Optimized Co. has a current period cash flow of $1.1 million and pays no dividends. The present value of the company’s future cash flows is $13 million. The company is entirely financed with equity and has 630,000 shares outstanding. Assume the dividend tax rate is zero.
a. What is the share price of the company's stock? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)
b. Suppose the board of directors of the company announces its plan to pay out 50 percent of its current cash flow as cash dividends to its shareholders. Jeff Miller, who owns 1,300 shares of the company's stock, wants to achieve a zero payout policy on his own, by buying or selling shares. How many shares should he sell or buy? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

Answers

Answer 1

a. To calculate the share price of the company's stock, we can divide the present value of the future cash flows by the number of shares outstanding:

Share Price = Present Value of Future Cash Flows / Number of Shares Outstanding

Share Price = $13,000,000 / 630,000

Share Price ≈ $20.63

Therefore, the share price of the company's stock is approximately $20.63.

b. To achieve a zero payout policy on his own, Jeff Miller needs to adjust his share ownership based on the desired payout percentage and the current cash flow.

First, we calculate the cash dividend per share by multiplying the current cash flow by the desired payout percentage:

Cash Dividend per Share = Current Cash Flow * Desired Payout Percentage

Cash Dividend per Share = $1,100,000 * 50% = $550,000

To achieve a zero payout policy, Jeff Miller needs to offset the cash dividends he would receive by selling a portion of his shares.

Number of Shares to Sell = Cash Dividend per Share / Share Price

Number of Shares to Sell = $550,000 / $20.63

Number of Shares to Sell ≈ 26,677.77

Since fractional shares are not possible, Jeff Miller should sell approximately 26,678 shares to achieve a zero payout policy.

Therefore, Jeff Miller should sell approximately 26,678 shares to achieve a zero payout policy on his own.

Learn more about  cash flows Here-  

https://brainly.com/question/735261

#SPJ4


Related Questions

Please help I'm about to fail my class and i will be grounded for life, 100 pts for it! its financial literacy

Part One–Research
Imagine you bought 100 shares of stock three years ago and are selling it today. Select a company and research its stock prices. You can start with websites like Nasdaq and Fidelity. Determine the stock's price three years ago, or the purchase price, and its price today, or the selling price.

Part Two–Determine the Real Return
Calculate the real return of your stock investment using the following information:

Purchase price of 100 shares of stock
Selling price of 100 shares of stock
10% tax rate
3% inflation rate
2% administrative fee on the selling price of the stock
Part Three–Evaluate
Analyze your research and calculations, and answer the following questions:

What company did you select to buy stock in? Why did you select the company?
Consider the real return of the stock investment. Do you consider it a wise investment? Why or why not?

Answers

1. I imagine buying 100 shares of Amazon.com Inc. on January 3, 2020, when the stock price was $93.75, investing $9,375.  

Today, October 31, 2022, the stock price of Amazon.com Inc. is $102.44.

2. The real return on my investment in Amazon.com Inc was a net loss of  7.12% or $667.60.

3. The company I selected to buy its stock three years ago was Amazon.com Inc.

4. I decided on Amazon.com Inc., hoping to earn spectacular returns since it is a multinational technology company.

5. When I consider the actual return on the stock investment in Amazon.com Inc., I think it was an unwise investment.

6. The investment returned a negative real value because I realized less than I initially invested; I actually lost about $667.60 overall.

What is the stock investment?

Stock investment is the purchase of shares for an ownership interest in a publicly-listed company.

The investor makes the investment with the hope that the investee will grow and perform well over some period, enabling the investor to earn some real returns (in the form of dividends and capital appreciation).

Purchase of 100 shares Jan. 3, 2020 = $9,375 (100 x $93.75)

Sales of 100 shares Oct. 31, 2022 = $10,244 (100 x $102.44)

Tax (10%) = $1,024.40 ($10,244 x 10%)

Inflation (3%) = $307.32 ($10,244 x 3%)

Administration fee on sales (2%) = $204.88 ($10,244 x 2%)

Real Returns in dollars = $8,707.40 ($10,244 - $1,024.40 - $307.32 - $204.88)

Loss on returns = $667.60 ($8,707.40 - $9,375)

Loss percentage = 7.12% ($667.60/$9,375 x 100)

Unfortunately, Amazon.com Inc. did not pay any dividends during the period of my investment, and I really lost funds to taxes, inflation, and administration fees when I sold it.

Learn more about stock investment at https://brainly.com/question/25818989

#SPJ1

when effective leaders hear others complaining about a problem, which action would they most likely take?

Answers

When effective leaders hear others complaining about a problem, THE action would they most likely take is: To try to learn how big the problem really is.

Who is a leader?

A leader is person that possess a leadership skills  and help to direct and lead the people that are under him/her.

An effective Leaders does not  ignore problems but they  tend to  learn how big the situation  and try to figure and solve it.

Therefore the action would they most likely take is: To try to learn how big the problem really is.

Learn more about leader here:https://brainly.com/question/1232764

#SPJ11

If a bank has the following ratios, it can pay up to_____of its earnings as dividends. Tier 1 leverage = 4.5%, Tier 1 common equity risk-weighted = 6.8%, Tier 1 risk- weighted = 8.4%, Total capital risk-weighted = 11% 40% 0% 20% 60% No payout limitation applies

Answers

It is crucial to think about maintaining or growing capital rather than paying out large dividends because the bank's Tier 1 leverage ratio is at the minimum requirement. To balance dividend payments with capital maintenance, choosing a conservative dividend payout, like 20%, might be wise.

Based on the given bank ratios, we can determine the maximum payout for dividends:

1. Identify the relevant ratios for dividend payout:
  - Tier 1 leverage ratio = 4.5%
  - Tier 1 common equity risk-weighted ratio = 6.8%
  - Tier 1 risk-weighted ratio = 8.4%
  - Total capital risk-weighted ratio = 11%

2. Compare these ratios to regulatory minimums:
  - Tier 1 leverage ratio: 4.5% is at the minimum requirement (4.5%)
  - Tier 1 common equity risk-weighted ratio: 6.8% is above the minimum requirement (4.5%)
  - Tier 1 risk-weighted ratio: 8.4% is above the minimum requirement (6%)
  - Total capital risk-weighted ratio: 11% is above the minimum requirement (8%)

3. Assess the payout limitations:
No payout limitations apply if all ratios are above their respective minimum requirements.

4. Based on the assessment, the bank can pay up to 100% of its earnings as dividends since no payout limitation applies. However, this is not among the options provided. Since the bank's Tier 1 leverage ratio is at the minimum requirement, it's essential to consider maintaining or increasing capital instead of paying out high dividends. Thus, selecting a conservative dividend payout, such as 20%, could be a prudent choice to balance dividend payment with capital maintenance.

For more such questions on  dividend payment, click on:

https://brainly.com/question/2960815

#SPJ11

dale runs a very successful business and often feels as if there is not enough time in the day to accomplish everything that he needs to. He has always struggled with time management and has decided to start employing some strategies that other successful entrepreneurs use to manage their time better. What is one strategy that dale might use to do this?

Answers

Time management boosts a company's productivity and effectiveness, thus business owners should always work on building or improving it.

What exactly does time management entail?

Planning and exercising deliberate control over the amount of time spent on particular tasks, especially to boost effectiveness, efficiency, and productivity, is the practise of time management.

The practise of controlling and arranging how to split your time between various activities is known as time management. If you execute it correctly, you'll find that you work more efficiently and effectively to complete more tasks in less time, even under time constraints and heavy pressure. The most successful people have great time management skills.

To know more about time management visit:

https://brainly.com/question/4113500

#SPJ1

For the question below, write an explanation of the short-run effect (including the determinant of AD or AS that is causing the shift, the line that shifts (AD or AS), the direction of the shift (left or right), and the impact on output and price level (increase or decrease) and submit a properly drawn and labeled aggregate demand and aggregate supply graph for the scenario. Make sure your name and assignment number are written on each page of graphs you submit. All text must be written in the text box provided.

Congress passes a sweeping health care reform bill that provides free medical insurance for all Americans. Once the President signs it into law, the government will provide every American with a policy that will pay up to 80% of every medical bill a patient incurs. This change does not impact consumer income.

Answers

Explanation:

The passage of the health care reform bill would shift the aggregate demand (AD) curve to the right in the short run. This is because with the new policy, people would be able to afford more health care services, leading to an increase in the quantity of goods and services demanded at every price level. This would result in an increase in both output and the price level in the short run.

On the other hand, the aggregate supply (AS) curve would remain unchanged since the bill does not affect the costs of production or the available inputs.

Overall, the short-run impact of the health care reform bill would be an increase in output and a higher price level.

if your credit card is stolen and the thief runs up a total debt of $500, but you notify the issuer of the card as soon as you discover it is missing, what is the maximum amount that you must pay according to federal law?

Answers

If someone steals your credit card and charges $500 in total. The maximum number that must be paid in accordance with federal legislation is $50.

How does a credit card work?

A bank will provide you with a credit card as a form of loan that has a revolving credit line that you can manage. You might use your debt capacity, which is a cap on the lending that underpins your credit card, for small or large purchases.

What advantages do credit cards offer?

The use of a credit card has many advantages. The benefits of credit cards include improved financial stability, raised credit scores, balance transfers, quick loan approval, and quick access to money in an emergency.

To know more about credit card visit:

https://brainly.com/question/14368281

#SPJ4

Question 3 of 10
Which of the following is a hard skill that a marketing manager might use on
a regular basis?
A. Using listening skills to understand employee concerns
B. Using spreadsheets to plan budgets
C. Using leadership skills to motivate a project team
D. Using coding skills to create websites for clients
SUBMIT

Answers

Answer: B. Using spreadsheets to plan budgets

Explanation: yes

Help. business management

Help. business management

Answers

Answer: The break-even point is 66 units.

Explanation:

The break-even point can be found by dividing total fixed costs by the difference between selling price and variable cost.

(fixed cost) / (sale price - variable cost)

1980 / (50 - 20) = 66 units

Salt & Battery must sell 66 units of product before breaking even.

Items that regularly appear on the financial statements of Maple Park Theatres Corp. The amounts shown for balance sheet items are balances as of September 30,2016

Answers

Answer:

Financial Statements are the reports of a company which provide detailed information about company financial position. The Income statement reports the company revenues and expense for the period whereas Balance sheet reports the company assets and liabilities position.

Explanation:

The Maple Park Theaters Corp. has reported the net of $133,562 in its income statement. The company has planned for reinvesting the 80% of net income into the extension of park. The reinvestment decision is taken by the company management for the purpose of increase revenue. The decision seems to be correct as extension of park and its services will attract more people to the park and ultimately revenue will increase and so profit too.

why is 4pex learning so hard

Answers

because the person who made it likes to make people mad/sad

Imagine that confidential information stored on your employer's servers is compromised in a data breach. This information contains customer identities, addresses, and financial information, as well as similar kinds of information on company business plans, pending patents, and intellectual property. Finally, the stolen information contains the confidential records for employment (ie, names, addresses, social security numbers, and so on). Do you think you know what to do, both as a person and as a company? How should a company in this position respond, and what do appropriate counter-measures and plans look like?"

Answers

As an individual, if you discover a data breach, immediately report it to your employer's IT or security team.

As a company, respond by conducting a thorough investigation, notifying affected individuals, offering assistance, implementing stronger security measures, and cooperating with authorities.

Appropriate counter-measures include encryption, access controls, regular security audits, employee training, and incident response plans. Plans should focus on prevention, detection, containment, and recovery.

In the event of a data breach involving confidential information, both individuals and companies need to take appropriate actions. As an individual, if you become aware of a data breach, it is crucial to promptly report the incident to your employer's IT or security team. This immediate action allows the company to initiate their incident response procedures promptly.

From the company's perspective, a comprehensive response is essential. The first step is to conduct a thorough investigation to determine the extent of the breach, the information compromised, and the cause of the breach. This investigation will provide valuable insights to guide subsequent actions.

Once the investigation is complete, the affected individuals should be notified promptly. Clear and concise communication is vital to inform customers about the breach, what information was compromised, and any potential risks they may face. Additionally, offering assistance, such as credit monitoring services or identity theft protection, can help mitigate the impact on affected individuals.

To prevent future breaches, the company should implement stronger security measures. These may include encryption of sensitive data, robust access controls to limit unauthorized access, regular security audits to identify vulnerabilities, and comprehensive employee training on security best practices.

Furthermore, a well-defined incident response plan is crucial. This plan should outline the steps to be taken during a breach, including prevention, detection, containment, and recovery strategies. Regular testing and updating of the plan ensure its effectiveness and readiness.

In summary, both individuals and companies need to act swiftly in the event of a data breach. Companies should respond by conducting investigations, notifying affected individuals, offering assistance, implementing stronger security measures, and cooperating with authorities. Effective counter-measures involve encryption, access controls, regular security audits, employee training, and well-defined incident response plans.

Learn more about Customer here:

https://brainly.com/question/31192428

#SPJ11

The balance on a credit card, that charges a 20%
APR interest rate, over a 1 month period is given in
the following table:
Days 1-5: $200 (initial balance)
Days 6-20: $350 ($150 purchase)
Days 21-30: $150 ($200 payment)
What is the finance charge, on the average daily
balance, for this card over this 1 month period?
finance charge = $ [?]
Round to the nearest hundredth.
Enter

Answers

The balance on a credit card, that charges a 20% APR interest rate, the Finance charge is given as

$4.3055

This is further explained below.

What is the APR interest rate?

Generally, The interest rate that is applied to a loan, mortgage loan, credit card, etc. is referred to as an annual percentage rate of charge, which sometimes corresponds to a nominal APR and sometimes corresponds to an effective APR.

The annual percentage rate of charge is the interest rate for the entire year, as opposed to just a monthly fee or rate. It is a fee for financing that is presented in the form of an annual rate.

Interest rate APR = 12%

Average balance = ((200*5)+(350*15)+(150*10))/30

Average balance = $258.33

Average balance*APR/12

Finance charge =\(\frac{258.33*20 \%}{12 }\)

Finance charge = $4.3055

Read more about  APR interest rates

https://brainly.com/question/14270693

#SPJ1

QUESTION 15 One of the benefits of downsizing is: higher customer satisfaction. improved efficiency. a more loyal and productive workforce. that it is a recruiting edge.

Answers

Improved efficiency.

A study shows that downsizing lowered customer satisfaction -
Another study shows that downsizing increased efficiency, but nothing of employee productivity.

Question 5 of 10
When gathering information, which of the following tasks might you need to
perform?
A. Apply standards, such as measures of quality, beauty, usefulness,
or ethics
B. Seek out ideas from others and share your own ideas
C. Study objects, conduct lijsts, research written materials, and ask
questions
D. Fill out forms, follow procedures, and apply math and science
SEN

Answers

I’m pretty sure the answer is option C

Which pair of accounts has the same set of rules for debit and credit entries? a. cash and notes payable b. salaries expense and retained earnings c. sales revenue and accounts receivable d. common stock (capital stock) and accounts payable.

Answers

The pair of accounts that has the same set of rules for debit and credit entries is common stock (capital stock) and accounts payable. Option d is correct.

Common stock and accounts payable are both equity accounts, and as such, they increase with credit entries and decrease with debit entries. When a company issues common stock, it receives cash from investors, which is a credit entry to common stock. When a company incurs an accounts payable, it owes money to a creditor, which is a credit entry to accounts payable. Therefore, in both cases, a credit entry increases the account balance, and a debit entry decreases it.

To know more about credit entries, here

https://brainly.com/question/30614992

#SPJ4

Art teacher Monica earns time and a half for the number of hours she works over 40 hours. One week she worked 48 hours. How many hours of overtime did she work?

Answers

Answer:

8 hours

Explanation:

Here, we want to know the number of overtime hours worked.

From the question, we are told that the pay is slightly different and higher if she worked for some hours over 40 hours

What this means is that the regular number of hours is 40; then the number of hours in this case 8 over 40 is her over time

Plum Painting Services has a weekly payroll of $21,000. December 31 falls on Wednesday and Plum will pay its employees the following Monday (January 5) for the previous full week. Assume that Plum has a five-day workweek and has an unadjusted balance in Salaries Expense of $760,000 at December 31. What amount should be debited to Salaries Expense on December 31

Answers

The amount that should be debited to the Salaries Expense on December 31 by Plum Painting Services is $4000.

Firstly, calculate the daily payroll amount. Divide the weekly payroll amount by the number of days in a week. The Plum Painting Services has a five-day workweek, so the daily payroll amount is $4,200 (=$21,000 / 5).

Secondly, determine the number of days in the week ending December 31.

Thirdly, calculate the amount of salaries payable for the two days to be accrued. The amount can be calculated as follows:$4,200 x 2 days = $8,400

Finally, calculate the amount that should be debited to the Salaries Expense on December 31. The amount can be calculated as follows:

Unadjusted balance in Salaries Expense at December 31 = $760,000

Less, Salaries payable accrued (2 days) = $8,400

Amount that should be debited to the Salaries Expense on December 31 = $760,000 - $8,400 = $751,600

Hence, the amount that should be debited to the Salaries Expense on December 31 by Plum Painting Services is $4000.

To know more about Salaries Expense refer here :

https://brainly.com/question/3552162

#SPJ11

Raising the required reserve ratio __________ the simple deposit multiplier which will __________ the economy's money supply. A. raises; increase B. raises; decrease C. lowers; increase D. lowers; decrease

Answers

The correct answer to the given question is option B: raising the required reserve ratio decreases the simple deposit multiplier, which decreases the economy's money supply.

The required reserve ratio refers to the percentage of deposits that banks are required to hold in reserve. The simple deposit multiplier is the ratio of the amount of deposits created by banks to the amount of new reserves. The relationship between the required reserve ratio and the simple deposit multiplier has important implications for the money supply.

When the required reserve ratio is raised, banks are required to hold a higher percentage of deposits in reserve. This means they have less money available to lend out, which decreases the amount of new reserves and, in turn, the amount of deposits that can be created through the simple deposit multiplier.

As a result, the money supply decreases, leading to a contraction of the economy.

Conversely, when the required reserve ratio is lowered, banks are required to hold a lower percentage of deposits in reserve, which increases the amount of money they have available to lend out.

This leads to an increase in the amount of new reserves and the amount of deposits that can be created through the simple deposit multiplier. As a result, the money supply increases, leading to an expansion of the economy.

Therefore, the correct answer to the given question is option B: raising the required reserve ratio decreases the simple deposit multiplier, which decreases the economy's money supply.

For more such questions on economy's money

https://brainly.com/question/12654446

#SPJ11

What does SEC protect against?

Answers

SEC investigates business wrongdoing to protect investors from investment fraud. It makes sure that the securities markets run smoothly and fairly. To assist the public in making wise investment decisions, it provides corporate information, such as quarterly reports and annual financial statements.

The Securities and Exchange Commission (SEC), sometimes known as the Commission, is the national government regulatory body tasked with policing the corporate sector, players in the capital markets, the market for securities and investment instruments, and the general public's protection.

The protection of investors and upkeep of the integrity of the securities markets are the core goals of the U.S. Securities and Exchange Commission (SEC). These objectives are more important than ever as more novice investors look to the markets to help them secure their futures, pay for homes, and send their children to college.

Learn more about The Securities and Exchange Commission here-

https://brainly.com/question/14316577

#SPJ4

The W-4 form lets...
A.) you know how much you paid in taxes last year
B.)your employer know how much to withhold from your paycheck
C.) the government know how much you paid in taxes last year
D.) the 3 major credit bureaus know how many dependents you have

Answers

Answer:

b

Explanation:

you fill it out so the employer knows what to with hold from your check

Drag the tiles to the boxes to form correct pairs.
Match the different. brainstorming techniques to their applications

Drag the tiles to the boxes to form correct pairs.Match the different. brainstorming techniques to their

Answers

Note that the Brainstorming Techniques matched to one another are given as follows:

Clustering - connecting ideas for a topic using different shapes and color-coding to identify how the ideas are relatedThree perspectives - describing the topic, tracing its history, and examining its connections with related topicsFreewriting - writing down first thoughts on a topic in a timed session. without pausing to check for relevance or grammar

What are brainstorming techniques?

The most essential thing to remember with any approach of brainstorming is to prioritize quantity above quality. Accepting all ideas, no matter how ridiculous or unimportant they may appear, aids brainstorming.

The aim is to establish a large enough pool of ideas from which to draw or combine ideas for the best solution or approach.

Learn more about  brainstorming techniques:
https://brainly.com/question/26684333
#SPJ1

When can a mixed economy develop?

Answers

A mixed economy can develop when a country experiences a combination of market-based mechanisms and government intervention in its economic activities.

It occurs when the government regulates certain aspects of the economy, such as taxation, trade, and labor laws, while leaving other aspects, such as consumer choice and private investment, to be determined by the market.

This type of economy balances the benefits of capitalism, such as competition and innovation, with the stability and social welfare provided by government intervention. It aims to create a more stable and equitable economy by ensuring that resources are distributed fairly, while still allowing for growth and prosperity.

In short, a mixed economy can develop when a country seeks to balance the benefits of a market-based system with the stability and social welfare provided by government intervention.

For more questions like Economy click the link below:

https://brainly.com/question/5341860

#SPJ4

Which of the following are hybrid organizations that offer the same liability protection as a corporation but may be taxed as either a partnership or corporation? (Check all that apply) Please help asap

⬜️ CPA

⬜️ LLC

⬜️ LLP

⬜️ DDA

⬜️ EPA

Answers

Answer:

CPA, DDA, AND EPA

Explanation:

LLC LLP are hybrid organizations that offer the same liability protection as a corporation but may be taxed as either a partnership or corporation. The answer is OPTION B and C.

LLCs and LLPs are generally not taxed at the entity level like a traditional C Corporation. Instead, their profits and losses pass through to the individual owners' tax returns, similar to partnerships. This is often referred to as "pass-through taxation." The owners report their share of the company's income on their personal tax returns, and they are responsible for paying taxes on that income.

On the other hand, corporations, especially C Corporations, may be subject to double taxation—once at the corporate level when the company generates profits and again at the individual level when dividends are distributed to shareholders.

In summary, LLCs and LLPs offer liability protection and flexibility in taxation, but they are not taxed the same way as corporations. It's important to consult with legal and tax professionals to determine the best business structure for your specific situation and goals.

To learn more about corporations, click here.

https://brainly.com/question/32217998

#SPJ3

the role of an auditor is to: multiple choice question. record daily financial transactions

Answers

This statement is False. An auditor is responsible for independently examining and verifying the accuracy and completeness of a company's financial records and transactions.

Auditors use their expertise in accounting and finance to ensure that a company's financial statements and financial disclosures are accurate, complete, and in accordance with applicable laws and regulations. This includes examining a company's financial records, analyzing its internal controls, and assessing its compliance with applicable laws and regulations. Auditors also provide reasonable assurance that a company is adhering to accepted accounting principles and issuing financial statements that are free from material misstatements.

Auditors typically review a company's financial statements, including the balance sheet, income statement, and cash flow statement, in order to verify that the financial statements and accompanying notes reflect the company's true financial position. They may also review a company's accounting records and other documents in order to assess its compliance with applicable laws and regulations.

To know more about role of auditor click here

https://brainly.com/question/29543936

#SPJ4

1) Why do consumers have rights when making purchases in the marketplace?

A) Consumers need to be encouraged to spend more money.

B) Consumers face many more government regulations than producers.

C) Consumers are more important to the economy than producers.

D) Fairness and honesty are vital to a healthy economy.

Answers

Answer:

a

Explanation: i got it right

What is the first step in the standard purchasing process practiced by most
companies?
A. Solicit bids
B. Requisition
C. Invoicing
D. Purchase order

Answers

Answer:

B. requisition

Explanation:

i have done this before, hope i helped

I think b
Hope its help for your questions

How has the free enterprise system contributed to technological innovation?.

Answers

Technological innovation has been contributed to by the free enterprise system because people came up with new technologies knowing that they could profit from them.

How has free enterprise driven technological innovation?

The free enterprise system encourages people to go into business and make profit with minimal government interference in their affairs.

This encouraged people to come up with new innovations because they know that they can profit from these for themselves instead of worrying about the government taking their hard earned profit.

Find out more on free enterprise at https://brainly.com/question/3369578.

Brendan and tasia are making a budget. Brendan takes home $2,300 on the 5th and 20th of each month, and tasia receives $4,800 once a month. They make a list of their dedicated expenditures.

Answers

Thus, $4679 is still available for their remaining monthly spending after dedicating their expenditures.

Assuming that:

Every month on the fifth and twentieth, Brendan receives $2,300 in pay.

In other words, the total money he brings home is $2300 + 2300 = $4600.

Every month, Tasia gets $4,800.

Therefore, their total income is $4600 + $4800 = $9400.

Name Quantity

$3,200 mortgage

$445 for utilities

Brendan has a car loan. $225

$385 is Tasia's automobile payment.

Minimum credit card payments are $214

$156 for a monthly cell phone plan

96 dollars for a gym membership

The total amount spent is $3200 + $445 + 225 + $385 +

$214+$156+$96 = $4721

The remaining amount for the remainder of their monthly budget is therefore $9400 less $4721.

=$4679

Learn more about expenditure here:

https://brainly.com/question/30063968

#SPJ4

Creating an engaged work force suggests engagement can be
affective, intellectual and social. Identify are some issues when
measuring work engagement.
write min 400 words

Answers

Employee engagement is a crucial component of a successful company, as an engaged workforce can enhance productivity, employee satisfaction, and customer experience.

Work engagement is defined as a positive psychological state characterized by vigor, dedication, and absorption, which is linked to high levels of work motivation and job satisfaction. Measuring work engagement is crucial for companies who want to enhance employee satisfaction, productivity, and overall business performance.

There are three types of engagement: affective, intellectual, and social. Affective engagement is related to employees' emotional attachment to their work, organization, or colleagues. Intellectual engagement refers to employees' cognitive investment in their work tasks, including their thinking, creativity, and problem-solving skills. Social engagement is related to the quality of employee relationships and the degree of support provided by colleagues, supervisors, and the organization.

Issues when measuring work engagement:

1. Limited understanding of engagement: Many employees are unsure about what engagement entails. Thus, they may not be aware of how to report their engagement accurately, which could lead to inconsistencies in responses.

2. Employee biases: Employees' attitudes toward their work and organization can bias their responses to engagement surveys. Some employees may provide excessively positive responses, while others may answer negatively because of biases like cognitive dissonance, social desirability, or negativity bias.

3. The complexity of engagement: Employee engagement is not a straightforward construct to measure because it is complex and multifaceted. It is not possible to measure employee engagement in isolation, as it interacts with other variables like job satisfaction, motivation, and organizational culture.

4. Inadequate engagement surveys: Many organizations use generic engagement surveys that are not tailored to their industry, business goals, or employees' unique experiences. Using a standardized survey may not capture the nuances of engagement, and the results may not provide actionable insights.

5. Overreliance on surveys: Organizations may rely too heavily on engagement surveys as the main answer to understand employee engagement. Surveys may not be enough, and other methods like focus groups, interviews, and observation may provide more in-depth and detailed answers.

In conclusion, measuring work engagement is crucial for companies, but it can be challenging due to several factors like employees' biases, survey inadequacies, and engagement complexity. Companies should use multiple methods to measure engagement and tailor their surveys to their business goals and industry. Moreover, companies should aim to understand the nuances of engagement by using more in-depth methods like focus groups and interviews.

Learn more about Employee engagement: https://brainly.com/question/13815419

#SPJ11

which of the following below is not one of porter's five forces?

Answers

Answer:

Buyer power

Supplier power

Rivalry among existing competitors

Prices of major inputs

Explanation:

High when buyers have few choices of whom to buy from and low when their choices are many

Optimization of Shareholder wealth is not one of porter's five forces.

What is porter's five forces?

Porter's Five Forces Framework is a method for analyzing a company's competitive operating environment. It derives five forces from industrial organization economics that determine the competitive intensity and, thus, the attractiveness of an industry in terms of profitability.

Porter's Five Forces is a model that identifies and analyzes five competitive elements that impact every industry and aids in determining the strengths and weaknesses of that industry. The Five Forces analysis is commonly used to determine business strategy by identifying the structure of an industry.

A framework for today ’s dynamic business environment is Porter's Five Forces.

Porter's Five Forces is a widely used framework for assessing the competitive forces that influence a wide range of business sectors.

To learn more about porter's five forces

https://brainly.com/question/28074535

#SPJ2

Other Questions
if a(t) is the amount of the investment at time t for the case of continuous compounding, write a differential equation satisfied by a(t). Let the rate be r. Then the amount of the investment must satisfy the differential equation A (t) = r A (t)The initial condition satisfied by A (t) is its value at t = 0. At t=0, no compounding has occurred yet, and the amount is equal to the original amount invested, called the principal. If the principal is P, then the initial condition is A (0) = P Gayla Ojeda is trying to decide which of two different kinds of candy to sell in her retail candy store. One type is a name-brand candy that will practically sell itself. The other candy is cheaper to purchase but does not carry an identifiable brand name. Ms. Ojeda believes that she will have to incur significant advertising costs to sell this candy. Several cost items for the two types of candy are as follows: Brandless Candy Name-Brand Candy Cost per box $ 4.00 Cost per box $ 6.00 Sales commissions per box 1.00 Sales commissions per box 1.00 Rent of display space 900.00 Rent of display space 900.00 Advertising 3,000.00 Advertising 2,000.00 Required Identify each cost as being relevant or irrelevant to Ms. Ojedas decision and indicate whether it is fixed or variable relative to the number of boxes sold. A customer at Mexican restaurant placed an order for 3 burritos at x amount of dollars. He also ordered tacos that cost $12.96 total and billed a total of $32.46. Write an equation whose graph is a line perpendicular to the graph of x = -7 and whichpasses through the point (-7,1). Firms that have selected a related diversification corporate-level strategy seek to exploit? What is the name of the function f(x)=|x|A. Linear Function B. Absolute value Function C. Quadratic FunctionD. Cubic Function Which of the following inequalities have no solution over all real numbers? Check all that apply. Which of the following describes the Industrial Revolution?10Rural farms grew has people started new farms to increase US AgricultureTechnological innovations allowed machines to make products faster and moreeffective which led to large Northern Cities and FactoriesTransportation methods did not change so people stayed away from large citiesO New Factories in England caused people to move away from the US. Is there a linear relationship between height and volume? Explain how you know. globalization has become an important factor in purchasing and the supply chain. true or false? Biomes with more than 75 centimeters (30 inches) of rain a year and that never experience freezing temperatures are most likely found nearest the equator at low altitudes. True or false? 1. Which of the following is a way that the legislative branch can influence foreign policy in the United States?O Congress has the power to declare foreign policy laws unconstitutional.O Congress has the power to appoint the secretary of state.Congress has the power to make all national defense decisions.Congress has the power to declare war. D The prize money for a competition isshared between the winner and the runner-upin the ratio 3: 1.The winner received 250 more than therunner-up.What was the total prize money? Which is an acceptable method of selecting an appropriately sized oropharyngeal airway?. A participant in a medical study walked 10,388 steps per day. If theirsteps are 2.5 feet per step, how many kilometers would they walk in aweek if they took 10,388 steps per day? Round to the nearest kilometer.Do not include units with your answer. given the following information, n = 49, = 50, s = 7 h0: > 52 ha: < 52 the test statistic is in which region is infrared radiation from earth's surface most strongly reflected back? A rabbit population of 500 was introduced in a certaincounty of Eagleville. Biologists observe that the populationincreases 25% each year. Complete the following:a. Identify a and b.b. Write an exponential function that models the situation ifthe trend continues. C. How many rabbits will be inEagleville after 10 years?Dont copy and paste another answer. Will mark brainliest for correct answer. Barrio boy complete response with evidence convert 4.5 hour into second