Below are cash transactions for Goldman Incorporated, which provides consulting services related to mining of precious metals
a. Cash used for purchase of office supplies, $1,650
b. Cash provided from consulting to customers, $43,100
c. Cash used for purchase of mining equipment, $68,000.
d. Cash provided from long-term borrowing, $55,000
e. Cash used for payment of employee salaries, $23,500.
f. Cash used for payment of office rent, $11,500
g. Cash provided from sale of equipment purchased in c. above, $22,000
h. Cash used to repay a portion of the long-term borrowing in d. above, $37,500
i. Cash used to pay office utilities, $3,800
j. Purchase of company vehicle, paying $9,500 cash and borrowing $14,500
Required:
Calculate cash flows from investing activities. (List cash outflows as negative amounts.)

Answers

Answer 1

Answer:

Net cash used in investing activities = ($55,500)

Explanation:

            Cash flows from Investing activities    

Transaction                                                             Amount

Cash used for purchase of mining equipment    -$68,000

Cash provided from sale of equipment               +$22,000

purchased in c. above

Purchase of company vehicle.                              -$9,500

Net cash used in investing activities                  -$55,500


Related Questions

is a place where two parties can gather to facilitate the exchange of products

Answers

A marketplace is a physical or virtual place where two parties can gather to facilitate the exchange of goods or services. It is a space where vendors or merchants come together to sell their wares, and consumers come to buy what they need. A marketplace can be found in many forms and has evolved over time to keep up with the changing nature of trade and commerce.

Traditional marketplaces are physical locations where people gather to sell goods. They have been around since ancient times and continue to exist in many parts of the world. These marketplaces are usually located in urban areas, and vendors set up their stalls or shops to sell their wares.

They may sell food, clothing, handmade crafts, or other products. People come to these marketplaces to buy what they need, socialize, and enjoy the atmosphere.Virtual marketplaces, on the other hand, are online platforms where people can buy and sell products.

These marketplaces are accessible from anywhere with an internet connection and have become increasingly popular in recent years. Popular examples of virtual marketplaces include Amazon, eBay, and Etsy.

These platforms allow vendors to reach a broader audience and sell their products worldwide.In conclusion, marketplaces are crucial for facilitating the exchange of goods and services. They have been around for centuries, and their evolution has resulted in various forms, including traditional and virtual marketplaces.

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how often do you rely on your time management skills to meet deadlines

Answers

Answer:

I usually rely on time management skills to meet deadlines all the time. If I look into my calendar I just see what's due first and then do only that work. commonly we have relied on google and to tell us what's do... especially online with so many assignments due at different times it could be very useful.

Explanation:

how can I draw the circular flow of Income in an open economy?​

Answers

The unending flow of goods and services, income, as well as expenditure in an economy is referred to as the circular flow. It depicts the circular redistribution of income between the production unit and households. Land, labour, capital, as well as entrepreneurship are examples of these.

The circular flow of diagram's outer loop depicts the flow of factor services from households to firms, as well as the corresponding flow of payments for factors from firms to households.

The inner loop depicts the flow of goods and services from firms to households, as well as the flow of consumer spending from households to firms. The entire amount of money paid by firms as factor payments is returned to the firms by the factor owners.

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how can I draw the circular flow of Income in an open economy?

Type the correct answer in the box. Spell all words correctly.
Why do investors invest in stocks of different companies?
Investors invest in stocks of different companies to earn_____
and to make a profit when they sell the stocks at a higher price.

Answers

The stock market carries dangers, so it's vital to understand what they are before investing.

Why would a shareholder purchase shares in another business?

For a number of reasons, investors purchase stocks. Here are a few examples: A stock's price rising results in capital appreciation. Dividend payments are made when a corporation gives its stockholders a portion of its earnings.

Why should you make several company investments?

You are not limited to investing in a single industry when you diversity your portfolio; you can do so. This enables you to profit from some of the biggest consumer trends while simultaneously investing in several areas. To invest, you don't have to be an authority in a certain sector or discipline.

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Marin Company leased equipment from Costner Company, beginning on December 31, 2019. The lease term is 8 years and requires equal rental payments of $56,394 at the beginning of each year of the lease, starting on the commencement date (December 31, 2019). The equipment has a fair value at the commencement date of the lease of $350,000, an estimated useful life of 8 years, and no estimated residual value. The appropriate interest rate is 8%.

Required:
Prepare Marin's 2019 and 2020 journal entries, assuming Marin depreciates similar equipment it owns on a straight-line basis.

Answers

Answer and Explanation:

The journal entries are shown below:

1. Right of use assets$350,000      ($56,394 × 6.2064)

           To lease liability  $350,000

(Being the lease liability is recorded)

Refer to the present value annuity due factor table for 6.2064

2. Lease liability $56,394

        To cash $56,394

(being cash paid is recorded)

3. Lease liability $32,905

   Interest expense  $23,489    {($350,000 - $56,394) × 8%}

            To Cash   $56,394

(Being cash paid is recorded)  

4. Amortization expense $43,750   {$350,000 ÷ 8 years)

         To Right of use asset $43,750

(Being the amortization expense is recorded)

HELP PLS what is the advantage of scholarships ??
A.most cover the full cost of tuition
B.There s no application required
C.they do not require payments
D.they provide very low-interest rates

Answers

Answer:

It helps in empowering your academic and career goals by removing the financial barrier. Getting a scholarship takes away all your financial concerns. Thus, it gives you more time to study, gain knowledge and secure better grades

Financial Benefit

As scholarships are essentially free money, students can instead focus on their careers instead of worrying about how they will repay their student loan. They also allow students to pursue subjects that require postgraduate training such as MBAs.

(C) I personally think

The main advantage of scholarships offered to attend tertiary institutions is that C.they do not require payments.

What are the advantages of scholarships?

Scholarships reduce the amount of tuition fees that a student will have to pay thereby making schooling easier for them.

The advantage of this is that the student never has to pay it back which reduces the financial burden on the student.

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Software is being developed in 8-hour shifts in which country?
A.Canada
B. Mexico
C.India
D.Germany

Answers

the answer is c. india

Below are approximate amounts related to retained earnings reported by five companies in previous years. Coca-Cola reports an increase in retained earnings of $3.2 billion and net income of $6.9 billion. PepsiCo reports an increase in retained earnings of $3.4 billion and dividends of $2.6 billion. Alphabet reports an increase in retained earnings of $1.6 billion and net income of $1.6 billion. Sirius XM Satellite Radio reports beginning retained earnings of −$1.6 billion, net loss of $1.0 billion, and $0 dividends. Abercrombie & Fitch reports ending retained earnings of $1.56 billion, net income of $0.43 billion, and dividends of $0.06 billion. (Enter your answers in billions rounded to 2 decimal places. Negative amounts should be indicated by a minus sign.) Required: What is the amount of dividends of Coca-Cola? What is the amount of net income of PepsiCo? What is the amount of dividends of Alphabet? What is the amount of ending retained earnings of Sirius XM Satellite Radio? What is the amount of beginning retained earnings of Abercrombie & Fitch?

Answers

Answer and Explanation:

The computation is shown below:

1. Amount of dividends of Coca-Cola is

=  net income - Increase in retained earnings

= $6.9 billion - $3.2 billion

= $3.7 billion

2. Amount of net income of PepsiCo is

= Increase in retained earnings + dividend paid

= $3.4 billion + $2.6 billion

= $6 billion

3. The amount of dividends of Alphabet is

=  net income - Increase in retained earnings

= $1.6 billion - $1.6 billion

= $0 billion

4. Amount of ending retained earnings of Sirius XM Satellite is

= Beginning retained earnings - net loss - dividend

= -$1.6 billion - $1 billion - $0

= -$2.6 billion

5. The amount of beginning retained earnings of Abercro is

= Ending retained earnings - net income + dividend

= $1.56 billlion - $0.43 billion + $0.06 billion

= $1.19 billion

What is of least concern to architects in designing a structure?

Answers

Upkeep is of the least concern to architects in designing a structure.

Architecture is the art and technique of planning and building, as distinguished from the abilities related to construction. it's each method and also the product of sketching, conceiving, planning, designing, and constructing buildings or alternative structures. Architecture began as rural, oral vernacular architecture that developed from trial and error to winning replication.

Ancient urban architecture was preoccupied with building non secular structures and buildings symbolizing the political power of rulers till Greek and Greco-Roman architecture shifted focus to civic virtues. Indian and Chinese architecture influenced forms everywhere in Asia and Buddhist architecture above all took numerous native flavors. In fact, throughout the European Middle Ages, pan-European sorts of Romanesque Associate in Nursing Gothic cathedrals and abbeys emerged whereas the Renaissance favored Classical forms enforced by architects legendary by name.

Later, the roles of architects and engineers became separated. trendy architecture began when warfare I was an avant-garde movement that sought-after to develop a very new style acceptable for a replacement post-war social and economic order centered on meeting the requirements of the center and dealing classes.

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If the economy were run with a strictly Keynesian point of view, what would the government's role be in regards to the U.S. economy?
a. The government is responsible for managing the economy.
b. The government is responsible for monitoring the economy but not interfering with it.
c. The government is responsible for managing the economy with a hands-off approach.

Answers

Answer:

A.

Explanation:

The keynesian prescription for stabilizing the economy implies government intervention at macroeconomic level-increasing aggregate demand when private demand falls and decreasing aggregate demand when private demand rises.

Your restaurant revenue is $710,000, expenses total $890,000, and your total invest is $3 million what is your return investment?

Answers

Answer:

Return on investment = -6%

Explanation:

Given:

Gross revenue of restaurant = $710,000

Total expenses of restaurant = $890,000

Total investment = $3,000,000

Find:

Return on investment

Computation:

Net profit = $710,000 - $890,000

⇒ Net profit = -$180,000

Return on investment = [Net profit / Total investment]100

⇒ Return on investment = [-180,000 / 3,000,000]100

⇒ Return on investment = [-0.06]100

Return on investment = -6%

Question 3: MNG4801/102/0/2023 3. Critically discuss the difference between the inside-out versus outside-in perspectives when managing strategically. As part of your discussion, identify which one of these perspectives was prioritized by Theo Baloyi when he first started his business and then apply it to the Bathu Shoes case study. You need to support your discussion by integrating the relevant theory in your discussion with practical examples from the case study.​

Answers

The inside-out versus outside-in perspectives are two different approaches to managing strategically. The outside-in perspective is supported by the market-oriented strategic planning approach.

Discuss the inside-out versus outside-in perspectives?

The inside-out approach centers around a company's strengths and capabilities, leveraging them in the market to identify opportunities. Upon starting his business, Bathu Shoes, Theo Baloyi embraced this perspective as a priority.

Meanwhile, market-oriented strategic planning emphasizes understanding customer needs for an outside-in viewpoint. Products and services should be developed with these in mind. Adopting this outlook allowed Bathu Shoes to deepen their comprehension of customers and what they require.

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Which questions can most help a writer revise an argumentative essay?

Answers

Answer:

Explanation:

Argumentative essays are written to prove a point and convince the reader that your claim is superior to opposing points. Therefore, A) “Do details help support the claim?” Is the best answer out of these choices..

The common stock of Buildwell Conservation & Construction Inc. (BCCI) has a beta of .9. The Treasury bill rate is 4%, and the market risk premium is estimated at 8%. BCCI’s capital structure is 30% debt, paying an interest rate of 5%, and 70% equity. The debt sells at par. Buildwell pays tax at 40%.
a. What is BCCI’s cost of equity capital? (Do not round intermediate calculations. Enter your answer as a percent rounded to 1 decimal place.)
Cost of equity capital %
b. What is its WACC? (Do not round intermediate calculations. Enter your answer as a percent rounded to 2 decimal places.)
WACC %

Answers

Answer:

Cost of equity is 11.2%

WACC is 8.74%

Explanation:

The formula for cost of equity is given below:

Cost of equity=risk free rate+(Beta *risk premium)

risk free rate is the treasury bill rate of 4%

Beta is 0.9

market risk premium is 8%

cost of equity=4%+(0.9*8%)=11.2%

WACC=Ke*E/V+Kd*D/V*(1-t)

Ke is the cost of equity of 11.2%

Kd is the cost of debt of 5%

t is the tax rate of 40% or 0.4

E is the equity weighting of 70% or 0.7

D is the debt weighting of 30% or 0.3

V is the E+D=0.7+0.3=1

WACC=11.20% *0.7/1+(5%*0.3/1*(1-0.4)

WACC=7.84% +0.90% =8.74%

       

What is it Unrealized gains


I need help please

Answers

An unrealized gain is a potential profit that exist on paper

During 2021, Blossom Co. incurred the following costs: Testing in search for process alternatives $390000 Costs of marketing research for new product 260000 Modification of the formulation of a process 570000 Research and development services performed by Crane Corp. for Blossom 485000 In Blossom's 2021 income statement, research and development expense should be

Answers

Answer:

See below

Explanation:

Given the above information, our concern when calculating amount of research and development costs charged to Blossom corp. for 2021 should be the period cost. This means costs that are incurred in the period under review. I.e 2021.

= Testing in search for process alternative + Cost of marketing research + Modification of formulation of a process + Consulting fees

= $390,000 + $260,000 + $570,000 + $485,000

= $1,705,000

Therefore, Blossom's 2021 income statement , research and development expense should be $1,705,000.

What will produce more accurate results when giving a survey?
A. Using the word "frequently" in a question
B. Creating face-to-face interviews
C. Adding boxes to check for answers
D. Creating an open questions

Answers

Answer:

Option B; Creating face-to-face interviews

Explanation:

Research has shown that face-to-face interviews tend to produce more accurate results when giving a survey. So the correct answer is option B.

Under Regulation 187, what must producers provide to a consumer if they are authorized to offer products that provide for both a fee-based and commission-based structure?
A) Nothing- Such products can no longer be sold in New York
B) A disclosure notice that the product's compensation structure could bias the producer's recommendation
C) A comparison form that shows the difference between the products
D) The form from the producer's insurer that authorizes such permission

Answers

Option d is fully correct that is The form from the producer's insurer that authorizes such permission.

What conditions must be met for Regulation 187 in New York?

A new York When recommending or servicing a policy issued in New York, producers and insurers are required by Regulation 187 to put in place a process that guarantees they are acting only in the best interests of the consumer and not taking the producer's or insurer's financial interests into account.

Recommendations made by a producer in the sale of a policy or in some in-force transactions are governed by Regulation 187. The Regulation places emphasis on direct producer involvement and mandates that producers make recommendations with the best interests of the consumer in mind.

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Write a short message/email/memo based on the following case scenario - As head of the occupational health and safety committee at your workplace, you are concerned about the practice of stocking employee kitchenettes with free coffee and cookies. Lately, you have begun to notice that stressed out employees routinely skip lunch and instead grab handfuls of cookies to eat at their desks. While you understand the necessity for the quick snacks, you feel that there is room in the budget to provide healthier alternatives to these high-fat, carbohydrate-laden snacks. In fact, your committee voted in favour of this but you feel some employees will resist this and be upset to lose the cookies and coffee. -- Now, write a short message/memo/email to all staff announcing that, effective next month, kitchenettes will be stocked with a selection of fresh fruit, whole-grain snacks, and spring water instead of the usual cookies and coffee. Consider which approach you should use -- direct or indirect -- before you write it.

Answers

Answer:

You know that your not supposed pile your home work on this program? It’s unconstitutional.

Explanation:

On May 3, what is the balance of the Equipment Office account? A. Debit $5,090 C. Debut $4,400 B. Debit $690 D. Credit $5.090​

Answers

Based on the balance on the account and the amount purchased, the balance on the Equipment office account was A. Debit $5,090.

The opening balance for the Equipment office account was $4,400 on May 1.

The store then purchased a calculator for the office on May 1 for $690. This will increase the Equipment office account by the same amount.

The balance would therefore be:

= 4,400 + 690

= $5,090

This balance would be a debit as this is an asset.

In conclusion, option A is correct.

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Can someone else help me solves this question please?

Can someone else help me solves this question please?
Can someone else help me solves this question please?
Can someone else help me solves this question please?

Answers

The information regarding the cash and account details has been used to prepare the necessary account.

How to explain the information

Jan. 1: Cash $18,000, Notes Payable $18,000

Jan. 5: Cash $6,000, Sales Revenue $6,000

Jan. 5: Cash $360, Sales Taxes Payable $360

Jan. 12: Unearned Service Revenue $11,000, Service Revenue $11,000

Jan. 14: Sales Taxes Payable $8,100, Cash $8,100

Jan. 201: Accounts Receivable $31,690, Sales Revenue $30,500, Sales Taxes Payable $1,190

Jan. 31: Salaries and Wages Expense $96,000, Social Security Tax Payable $7,344, Medicare Tax Payable $1,728, Federal Income Tax Payable $5,086, State Income Tax Payable $1,526, Salaries and Wages Payable $79,316

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Can someone else help me solves this question please?

​& Co. owns vast amounts of corporate bonds. Suppose buys of bonds at face value on January​ 2, . The bonds pay interest at the annual rate of ​% on June 30 and December 31 and mature on December​ 31, . intends to hold the investment until maturity. Read the requirementsLOADING.... Requirement 1. How would the bond investment be classified on December​ 31, ​, balance​ sheet? The bond investment will be classified as a ▼ as of December​ 31, .

Answers

Answer:

Bonds held to maturity are recorded at the net carrying value (after any premium or discount amortization is made), but since these bonds were purchased at face value, there is no premium or discount to be amortized. The bonds should be reported at face value as non-current assets since they mature in more than 1 year.

Explanation:

all the numbers are missing, so I looked for a similar question:

Otter Creek & Co. Owns vast amount of corporate bonds. Suppose Otter Creek buys $1,200,000 of RoastCo bonds at face value on January 2, 2016. The RoastCo bond spay interest at an annual rate of 3% on June 30 and December 31, and mature on December 31, 2020. Otter Creek intends to hold the investment until maturity.

How would the bond investment be classified on December​ 31, 2016​, balance​ sheet?

Select the correct text in the passage.
Which sentence demonstrates the use of secondary market research technique?

Keith wants to start a fast-food stall. {{He interviewed people in the area where he wants to put up his stall}}. {{He also gave out questionnaires to understand people’s opinions}}. {{He worked out the cost and investment details with the help of the Internet}}. He is now all set to speak to the bank to apply for a business loan.

The ones with {{}} around are the 3 answer choices

Answers

Answer:

The answer is the second option

Hbbgggfdaqqwertyippllkjbnbcxz

A business must decide whether to open a new office in China. If it opens the
branch, it will increase its chances of selling a high volume of its products in
China. On the other hand, the business will have to spend a lot of money to
make the branch operational.
What would be an opportunity cost for the business if it chooses not to open
the new branch in China?
A. The business would have to open a new branch in a different
country
B. The business would increase its marginal benefits on each
product it makes
C. The business would be able to use the money it saves on other
projects.
D. The business would lose the chance to make more money in
China.

Answers

D a is the correct answer I’m pretty sure

Jose opened a Premier account at City National Bank of Iowa with a minimum required deposit of
$1000. This bank advertised a rate of 1/2% on their Premier account with interest compounded quarterly.
After 5 years, what is the amount in the account?

Answers

Answer:

$1,025.299

Explanation:

The formula for compound interest is

FV = PV × (1+r)^ n

Where Fv is the future value

Pv is the present value = $1000

r is interest rate = 1/2 %  or 0.5% per year

n is five years

interest is compounded quarterly,  

Interest per quarter = 0.5% /4 = 0.125%  which is 0.00125

n will be 5 years x 4 quarters = 20 periods

Fv= $1000 x (1 +0.00125)^20

Fv =$1000 x(1.00125)^20

Fv= $1000 x 1.025299

Fv = $1,025.299

What factors affect the selection of advertising media?

Answers

There are few things you need to consider while advertising in competitive market,

When planning your advertising, you need to consider:

the objective of the campaign (your goals)how much to spend (your budget)who to target (your audience)the type of advertising you'll use (your strategy)when you will advertise (your calendar or schedule of activity)how to monitor your success (your results).

These elements are a key part of your marketing plan. You should regularly review your marketing plan to ensure that your advertising strategies are helping you to achieve your marketing goals.

Before execution/deployment campaign you need to research on below,'

#Competition :

The first thing to keep in mind is the competition. Visit their websites, see how they have done things and do them better. You can beat your competition if you bring a better product and use better online marketing strategies. It’s all about how you present your product. Different companies have different strategies and effective methods to gain an audience’s attention. Studying the moves your competition makes, learning from their trials and errors and finding a strategy that’s outweighs theirs is a fundamental factor in beating the competition.

#Customer preferences:

Know who your customers are. It’s all about what your customers prefer. Give them a product that they would really commit to and appreciate and more importantly sell it or launch it in a manner that will capture the audience’s attention. If your customers see what they like they will end up buying the product or service.

#Choose your strategy :The type of advertising you choose will depend on the target audience you are trying to reach and your budget and by determining the most cost-effective way to reach your audience as many times as possible.

#Develop an action plan :Developing an action plan and a timetable will give you plenty of time to meet advertising deadlines. Many advertisers are very strict with bookings and often work months ahead,Make sure you give yourself enough time to create effective advertising for occasions such as Christmas, Easter, Mother's Day and other seasonal events.

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Hello, please help to provide the formulas needed to be used to calculate each and the answers.

Stephenson Real Estate Company was founded 25 years ago by the current CEO, Robert Stephenson. The company purchases real estate, including land and buildings, and rents the property to tenants. The company has shown a profit every year for the past 18 years, and the shareholders are satisfied with the company’s management. Prior to founding Stephenson Real Estate, Robert was the founder and CEO of a failed alpaca farming operation. The resulting bankruptcy made him extremely averse to debt financing. As a result, the company is entirely equity financed, with 8.7 million shares of common stock outstanding. The stock currently trades at $46.50 per share.

Stephenson is evaluating a plan to purchase a huge tract of land in the southeastern United States for $65 million. The land will subsequently be leased to tenant farmers. This purchase is expected to increase Stephenson’s annual pretax earnings by $14 million in perpetuity. Kim Weyand, the company’s new CFO, has been put in charge of the project. Kim has determined that the company’s current cost of capital is 12.5 percent. She feels that the company would be more valuable if it included debt in its capital structure, so she is evaluating whether the company should issue debt to entirely finance the project. Based on some conversations with investment banks, she thinks that the company can issue bonds at par value with a coupon rate of 8 percent. From her analysis, she also believes that a capital structure in the range of 70 percent equity/30 percent debt would be optimal. If the company goes beyond 30 percent debt, its bonds would carry a lower rating and a much higher coupon because the possibility of financial distress and the associated costs would rise sharply. Stephenson has a 21 percent corporate tax rate (state and federal).

Input Area:

Shares outstanding 8,700,000
Share price $46.50
Purchase price of land is $65,000,000
Perpetual earnings increase $14,000,000
Current cost of capital 12.50%
Cost of new debt 8%
Optimal equity weight 70%
Optimal debt weight 30%
Tax rate 21%


Output area:

1. If Stephenson wishes to maximize its total market value, would you recommend that it issue debt or equity to finance the land purchase? Explain.




Assets $65,000,000?

Equity??
Total assets??

Debt & Equity ??

Perpetual aftertax earnings $11,060,000?

NPV of purchases?? (use NPV formula builder function if possible)



Balance Sheet
Old assets??
NPV of Project??
Equity??
Total assets??
Debt & Equity ??
New share price? ?
Shares to issue? ??



Balance Sheet
Cash???
Old assets??
NPV of project?? (NPV function)

Equity ??
Total assets ??

Debt & Equity ??

Total shares outstanding ? ?

Share price ?? ?

PV of earnings increase ?? ? (PV function)




Balance Sheet
Old assets??
PV of project ? (PV function)

Equity ??
Total assets ?? ?

Debt & Equity ??? ?

Value of levered company ?? ? <---VL = VU+TC*D Note*: TC = Tax rate





Balance Sheet
Value unlevered?? ?

Debt ?? ?
Tax shield value?

Equity ?? ?
Total assets ?? ?

Debt & Equity ?? ?

Stock share price???

Answers

Therefore, the proposal to the board is to use debt financing to maximize the price per share of the firm's equity which will increase the overall value of the company.

How to solve

Table 1-4

Number of Shares Needed To Finance Purchase

After analyzing the new price per share Stephenson will need to determine the number of shares needed to carry out this equity financed purchase of land.

The company needs to raise $45,000,000 to purchase the land with the price per share of $49.53. The company needs to issue 908,540.28 in shares to finance the purchase of the land, as seen in Table 1-5.

Shares Needed to Finance Purchase of Land

Plan to Purchase Land 45,000,000

New Price per Share 49.53

Shares Needed 908,540.28

Table 1-5

Equity Issued Balance Sheet

After the equity is issued the firm will receive $45,000,000 in cash which will increase the company's assets and equity by $45 million as seen in the new balance sheet in Table 1-6. The stock price will remain unchanged.

Market Value Balance Sheet

Assets

Cash 45,000,000

Old Assets 582,000,000 Equity 639,391,304.35

NPV of Project 12,391,304.35

Total Assets 639,391,304.35 Total Debt & Equity 639,391,304.35

Table 1-6

This changes the number of shares outstanding. The new number of shares outstanding equals the number of old shares outstanding plus new shares issued. Table 1-7 shows the new number of shares outstanding equals 12,908,540.28.

New Shares Outstanding

Equity Finance Outstanding Old Shares 12,000,000

New Shares Issued 908,540.28

New Number of Shares Outstanding 12,908,540.28

Table 1-7

The price per share remains unchanged as recalculated in Table 1-8.

New Price Per Share

Total Stockholder's Equity 639,391,304.35

Number of new common shares outstanding 12,908,540.28

New Price Per Share $49.53

Table 1-8

After the land is financed using equity, Stephenson reviews the updated balance sheet now reflecting the $45 million land purchase, as seen in Table 1-9.

Market Value Balance Sheet

Assets Total Debt & Stockholder's Equity

Purchase of Land 45,000,000 Debt

Old Assets 582,000,000 Equity 639,391,304.35

NPV of Project 12,391,304.35 Total Debt & Equity 639,391,304.35

Conclusion

After analyzing both project one, issuing equity to finance, and project two, issuing debt to finance, Stephenson has prepared a final proposal for submission to the board for the purchase of land to expand the company's business.

If the company uses equity to finance the purchase of the new land, the firm's stock price will remain at $49.53 per share. The analysis of project two resulted in the stock price rising to $51.03 per share.

Therefore, the proposal to the board is to use debt financing to maximize the price per share of the firm's equity which will increase the overall value of the company.

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solutions for lack of accurate and timely information?
Solutions for information overload?

Answers

Solutions for lack of accurate and timely information are by improving the data management, use real time data, invest in data analytics and proper training of employees. Solutions for information overload is use of data visualization.

Missed opportunities, expensive errors and decreased productivity can result from a lack of accurate and timely information. Organizations can address this issue in a number of ways, including by enhancing data collection, utilizing real time data systems, investing in data analytics tools and instructing staff on how to gather and analyze data efficiently.

By doing this, businesses can guarantee that they have access to the data they require when they require it, empowering them to take better decisions and stay one step ahead of the competition.

A problem that can arise is information overload, especially in the modern world where data is being produced at an unheard of rate.

Organizations can use a range of solutions to deal with this problem including data visualization, filters and search tools importance based information prioritization, data source limitations and automated information that help in sorting and prioritization.

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How do you know your Business is ready to partner with a Distributor?

Question 1 options:

You have the Sakes Staff to support it.


All of these Answers are right.


You have a strong Trucking and Delivery infastructure.


You have adequate Inventory Housing.

Answers

Answer:

All of these answers are right, but there are some additional factors that should also be considered when determining if your business is ready to partner with a distributor. Some of these factors include:

Product demand: Distributors are typically interested in partnering with businesses that have a proven track record of strong product demand. If your product is not yet well-established in the market, it may be more difficult to convince a distributor to partner with your business.Marketing and branding: If your business has a strong brand and marketing strategy, this can make it more attractive to potential distributors. Distributors want to partner with businesses that have a clear and compelling value proposition and a strong brand image.Financial stability: Distributors want to partner with businesses that are financially stable and have a strong track record of profitability. This can give them confidence that the partnership will be a mutually beneficial one.Scalability: Distributors want to partner with businesses that have the potential for growth and scalability. If your business has demonstrated that it can scale up production and increase sales, this can make it more attractive to potential distributors.Competitive advantage: Finally, distributors want to partner with businesses that have a competitive advantage in the market. This could be a unique product offering, a proprietary technology, or a strong distribution network. If your business has a strong competitive advantage, this can make it more attractive to potential distributors.

Evaluate whether Min-Chul is right to focus more on non-financial motivators than financial
motivators to attempt to motivate employees.

Answers

The most prevalent financial motivations occur at work and entail monetary rewards. These are your extrinsic motives, often known as carrots and sticks, which are used to encourage and reward employees for specific achievement behaviors.

Financial incentives drive workers and make them aware of what they stand to gain or lose depending on their performance when they are effectively conveyed. The employee can more easily provide for their families and materially better their lives outside of work thanks to this kind of inducement. Financial incentives can also raise short-term morale and productivity.

Naturally, not everyone is driven by money, and Gallup has discovered that there is no connection between engagement and pay scale. In addition, because of their monetary character, financial motivators frequently have declining returns. Less frequent non-financial motivators are frequently intangible and do not explicitly involve money. These can take various forms, such as acknowledgment, increased accountability and faith in a position, involvement in decisions, adaptable schedules, mentoring, feedback, and others.

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