Answer: If your account has a fixed rate, the bank can still change your rate, but there are limits on when it may do so and notice requirements: The bank generally cannot change your rate during the first year after the account was opened.
Explanation: goggle
grullon co. is considering a 9-for-5 stock split. the current stock price is $87.50 per share, and the firm believes that its total market value would increase by 3% as a result of the improved liquidity that should follow the split. what is the stock's expected price following the split?
The stock's expected price by grullon co. following the split willl be $33.75. Hence, option B is accurate.
The calculation of the projected stock price after taking into account the stock split is displayed below:
Stock split ratio Equals (Current Stock Price Stock Split Ratio 1 + Increase Percentage)
= ($75 × 3 × 1 + 0.05) ÷ 7
= 236.25 ÷ 7
= $33.75
Simply put, while determining the projected stock price, we take the stock split ratio into account. The calculating component considers the 3 for 7 stock split ratio.
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The correct question is:
Grullon Co. is considering a 7-for-3 stock split. The current stock price is $75.00 per share, and the firm believes that its total market value would increase by 5% as a result of the improved liquidity that should follow the split. What is the stock's expected price following the split? a. $32.06 b. $33.75 c. $35.44 d. $37.21 e. $39.07
equilibrium:directions: 1) illustrate each of the following situations. 2) as necessary, label s1, s2, d1, d2, peq1, peq2, qeq1, qeq2 and uses arrows to show shifts. 3) write what happened to price equilibrium (increase, decrease or same?) and quantity equilibrium (increase, decrease or same?) 4) list the determinant of supply and/or demand.
Price equilibrium increases, while quantity equilibrium decreases. The determinant of supply is production costs.
Equilibrium is a state of balance in a market where the supply of goods or services is equal to the demand for them.
S1 and S2 are the supply curves, and D1 and D2 are the demand curves. Peq1 and Peq2 are the equilibrium prices for the respective supply and demand curves, and Qeq1 and Qeq2 are the equilibrium quantities.
The determinants of supply and demand are the factors that affect the supply and demand curves.
Situation 1: In this situation, the supply and demand curves are in equilibrium at Peq1 and Qeq1. Situation 2: In this situation, the demand curve shifts to D2 due to an increase in consumer income, while the supply curve remains at S1. This leads to a new equilibrium at Peq2 and Qeq2. Price equilibrium decreases, while quantity equilibrium increases. The determinant of demand is consumer income. Situation 3: In this situation, the supply curve shifts to S2 due to an increase in production costs, while the demand curve remains at D1. This leads to a new equilibrium at Peq2 and Qeq2.This resulted price equilibrium increases, while quantity equilibrium decreases. The determinant of supply is production costs.
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Rachel bought 1,500 shares of cawh consolidated bank at a price of $24. 85 each. As the price climbed, she sold off parts of her holdings. She sold off 250 shares at $28. 32 apiece, she sold 800 of her shares at $33. 60 apiece, and she sold off the remainder of her shares at $39. 94 apiece. If rachel’s broker charges a commission of $65 per $1,000 of stock bought or sold, how much profit did rachel make, to the nearest dollar?.
Rachel made a profit of approximately $8,859 from buying and selling her shares in Cawh Consolidated Bank.
To calculate Rachel's profit from buying and selling 1,500 shares of Cawh Consolidated Bank, we'll follow these steps:
1. Calculate the initial cost of buying 1,500 shares at $24.85 each: 1,500 * $24.85 = $37,275.
2. Calculate the commission paid for buying the shares: ($37,275 / $1,000) * $65 = $2,422.875 (rounded to $2,423).
3. Calculate the revenue from selling the shares:
a. 250 shares at $28.32 each: 250 * $28.32 = $7,080.
b. 800 shares at $33.60 each: 800 * $33.60 = $26,880.
c. 450 shares at $39.94 each (since she sold all her shares): 450 * $39.94 = $17,973.
4. Calculate the total revenue from selling the shares: $7,080 + $26,880 + $17,973 = $51,933.
5. Calculate the commission paid for selling the shares: ($51,933 / $1,000) * $65 = $3,375.645 (rounded to $3,376).
6. Calculate the net profit by subtracting the initial cost, buying commission, and selling commission from the total revenue: $51,933 - $37,275 - $2,423 - $3,376 = $8,859.
So, Rachel made a profit of approximately $8,859.
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1. From its peak in September 2012 to the end of March 2013, Apple’s stock price fell by
37%, from $702.10 to $442.66. Examine ONLY the financial reports (in the appendices)
and identify areas that were responsible for this stock performance.
2. State the amount of cash holdings Apple reported in their 2020 annual report (10-k)1 and state Apple’s plan to disburse cash holdings for 2020 and beyond.
Apple's stock price experienced a significant decline of 37% from September 2012 to March 2013. The primary factors responsible for this stock performance can be identified by examining the financial reports.
The decline in Apple's stock price can be attributed to several factors reflected in the financial reports. Firstly, during this period, concerns arose regarding Apple's ability to sustain its high growth rate and maintain its competitive edge in the smartphone and tablet markets. Investors may have been worried about slowing iPhone sales growth and increasing competition from rivals.
Additionally, there were uncertainties regarding Apple's product pipeline and the company's ability to introduce innovative and groundbreaking products in the future.
Furthermore, fluctuations in global economic conditions and the overall stock market sentiment at that time could have influenced Apple's stock price. Investors may have engaged in profit-taking or portfolio reallocation, leading to the decline in Apple's stock price as part of a broader market trend. Macroeconomic factors such as economic slowdowns or geopolitical tensions can impact investor sentiment and trigger a sell-off in stocks.
Lastly, specific financial indicators within Apple's reports, such as revenue growth rates, profit margins, and guidance for future performance, could have influenced investor confidence. Any signs of weakness or uncertainty in these areas could have contributed to the decline in Apple's stock price.
In conclusion, the decline in Apple's stock price from September 2012 to March 2013 can be attributed to a combination of factors, including concerns about market saturation, competitive pressures, general market conditions, and investor sentiment influenced by financial indicators.
It is crucial to consider a holistic approach when analyzing stock performance, incorporating both internal factors from financial reports and external factors affecting the broader market.
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John F. Kennedy believed that a leader should be _____. A. elected B. successful C. a lifelong student D. in the military
John F. Kennedy believed that a leader should be successful .
He believes that as one is been elected by the people to be their leader, one should have a passionate vision to be successful. Option b
What was John F. Kennedy Values for a Successful LeadershipJohn F. Kennedy has set series of Values and Rules, that can lead us and give us the insight on how to be a Successful leader.
John F. Kennedy, as the President of the United States, was a high level Charismatic Leader and sets of Values that should mold any Successful Leader which are
The leader should be able to guide and identify the way forward for a better future.A leader should be able to set a high standards what is doing what is need to done at the right time and doing them well.Set high goals and fixed your targetExpress your convictions of value and stick to them.Fight for freedom, rights for the people. Resolve differences. Create a better future.appreciate others for their contribution.Get more information on Successful leader herebrainly.com/question/25996547
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The marketing concept is all about meeting the consumer's_____. Choose the best answer.
A) needs
B) Wants
C) Expectations
D) None of the above
A ________ is a senior manager who oversees the use of IT in the firm.
A) CEO
B) CFO
C) CIO
D) CTO
E) CKO
Answer:
Ans is A
CEO is a senior manager
A CIO is a senior manager who oversees the use of IT in the firm.
What is an Information Technology firm?An IT Firm is a company that provides direct IT support, IT management, infrastructure services or physical and network/data security services to companies, known as an IT firm.
The core team of an IT support company, also known as an IT managed services provider, is made up of qualified his specialists. The team offers you professional direction and management on a variety of IT, including general computer systems and device networking, as well as electronic gear and software.
IT teams are made up of highly skilled specialists, and each member has their own distinctive talents and areas of specialization. Therefore, a good IT team is able to provide a wide range of IT support services that address all of your IT needs.
Services provided by IT support organizations like Gordian Networks fall into two categories:
resolving urgent IT issues
putting proactive steps in place to avoid future IT issues
Thus, the option C is correct
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Please Help!
What type of business ownership is Microsoft?
Is Microsoft Product or service provided?
What type of security system is used to ensure privacy and security of customers when making a purchase online?
Describe the return policy of Microsoft.
Would you patronize this business if you are a customer? Why or why not?
Answer:
Microsoft is a technology company. It started off as a partnership. It is both product and service provided. A data security system is used to ensure privacy and security. In my opinion, Microsoft has a good return policy. It is easier for their items to be more reliable on not being used, or tampered with. I would patronize this company, because I think that it is reliable and easy to work with.
Explanation:
The following options describe costs incurred by owners of a given business. Identify which would be considered a sunk cost for a firm that is considering exiting a market
A sunk cost when the firm is considering exit is the cost which is being incurred already and is unavoidable.
What is a Sunk Cost?A sunk cost is a type of expenditure which the firm incurs and there is no way to avoid this cost, and the expenditure is incurred already and the next decision taken will have no impact on this expenditure.
For example the sunk cost can be:
Rent - no matter how much of area is being used but the rent for whole area is being paid.
Wages - No matter how much units are produced but the wages are paid.
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Builtrite common stock just paid a dividend of $2.50 and dividends are expected to grow at a 6% annual rate. If you require an 13% annual return, what do you believe is a fair price for Builtrite stock?
To calculate the fair price for Builtrite stock when a dividend is paid and dividend are expected to grow at a 6% annual rate and an investor requires a 13% annual return, we can use the dividend discount model.
The dividend discount model is calculated as follows: P = D₁ / (r - g) where = the fair price of the stockD₁ = the dividend paid at the end of the first year = the required rate of return = the expected dividend growth rate.
Substituting the given values, we have:P = $2.50 / (0.13 - 0.06)P = $2.50 / 0.07P = $35.71. Therefore, the fair price for Builtrite stock is $35.71.
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The calculation of the fair price for Builtrite stock can be obtained using the dividend discount model. A stock's value can be estimated using the dividend discount model (DDM), which calculates the value of a stock based on its future dividends.
The dividend discount model takes into account the present value of a stock's future dividend payouts, including any growth. Here, the calculation is as follows:Given data:Annual dividend = $2.50Growth rate = 6%Rate of return required by the investor = 13% Formula for calculating fair value:FV = D1/(r-g)Where,FV = fair valueD1 = dividend expected in the next year = $2.50 x (1 + 6%) = $2.65r = Required rate of return = 13%g = Growth rate of dividends = 6%Therefore, FV = $2.65/(13%-6%) = $44.17The fair price of Builtrite common stock is $44.17 per share.
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Which of the following situations is an example of discharge by commercial impracticability?
A manufacturer finds that it can no longer manufacture an item at the same cost that it previously could.
A manufacturer becomes extremely short of raw materials because of an unanticipated war embargo.
A manufacturer finds that other competing manufacturers can produce an item more efficiently.
A manufacturer becomes extremely short of raw materials because of the manufacturer’s poor strategic planning.
Discharge by commercial impracticability is a term used in the Uniform Commercial Code (UCC), which describes situations in which a party to a contract is excused from performing their obligations because of unforeseeable circumstances beyond their control that make performance commercially impracticable.
There are several situations where discharge by commercial impracticability can be invoked, but one of them is when a manufacturer becomes extremely short of raw materials because of an unanticipated war embargo.
When a manufacturer is faced with an unanticipated war embargo, they are prevented from obtaining the necessary raw materials to fulfill their contractual obligations, which makes performance commercially impracticable.
These situations do not involve unforeseeable circumstances beyond the manufacturer's control that make performance commercially impracticable, but rather reflect normal market conditions that are expected to change over time.
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Jon is considering providing substantial funding to a new startup company called Ampére located in Spain. The company is planning to begin producing electric vehicles that are equipped with fully autonomous driving technology in two years. Jon is concerned that customers in Spain are not receptive to fully autonomous cars as recent country-wide research shows that the company ranks 17th (out of 20 countries surveyed) on the autonomous vehicle readiness index. Customers in Spain do not seem to be willing to adopt these technologies yet. Which of the following PESTEL dimensions should Jon most closely follow in order to assess whether customers' attitudes towards autonomous technologies will begin to change in the near future?
a) Technological
b) Economic
c) Sociocultural
d) Ecological
e) Legal
Answer:
c) Sociocultural
Explanation:
The attidudes of Spanish consumers towards autonomous cars are mainly influenced by sociological and cultural factors, in other words, they belong the sociocultural dimension of PESTEL.
Some of these factors may be: opennes to experience, education level of the population, demographic structure, income distribution, prevailing ideas or ideology in the populace, and so on.
These are the factors that Jon should look closely to in order to determine as objectively as possible the consumer attidue towards autonomous cars, so that he can decide whether or not to start this type of business.
PLEASE ANSWER QUICKLY: (FIRST ANSWER GETS BRAINLIEST)
Manuel wants to better manage his money and has started to seriously focus on financial planning. He has looked at his accounts and his other resources. What is the NEXT step Manuel should take in the financial planning process?
Identify his short-term and long-term financial goals.
Identify his potential goals.
Periodically review and revise his financial plan.
Answer: A. Identify his short-term and long-term financial goals.
Explanation:
You're welcome :)
After going over his accounts and resources, Manuel should reflect on his short-term and long-term financing.
What is short and long-term finance?Short period financing methods cast off a mortgage to make a purchase, commonly with a time period of much less than 365 days. Trade credit, commercial bank loans,commercial paper and secured loans.
Long period finance may be described as any economic device with an exceeding one year, consisting of financial institution loans, bonds, leasing, and different sorts of debt finance, public finance instruments.
So from the above declaration, it's clear that short and long-time period financing, is the ideal answer.
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While _____ have been found following unionization for represented employees, this may not carry
over to nonunion employees who also received increased pay.
A. attendance decreases
B. productivity increases
C. share price increases
D. a decrease in golden handcuffs
While productivity increases have been found following unionization for represented employees, this may not carry over to nonunion employees who also received increased pay.
Option- B is correct.
Productivity increases have been found following unionization for represented employees. While productivity increases have been found following unionization for represented employees, this may not carry over to nonunion employees who also received increased pay.
What is productivity?Productivity can be defined as the relationship between the number of outputs obtained from a system and the number of inputs used to produce them. It is the amount of time and resources utilized to complete a task. High productivity allows firms to compete in the market and keep costs down while increasing revenue.
Therefore, option B is the correct answer.
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if a food service worker follows directions how long does i take to was her hand
Answer:
30 seconds i think
Explanation:
plz give brainliest
He said," I don't like you" change in indirect speech
Answer:
whether'.
Explanation:
This is an assignment of the class of Principles of Corporate Finance and its Financial Risk Management chapter. Please solve the questions below with reference of books in the end. Thank you.
Taxes are costs, and, therefore, changes in tax rates can affect consumer prices, project lives, and the value of existing firms. Evaluate the change in taxation on the valuation of the following project:
0 1 2 3
1 Initial Investment 100 2 Revenue 100 100 100
3 Cash Operating Costs 50 50 50
4 Tax depreciation 33.33 33.33 33.33
5 Income pretax 16.67 16.67 16.67
6 Tax at 40% 6.67 6.67 6.67
7 Net Income 10 10 10
8 After tax salvage 15
9 Cash flow (7+8+4-1) -100 +43.33 +43.33 +58.33
NVP at 20%=0
Assumptions: Tax depreciation is straight-line over three years. Pre-tax salvage value is 25 in Year 3 and 50 if the asset is scrapped in Year 2. Tax on salvage value is 40% of the difference between salvage value and book value of the investment. The cost of capital is 20%.
1. Please verify that the information above yields NPV = 0.
2. If you decide to terminate the project in Year 2, what would be the NPV of the project?
3. Suppose that the government now changes tax depreciation to allow a 100% write-off in Year 1. How does this affect your answers to parts a and b above?
4. Would it now make sense to terminate the project after two rather than three years?
5. How would your answers change if the corporate income tax were abolished entirely?
1. In this case, the Net Present Value (NPV) of the project is equal to zero. We can calculate the NPV of the project by discounting the cash flows at a rate equal to the cost of capital, which is 20% in this case. The cash flows are as follows:
Year 0: -100 (Initial Investment)
Year 1: +43.33
Year 2: +43.33
Year 3: +58.33 (includes the after-tax salvage value of 15)
The present value of these cash flows at a discount rate of 20% is:
NPV = -100 + 43.33/(1.2) + 43.33/(1.2)^2 + 58.33/(1.2)^3
NPV = -100 + 35.94 + 29.95 + 32.52
NPV = -1.59
Since NPV is less than zero, the project is not profitable. Therefore, we need to recalculate the cash flow by changing the tax rate.
2. If the project is terminated in Year 2, then the after-tax salvage value will be 50. The cash flows will be as follows:
Year 0: -100 (Initial Investment)
Year 1: +43.33
Year 2: +50 (includes the after-tax salvage value of 50)
The present value of these cash flows at a discount rate of 20% is:
NPV = -100 + 43.33/(1.2) + 50/(1.2)^2
NPV = -100 + 35.94 + 41.32
NPV = -22.74
Therefore, if the project is terminated in Year 2, the NPV will be -22.74.
3. If tax depreciation is allowed as 100% write-off in Year 1, then the tax in Year 1 will be 40% of 100, which is 40. Therefore, the Net Income in Year 1 will be 60. The Net Income in Year 2 and Year 3 will be zero, since there is no tax depreciation left. The cash flows will be as follows:
Year 0: -100 (Initial Investment)
Year 1: +60
Year 2: +15 (includes the after-tax salvage value of 15)
The present value of these cash flows at a discount rate of 20% is:
NPV = -100 + 60/(1.2) + 15/(1.2)^2
NPV = -100 + 50 + 12.5
NPV = -37.5
Therefore, the NPV will be negative, which means that the project is not profitable.
4. Since the cash flow in Year 2 is positive, terminating the project after two years would make sense. The NPV in this case would be +8.73. The cash flows will be as follows:
Year 0: -100 (Initial Investment)
Year 1: +43.33
Year 2: +43.33 (includes the after-tax salvage value of 25)
The present value of these cash flows at a discount rate of 20% is:
NPV = -100 + 43.33/(1.2) + 43.33/(1.2)^2
NPV = -100 + 35.94 + 29.95
NPV = -34.11
5. If the corporate income tax were abolished entirely, the Net Income for each year would be equal to the Revenue minus the Cash Operating Costs. The Net Income in Year 1, Year 2, and Year 3 would be 50. The after-tax salvage value in Year 3 would be 25. The cash flows will be as follows:
Year 0: -100 (Initial Investment)
Year 1: +50
Year 2: +50 (includes the after-tax salvage value of 25)
The present value of these cash flows at a discount rate of 20% is:
NPV = -100 + 50/(1.2) + 50/(1.2)^2
NPV = -100 + 41.67 + 34.72
NPV = -23.61
Therefore, if the corporate income tax were abolished entirely, the NPV would still be negative.
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When janelle decided to buy a new computer, she thought about all the brands she could recall seeing advertised, but when she visited her local best buy, she limited her search to only those brands she would consider buying. the brands available at best buy represent janelle's set.
Situational influences are transient circumstances that have an impact on consumer behavior.They include tangible elements like a store's layout, buying areas, music, lighting, and even odors.Businesses work to improve the physical conditions that shoppers encounter.
What are the situational factors that could alter the consumer decision making at the time of purchase?The likelihood that someone will go through all six stages of the purchasing process is probably limited to specific circumstances, such as when purchasing a thing for the first time or when purchasing expensive, durable, infrequently used items.Complex decision-making is what is meant when this occurs. Which of the aforementioned purchases would consumers be most likely to make with limited problem-solving.A regular coffee drinker's typical purchase is generally coffee to go.But problem solving skills will likely be reduced as a result of college courses. Physical surroundings, social surroundings, temporal perspective, task description, and antecedent state are the five components that make up situational factors. There are four different forms of consumer behavior: complex buying behavior, dissonance reduction, variety seeking, and habitual buying behavior. Consumer decision-making can appear complicated, but all buyers follow the same fundamental stages to choose the goods and services that will best meet their needs.Whether purchasing something, especially when it's something substantial like a car, consider your own thought process. When acquiring high-involvement products, buyers don't exhibit routine response behavior.Instead, they participate in what is known as prolonged problem solving, spending a lot of time weighing various factors such product features, costs, and warranties.To learn more about decision making refer
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The CFO asked one of her financial analysts to conduct a variance analysis of the company's consolidated balance sheets and income statements for fiscal years 2015, 2016, 2017, and 2018, which has been completed. The analyst determined the variances for each account (line item) captured in the financials. Now that this first step has been accomplished, the CFO would like you to pay particular attention to the negative variances contained in the spreadsheet and focus on those variances you believe to be potentially the most impactful to Stanford.
After conducting a variance analysis of the company's consolidated balance sheets and income statements for fiscal years 2015-2018, the financial analyst has determined the variances for each account captured in the financials.
The next step is to focus on the negative variances and determine which ones are potentially the most impactful to Stanford.
Negative variances occur when actual results are less than expected. These variances can be caused by a variety of factors, including changes in the market, unexpected expenses, or poor performance. When analyzing negative variances, it is important to understand the underlying causes and determine whether they are temporary or permanent.
To identify the most impactful negative variances, the CFO should prioritize those that have the largest dollar impact and those that are most likely to persist.
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On an introductory sales call, the first thing a sales representative must establish is:
O Trust
O Need
O Want
O Timing
The first thing a sales representative must establish on an introductory sales call is trust. This lays the foundation for effective communication and allows the sales representative to understand and address the customer's needs, ultimately increasing the chances of a successful sales outcome.
On an introductory sales call, the first thing a sales representative must establish is trust. Building trust with the potential customer is essential in establishing a positive and productive relationship. Trust is the foundation on which all successful sales interactions are built.
By demonstrating honesty, credibility, and reliability, the sales representative can instill trust in the potential customer. This can be achieved through effective communication, active listening, and addressing any concerns or questions that the customer may have.
Establishing trust allows the sales representative to create an environment where the customer feels comfortable sharing their needs and wants. Once trust is established, the sales representative can move on to identifying the customer's needs. Understanding the customer's needs is crucial in offering relevant solutions and products that can meet those needs.
While it is important to address the customer's wants and timing, establishing trust and identifying needs take precedence on an introductory sales call. By focusing on trust and needs, the sales representative can lay the groundwork for a successful sales process and increase the likelihood of closing the sale.
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What is one of the key goals of unions?
A: to encourage more workers to form unions
B: to ensure that employers heed environmental laws
C: to get wage increases for their members
D: to engage in featherbedding
Answer:
l think to encourage more workers to form unions
Explanation:
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Answer: C
Explanation:
Which accounting concept is used in each of the following accounting treatment?
The cost of a tape dispenser has been charged to an expense account, although in fact it could still be in use in ten years’ time.
A sole proprietor has sold his private house, but has not recorded anything about it in the business records.
A debt has been written off as a bad debt even though there is still a chance that the debtor eventually may be able to pay it.
A machine has been bought for an exceedingly low figure,and it has been entered in the asset account at that figure even though it is worth more.
A motor van broke down in December , 2017. The repair bill for it was not until 2018 yet it has been treated as a 2017 expense.
The accounting concepts that provide guidance for recording the following business events are as follows. The business transactions are numbered from (a) to (e) below:
1) Materiality Concept is applied because the impact of the cost of the tape dispenser being "expensed" is not significant on the reader of the financial statement.
2) Entity Concept requires separation between the finances of the owner from the finances of the business. The business is a separate economic unit distinct from the sole proprietor.
3) Prudence Concept demands that expenses (like the bad debt written off) and liabilities are not underestimated and revenues and assets should not be overestimated.
4) Historical Cost Concept: Generally accepted accounting principles require the initial recognition of an asset at its purchase cost and not fair value.
5) Accrual Concept and Matching Principle: The accrual concept requires that expenses that have been incurred for a period should be accounted for in that period, whether cash payment is made or not. The matching principle states that expenses (Van Repair Expense) should be matched to the revenue that they generate.
Thus, accounting concepts are the basic assumptions, rule, and principles for recording business transactions and events and preparing accounts and financial statements.
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a portfolio is invested 45 percent each in stock a and stock b, and 10 percent in stock c. the expected t-bill rate is 3.2 percent. what is the expected risk premium on the portfolio?
The expected risk premium on the portfolio is 6.7 percent.
To calculate the expected risk premium on the portfolio, we need to first calculate the expected return of each stock. Let's assume that stock a is expected to return 12 percent, stock b is expected to return 8 percent, and stock c is expected to return 6 percent.
Using these expected returns and the portfolio weights, we can calculate the expected return of the portfolio as follows:
Expected return of portfolio = (0.45 x 12) + (0.45 x 8) + (0.10 x 6) = 9.9 percent
Next, we need to subtract the risk-free rate (the expected T-bill rate of 3.2 percent) from the expected return of the portfolio to get the expected risk premium:
Expected risk premium = 9.9% - 3.2% = 6.7%
Therefore, the risk premium on the portfolio is 6.7 percent.
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If the product or service you sell is taxable, you must obtain is ———— A. A sales tax permit B. An employer identification number C. A business checking account D. Business cards
Answer:
The answer I prefer is
Explanation:
An employer identification number.
Hope this helps....
Have a nice day!!!!
Drag each option to the correct location.
Match the scenarios to the factors that affect the labor market.
foreign direct investment
outsourcing
immigration
Each scenario should be matched to the factors that affect the labor market as follows:
Immigration: Carlos is moving from Mexico to the United States because he got a job in a bank. He had his interview last month, and the bank agreed to hire him because he was willing to work for 10% less than most American workers, even though he has the same qualifications.Foreign direct investment: A US supermarket chain is going to open a few supermarkets in Europe because a recent survey showed that the chain has a huge potential for profits in Europe.Outsourcing: A renowned US information technology firm has recently signed a contract with a company based in the Philippines. The Filipino company will handle the accounts of the US firm. The US firm made this decision to reduce labor costs.What is immigration?Immigration can be defined as the movement of a group of people from one geographical region to another geographical destination such as a city, especially in search of any of the following:
Good governanceSecurityBetter living conditions.WorkJobsSocial amenitiesWhat is a foreign direct investment?A foreign direct investment (FDI) simply refers to a type of investment which is made by an individual or business organization (investor) into an investment market that is located in another country.
In conclusion, an example of foreign direct investment (FDI) is a US supermarket chain that is planning to open a few supermarkets in a country in Europe.
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Answer:
Post Test: Free Market and Businesses
Unit: 2
Economics
Question #12
__________________________________________________________
This is 100% right because I took the test
Go to explanation for picture with answers
l
l
∨
Explanation:
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Name the the three forces UNCTAD identified as driving transnational market growth in the 1990s?
UNCTAD, the United Nations Conference on Trade and Development, identified three forces that were driving transnational market growth in the 1990s. These three forces were globalization, liberalization, and technological innovation.
Globalization refers to the interconnectedness and interdependence of economies around the world. It allows companies to expand their reach beyond their domestic market and tap into new markets around the world. Liberalization refers to the removal of barriers to trade and investment, such as tariffs and regulations. This allows companies to enter new markets more easily and compete with domestic firms.
Technological innovation refers to the advances in communication and transportation technologies that have made it easier and cheaper for companies to do business globally. This includes the rise of the internet, which has made it possible for companies to reach customers in new markets without the need for physical infrastructure.
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Which is a risk in IS development?
Answer:
System Unavailability U r correct . A risk is a potential problem. It's an activity or event that may compromise the success of a software development project. Risk is the possibility of suffering loss, and total risk exposure to a specific project will account for both the probability and the size of the potential loss.Explanation:
Hope this helps you !!Henry, a trainer at MyChem Inc., schedules training on handling hazardous chemicals for a group of newly hired employees. The training complies with OSHA regulations and is given to all employees upon hire along with periodic refreshers. The type of training described in this scenario is _____.
Answer:
Hazard Communication Standard (HCS) training program
Explanation:
The type of training described in this scenario is known as the Hazard Communication Standard (HCS) training program. This is a employee training program designed with the goal of explaining and reinforcing the written information regarding hazard labels and material safety data sheets, as well as how to behave around hazardous material and to apply this information to their workplace.
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Answer:
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Answer:
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Explanation:
when choosing a forecasting technique, a critical trade-off that must be considered is that between:
When choosing forecasting technique, critical trade-off that must be considered is that between the cost and accuracy.
What is forecasting?Forecasting is a method that produces accurate estimates using historical data as inputs to determine the direction of future trends. Forecasting is used by businesses to decide how to allocate their budgeted finances or to plan for upcoming expenses. Usually, the anticipated demand for the offered goods and services determines this. Forecasting helps investors determine if particular events, like sales predictions, will increase or decrease the price of a company's stock. Equity analysts utilize the forecasting technique to extrapolate how indicators, such the GDP or unemployment, will change in the future quarter or year. Finally, statisticians may utilize forecasting to evaluate the implications of a change in business operations.
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