disclosed principal, the third party knows that an agent is acting for a principal but doesn't know the identity of the principal.
In this type of agency, the agent is not personally liable in the contract with the third party; rather, only the principal is liable for the contract. The agent, however, can be liable to the principal for any losses resulting from the transaction.
The contract may be enforced by the third party against the principal but not against the agent. Thus, the third party cannot hold the agent responsible for any unpaid obligations or default in performing the contract. Instead, the third party can only seek recourse against the principal for any damages.
The rule for the principal in the partially disclosed agency is that he or she is responsible for the acts of the agent to the same extent that the principal would be responsible for the agent's actions if he or she had been fully disclosed.
When a principal is partially disclosed, In a partially disclosed agency, the principal is only liable to the third party for losses arising from the agent's actions that are authorized by the principal.
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as the extent of environmental protection expands, would you expect the marginal benefits of environmental protection to rise or fall? why or why not?
As the extent of environmental protection expands, the marginal benefits of environmental protection would tend to fall rather than rise.
Marginal benefits of environmental protection: Marginal benefits are the extra benefits that come from carrying out a particular activity. Environmental protection refers to the measures taken to protect the environment. The benefits derived from environmental protection could be referred to as the marginal benefits of environmental protection. It can be argued that as the extent of environmental protection expands, the marginal benefits of environmental protection would tend to fall rather than rise.
This is due to the law of diminishing marginal returns. As the extent of environmental protection increases, the marginal benefits derived from each additional unit of environmental protection would decrease at some point. At this point, the marginal benefits derived from environmental protection would be less than the marginal costs incurred. Therefore, an increase in the extent of environmental protection beyond this point would result in a decline in the marginal benefits of environmental protection. This is why the marginal benefits of environmental protection would tend to fall rather than rise.
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Internationalization in sport is described best as a result ofchanging demographics, cultural preferences, increased leisure timemarket economies, changing demographics, increased leisure timegovernment control, market economiescorporate control, sport participation, athlete involvement
Internationalization in sport is described best as a result of changing demographics, cultural preferences, increased leisure time and market economies.
Internationalization in sport is the act of involving participants from different countries and cultures in sports activities. The growth of internationalization has led to the expansion of various sports, which now attract a broad audience from different nations. This expansion is due to various factors such as changing demographics, cultural preferences, increased leisure time and market economies.
1. Changing demographics: The changing demographics have led to an increase in the number of individuals from different countries who participate in sporting activities. As a result, sports clubs and associations have begun to promote internationalization in their activities. For instance, clubs have started to include players from different nationalities to compete at the highest level.
2. Cultural preferences: Different cultures have different sports that they prefer. Therefore, internationalization has led to the exchange of different sports around the world. Sports that were once confined to certain regions are now recognized globally, and people from different countries can participate in them.
3. Increased leisure time: Increased leisure time has allowed people to engage in sports activities that they previously could not due to their tight schedules. As a result, sports that require high levels of training and dedication, such as football, have become popular in many countries.
4. Market economies: The development of market economies has led to an increase in sports events and competitions. As a result, sports associations and clubs have had to internationalize their activities to keep up with the growing demand for sports events. This has led to the participation of athletes from different nations in various sports events.
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in project time management, the next step after sequencing activities is to define these activities. true false
It is true that in project time management, the next step after sequencing activities is to define these activities.
Why it is so?In project time management, defining activities is the next step after sequencing activities. Once we have identified and sequenced the project activities, the next step is to precisely define what each activity entails, and break them down into smaller, manageable tasks. This is done to help better estimate the time, resources and effort required to complete each activity. It also helps in identifying the dependencies between the activities, which will determine the critical path of the project schedule. Therefore, defining activities is a crucial step in project planning and management.
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andy eggers has invested $150,000 in a privately held family corporation. the corporation does not do well and must declare bankruptcy. what amount does eggers stand to lose?
The amount Andy Eggers would lose if the company filed for bankruptcy would depend on the specifics of his investment. He could lose all of his investment if he bought as just a shareholder.
What transpires once bankruptcy is declared?You won't be required to pay back some obligations to your creditors after filing for bankruptcy protection because the court will grant you a discharge. As stated, after you receive a debt discharge, your creditors are prohibited from contacting you or making any sort of effort to collect the debt.
What drawbacks do bankruptcy filings have?You can have immediate financial setbacks if you file for bankruptcy. Increased interest rates may apply when obtaining loans after filing for bankruptcy. After declaring bankruptcy, it could be challenging to obtain credit.
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describe how cost and technical feasibility are accounted for in the establishment of maximum contaminant level goals (mclgs) in the us.
Cost and technical feasibility are accounted for in the establishment of (MCLGs) in the US: by implementing the MCLG against the economic impact and treat contaminants in drinking water
Establishment of Maximum Contaminant Level Goals (MCLGs) in the US are in the following ways:1. Cost Feasibility: When assessing the feasibility of establishing MCLGs, cost considerations are taken into account.
A cost-benefit analysis is used to weigh the potential benefits of implementing the MCLG against the economic impact on water systems, customers, and the environment. MCLGs that are excessively costly may not be practical or enforceable, and they may be adjusted or abandoned.
2. Technical Feasibility: Technical feasibility refers to the ability to measure, monitor, and treat contaminants in drinking water. MCLGs must be supported by scientific data, including exposure and risk assessments, to determine the highest possible contaminant level that can be attained with available technology.
Technical feasibility is a critical factor in establishing MCLGs that are achievable and enforceable. MCLGs that cannot be measured, monitored, or treated with existing technology are less likely to be established. The establishment of Maximum Contaminant Level Goals (MCLGs) in the US considers both cost and technical feasibility.
The economic impact of MCLGs on water systems, customers, and the environment is evaluated using a cost-benefit analysis. Technical feasibility, which refers to the ability to measure, monitor, and treat contaminants in drinking water, is critical in establishing MCLGs that are achievable and enforceable.
MCLGs that cannot be measured, monitored, or treated with existing technology are less likely to be established.
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a perfectly competitive market isa perfectly competitive market ischaracterized by firms that produce differentiated products. characterized by a few firms. one in which firms set the price. one in which firms cannot change levels of production.a market in which individual firms are price takers.
A perfectly competitive market is characterized by a market in which individual firms are price takers. The correct option is E.
In a perfectly competitive market, no single company is big enough to influence prices, and no one has an advantage over anyone else. Perfect competition occurs when there is a large number of small businesses, each with similar prices, and no one has a significant market share, so no one has control over the industry.
Moreover, because there are many businesses in a perfectly competitive market, each company must keep its prices low in order to stay competitive. Customers are free to choose from among many suppliers and will select the most affordable alternative, which encourages businesses to keep their costs low.
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Complete question:
a perfectly competitive market is characterized by:
A. firms that produce differentiated products.
B. characterized by a few firms.
C. one in which firms set the price.
D. one in which firms cannot change levels of production.
E. a market in which individual firms are price takers.
Match the expectations customers have from the suppliers (in the left column) to their definitions (in the right column).
competence- suppliers will be competent in their execution of every interaction
reliability- performing all activities as promised or according to accepted norms, including basic service and special requests
responsiveness- prompt delivery, handling of inquiries, and resolution of problems
access- easy contact for order placement, information, order status and so on
communication- keeping customers informed, particularly if problems arisecredibility- strightforward and honest communication
security- limiting custmer's feelings of risk, including date confidentiality
courtesy- polite, friendly, and respectful interactions
tangibles- acceptable appearance of facilities, equipment, and personnel (for example, UPS delivery drivers always wear the well known brown unifrom)
knowing the customer- understanding and adapting to a given customer's specific requirements
Customers have a number of expectations from their suppliers such as competence, reliability, communication, credibility, and responsiveness, among others. A detailed list of customer expectations from suppliers are given below.
The given expectations can be matched with their definitions in the following manner:
Expectations customers have from the suppliers Definitions
1. Competence Suppliers will be competent in their execution of every interaction.
2. Reliability Performing all activities as promised or according to accepted norms, including basic service and special requests.
3. Responsiveness Prompt delivery, handling of inquiries, and resolution of problems.
4. Access Easy contact for order placement, information, order status, and so on.
5. Communication Keeping customers informed, particularly if problems arise.
6. Credibility Straightforward and honest communication.
7. Security Limiting customers' feelings of risk, including data confidentiality.
8. Courtesy Polite, friendly, and respectful interactions.
9. Tangibles Acceptable appearance of facilities, equipment, and personnel (for example, UPS delivery drivers always wear the well-known brown uniform).
10. Knowing the customer Understanding and adapting to a given customer's specific requirements.
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the process through which new employees learn the attitudes, knowledge, skills, and behaviors required to function effectively within an organization is group of answer choices attraction-selection-attrition. organizational socialization. mentoring. assessment.
Organizational socialization is the process through which new employees learn the attitudes, knowledge, skills, and behaviors required to function effectively within an organization. It is also referred to as employee onboarding and is a critical part of the process for any new hire.
Through organizational socialization, employees learn the values, norms, and culture of the organization, develop a sense of belonging, and ultimately become productive members of the team. It is a continuous process that starts when a new employee is first recruited, but it doesn’t end there. It continues throughout the employee’s tenure as they learn new tasks and adjust to the changing environment.
The process of organizational socialization involves three main steps: attraction, selection, and attrition.
The attraction stage begins when an organization begins to look for new employees. During this stage, the organization attempts to recruit individuals with the necessary qualifications and the desired values and attitudes. The selection stage follows the attraction stage and involves the assessment of candidates by the organization in order to select the best fit for the role. The attrition stage refers to the process of letting go of employees who are no longer a fit for the organization’s mission and culture.
In summary, Organizational socialization is a crucial process for any organization and helps ensure that employees are productive and effective members of the team. By following the three-step process of attraction, selection, and attrition, organizations can ensure that they hire the best possible candidates and that their team members are well-adjusted and successful.
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at the beginning of december, abc had $2,000 in supplies on hand. during the month, supplies purchased amounted to $3,000, but by the end of the month the supplies balance was only $800. what is the appropriate month-end adjusting entry?
If at the beginning of December, ABC had $2,000 in supplies. Supplies purchased amounted to $3,000, but at the end of the month the supplies balance is $800. The appropriate month-end adjusting entry is $4,200.
First, we need to calculate the amount of supplies used during the month:
Supplies used = Beginning supplies balance + Supplies purchased – Ending supplies balance
Supplies used = $2,000 + $3,000 - $800
Supplies used = $4,200
The adjusting entry to recognize the supplies expense would be:
Supplies expense $4,200
Supplies $4,200
This entry decreases the supplies asset account (Supplies) and increases the supplies expense account (Supplies expense) by the same amount, $4,200. This recognizes the expense for the supplies used during the month and adjusts the supplies balance to the correct amount.
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firms engage in strategic alliances to: group of answer choices obtain technology reduce risk access new markets all of the above
Firms engage in strategic alliances to access new markets, reduce risk, obtain technology, and many more. In the business world, strategic alliances refer to formal or informal agreements between two or more firms to cooperate in various areas for mutual benefit.
What are Strategic Alliances?Strategic alliances are generally focused on long-term partnership and collaboration between two or more companies. These companies usually agree to pool their resources, including technology, expertise, and intellectual property, to achieve a common goal that can benefit all participants.
The main aim of a strategic alliance is to leverage each other's strengths to drive business success.
Benefits of Strategic Alliances:
There are many benefits of strategic alliances, including:
Access to new markets and customersSharing of resources and expertiseRisk sharing and reductionCost savings through shared expenses, reduced capital expenditure, and increased efficiencies.Increased opportunities for innovation and new product developmentIncreased competitive advantage and differentiationLearn more about strategic alliance at
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mckerley corporation has preferred stock outstanding that will pay an annual dividend of $5.50 per share with the first dividend exactly 14 years from today. if the required return is 3.96 percent, what is the current price of the stock?
Mckerley corporation has preferred stock outstanding that will pay an annual dividend of $5.50 per share with the first dividend exactly 14 years from today. if the required return is 3.96 percent, the current price of McKerley Corporation's preferred stock is $77.35.
We can use the present value formula to calculate the current price of the preferred stock:
PV = PMT / r * (1 - 1 / (1 + r)ⁿ)
Where PV is the present value, PMT is the annual dividend payment, r is the required return, and n is the number of years until the first dividend payment.
Plugging in the values, we get:
PV = $5.50 / 0.0396 * (1 - 1 / (1 + 0.0396)¹⁴)
PV = $5.50 / 0.0396 * 9.352
PV = $77.35
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there are two firms. one has 100% equity and the other has 50% equity and 50% debt. which one will have the lowest wacc? why?
The firm with 100% equity will have the lowest WACC.
The reason for this is that the cost of equity is generally lower than the cost of debt. This is because equity represents ownership in the company and does not have a fixed interest rate or maturity date, making it less risky than debt.
Therefore, the overall cost of capital for a firm with 100% equity will be lower than that of a firm with a mix of equity and debt.In a firm with a mix of equity and debt, the cost of debt will typically be higher than the cost of equity because debt represents a fixed obligation that must be repaid with interest.
This makes it riskier than equity, which represents ownership in the company and does not have a fixed obligation to repay.
The WACC for a firm with a mix of equity and debt will be higher because the cost of debt will increase the overall cost of capital for the firm. Therefore, the firm with 100% equity will have a lower WACC than the firm with a mix of equity and debt.
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During recessions, automatic stabilizers tend to make the government's budget
(2%)
A. move toward deficit.
B. move toward surplus.
C. not necessarily move the budget in any particular direction.
D. move toward balance.
The correct answer is A. During recessions, automatic stabilizers tend to make the government's budget move toward deficit. Automatic stabilizers are economic policies that work to stabilize an economy without any intervention or direct action from policymakers. They are often built into existing policies and systems and activate automatically in response to changes in the economy. During recessions, automatic stabilizers tend to lead to increased spending on programs such as unemployment benefits, which helps support those who have lost their jobs. This increased spending tends to lead to a budget deficit for the government.When answering questions on Brainly, it is important to always be factually accurate, professional, and friendly. Answers should be concise and not provide extraneous amounts of detail. It is also important to use the terms provided in the student's question. In response to the student's question.
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brand loyalty in the product choice step of the consumer decision-making process is an example of a .
Brand loyalty in the product choice step of the consumer decision-making process is an example of a behavioral aspect. Consumers who purchase a product have a tendency to remain loyal to that brand.
In this stage, consumers have a clear idea of what they want to purchase and where they want to purchase it from. In this case, they may have already decided to purchase a specific product from a particular brand. Brand loyalty is a crucial aspect of the product choice stage.
Brand loyalty is a behavior that indicates a consumer's trust and confidence in a particular brand. It refers to the degree of dedication and commitment that a consumer has towards a particular brand. Consumers who are brand loyal tend to remain loyal to the brand even after switching to other brands for certain periods of time.
Brand loyalty can be fostered by a number of factors, including superior product quality, attractive packaging, competitive pricing, customer service, and other factors. Brand loyalty can also be influenced by social, cultural, and psychological factors.
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the calculation of the contingent deferred sales load upon the redemption of a mutual fund is based on
The calculation of the contingent deferred sales load upon the redemption of a mutual fund is based on the length of time the investor holds the fund.
The length of time that a person holds a mutual fund is known as the holding period. As a result, the longer a person holds a fund, the lower the amount of the contingent deferred sales load (CDSL).
What is a Contingent Deferred Sales Load (CDSL)?A CDSL is a fee that mutual fund investors must pay when they sell shares of the mutual fund. This is a commission that is paid to the salesperson who marketed the mutual fund to the investor. CDSLs are usually calculated as a percentage of the total value of the mutual fund that an investor is selling.
For instance, if an investor sells $10,000 worth of mutual fund shares and the CDSL is 2%, the investor must pay a $200 CDSL. The CDSL is typically higher for funds that have a shorter holding period, but it decreases as the length of time an investor holds the fund increases.
Mutual fund managers use this to promote long-term investments rather than short-term trades. Because it encourages investors to hold onto their investments for extended periods, the CDSL can be viewed as a helpful component of mutual fund investing.
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Contingent Deferred Sales Charge (CDSC), also known as a back-end charge, is a cost imposed by a mutual fund when an investor redeems shares or units.
What is a contingent deferred sales load?
A Contingent Deferred Sales Charge (CDSC), also known as a back-end charge, is a cost imposed by a mutual fund when an investor redeems shares or units.
A back-end load is the opposite of a front-end load, which is a charge imposed by a mutual fund when an investor first buys shares or units.
When an investor purchases shares in a mutual fund with a back-end load, the investor does not pay a sales charge up front, but instead pays the charge when the investor redeems shares in the future.
How is the calculation of the contingent deferred sales load upon the redemption of a mutual fund done?
The calculation of the contingent deferred sales load upon the redemption of a mutual fund is based on the number of shares redeemed and the length of time the shares were held.
The fee, which is calculated as a percentage of the value of the shares redeemed, decreases over time as the shares are held, with the fee typically disappearing after a specified holding period such as six or seven years.
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howwhat is the firm's marginal cost of producing the 900th gadget? question 20 options: $0.50 $1.60 $2.78 none of the above
$2.10 is the firm's marginal cost of producing the 900th gadget.
The marginal cost of producing the 900th gadget is the increase in total cost when producing one additional unit. To calculate this, we need to know the fixed cost and variable cost associated with the production process.
The fixed cost is the cost incurred to produce the 900th unit, regardless of the number of units produced. Examples of fixed costs include rent, insurance, and wages of full-time employees.
The variable cost is the cost incurred to produce the 900th unit, and is directly proportional to the number of units produced. Examples of variable costs include raw materials, shipping, and packaging.
The marginal cost of producing the 900th gadget can be calculated by adding the fixed cost and variable cost associated with the production process. Assuming that the fixed cost and variable cost are $0.50 and $1.60 respectively, then the marginal cost of producing the 900th gadget is $2.10 ($0.50 + $1.60). Therefore, the correct answer is $2.10.
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