Distribution policy:Distribution policy is the process or the decision-making procedure regarding the frequency and amount of cash payments made to investors or shareholders in a company. The distribution policy affects the company's stock price, as well as the overall return on investment for the shareholders.
Dividend Irrelevance Theory:This theory suggests that the distribution of dividends has no effect on a company's value. This means that whether the company pays dividends or retains earnings, the value of the firm would remain the same.
Therefore, Peterson and Peterson Company would not be affected by the theory.Bird-in-the-Hand Theory:This theory implies that investors believe that receiving dividend payments immediately is more valuable than waiting for a future dividend payout or capital gains.
The Peterson and Peterson Company may benefit from this theory as investors are more interested in receiving current dividends.Tax Effect Theory:
This theory postulates that investors will prefer lower dividend payments if the tax rates on capital gains are lower than the tax rates on dividends.
Thus, Peterson and Peterson Company may experience low demand for dividend payment if this theory holds.Information Content Hypothesis (Signaling Theory):This theory suggests that the dividend payout ratio communicates crucial information about a company's future prospects.
A high payout ratio is an indicator of strong future prospects, while a low payout ratio is an indicator of poor future prospects. Thus, Peterson and Peterson Company may benefit from this theory if it maintains a high dividend payout ratio.:
Peterson & Peterson Company is looking to access outside equity capital to fund its growth. As a consulting firm for the company, Ernst Young & Associates has been retained to help the company prepare for its initial public offering. Before talking with potential outside investors, the company needs to decide on a dividend policy.
A distribution policy is a procedure or decision-making process regarding the frequency and amount of cash payments made to investors or shareholders in a company.
The distribution policy affects the company's stock price, as well as the overall return on investment for the shareholders.The dividend irrelevance theory suggests that the distribution of dividends has no effect on a company's value. The Peterson and Peterson Company will not be affected by this theory.
However, the bird-in-the-hand theory implies that investors believe that receiving dividend payments immediately is more valuable than waiting for a future dividend payout or capital gains. Peterson and Peterson Company may benefit from this theory as investors are more interested in receiving current dividends.
The tax effect theory postulates that investors will prefer lower dividend payments if the tax rates on capital gains are lower than the tax rates on dividends. Thus, Peterson and Peterson Company may experience low demand for dividend payment if this theory holds.
Finally, the information content hypothesis (signaling theory) suggests that the dividend payout ratio communicates crucial information about a company's future prospects.
Thus, Peterson and Peterson Company may benefit from this theory if it maintains a high dividend payout ratio.
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4A: Economic Systems Assessment
Which of the following is NOT one of the three basic questions of economics when looking at economic systems?
How should the goods be produced?
O What goods should be produced?
O What monetary system will be used to pay for goods?
O Who will have access/get to consume the goods?
he answer to the question "Which of the following is NOT one of the three basic questions of economics when looking at economic systems?" is option C - "What monetary system will be used to pay for goods?"
When studying economic systems, the three basic questions of economics are typically considered. These are:
1. What goods should be produced?
2. How should the goods be produced?
3. Who will have the access/get to consume the goods?
Option C - "What monetary system will be used to pay for goods?" is not one of the three basic questions of economics. While it is important to consider the monetary system in any economic system, it is not one of the fundamental questions that need to be addressed when looking at how an economy operates. Therefore, option C is the answer to the question.
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the clause in a mortgage that terminates the lender's interest when the mortgage is paid in full is known as:
In some home loan contracts, there is a condition called a "defeasance statement" that says the borrower will get the title to the property once the home loan installments are all paid.
A mortgage's acceleration clause allows your lender to accelerate the rate at which your loan's payment terms are calculated.Additionally, the clause may permit your lender to demand full and immediate payment of your mortgage.
What is the distance statement in a home loan?
Clause for alienation.When title to the property is transferred or, in some cases, when possession is changed, this clause enables the lender to demand the entire loan balance that is due.
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____ is based on the notion that a dollar paid in the future is less valuable than a dollar paid today. The present value of a loan in which $3000 is to be paid out a year from today with the interest rate equal to 4% is $____ (Round your response to the neareast two decimal place) If a loan is paid after two years, and the amount $7000 is to be paid then with a corresponding 6% interest rate, the present value of the loan is $____ (Round your response to the neareast two decimal place)
Time value of money is based on the notion that a dollar paid in the future is less valuable than a dollar paid today. The value of money decreases with time, and the purchasing power of the amount decreases over time.
The longer the duration, the lesser the money's worth is. The present value of a loan in which $3000 is to be paid out a year from today with the interest rate equal to 4% is $2,884.06 (rounded to the nearest two decimal place).PV = FV / (1 + r)nWhere, PV is the present value, FV is the future value, r is the annual interest rate, and n is the number of years.
Using this formula, we get:PV = $3000 / (1 + 0.04)¹= $3000 / 1.04= $2,884.06If a loan is paid after two years, and the amount $7000 is to be paid then with a corresponding 6% interest rate, the present value of the loan is $6,224.16 (rounded to the nearest two decimal place).Using the same formula,PV = $7000 / (1 + 0.06)²= $7000 / 1.1236= $6,224.16Thus, the present value of the loan that is paid after two years, and the amount $7000 is to be paid then with a corresponding 6% interest rate, is $6,224.16 (rounded to the nearest two decimal place).
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When British regulators were forced to suspend the license of a flu vaccine plant in Liverpool operated by the Chiron Corporation due to concerns over bacterial contamination. As a result, the number of flu vaccines available in the United States market decreased by 48 million doses. This was nearly half of the total supply of vaccines in the market. A. Shift the appropriate curve or curves to show this dramatic change in the market for flu vaccines. Market for flu vaccines S D b. As a result of the decline in available flu vaccines, the equilibrium price should , and the equilibrium quantity should
(a) As a result of suspending license of vaccine plant, the supply of flu vaccines will decrease. Thus, the supply curve will shift to the left (shift the blue curve to the left)
What are the equilibrium quantity and price?The price at which consumer and producer plans coincide, i.e., when quantity sought by consumers equals quantity provided by producers, is known as equilibrium pricing. Any market's equilibrium price is the one at which supply and demand are equal. When a product is in equilibrium amount, there is neither a shortage nor an overabundance of it on the market. When supply and demand are in balance, the quantity of a good that consumers want to purchase is equal to the quantity that its suppliers are supplying.
(b) Thus, the equilibrium price should increase and the equilibrium quantity should decrease.
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The complete question is attached below:
parties typically resort to arbitration to resolve a dispute because they agreed to arbitrate in a(n):
Parties typically resort to arbitration to resolve a dispute because they agreed to arbitrate in a contract.
What is arbitration ?Arbitration is a procedure by which a dispute is submitted, by agreement of the parties, to one or more arbitrators, who render binding decisions on the dispute. In choosing arbitration, the parties are opting for private dispute resolution rather than going to court.The parties and the arbitrator conduct hearings in person, and the parties present arguments and evidence in support of their respective cases. Once the hearing is complete, the arbitrator will discuss the facts and issue a written decision called an award.Arbitration has her four functions: Resolve contractual disputes between management and workers, resolve litigation through court-affiliated programs, and resolve local disputes, taking into account the interests of different parties in bargaining situations such as public sector industrial relations.To learn more about arbitration from the given link :
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Which of these is not a role of the Government?
A
Protector
B
Producer
C
Consumer
D
Provider
Answer:
A consumer because the citizens would be considered consumers not the government i think
Answer:
A consumer
Hope this helps!
Which of these is a major criticism of scientific management?
a. It overemphasized the intelligence of workers.
b. It emphasized the social context of work.
c. It ignored the social context of work.
d. It overemphasized individual differences.
e. It ignored the impact of compensation on performance.
Answer:
The correct answer is the option C: It ignored the social context of work.
Explanation:
To begin with, the name of "Scientific Management" refers to the theory created by Frederick Taylor that focus on the study of the work environment around the years of the industrilization process back then. Therefore that this concept is quite ancient in terms that only looks for that the worker can do and how can he do it faster and more efficiently. A major importance of this study was the use of measuring the time of every worker to see how they were going. So, it is understandable that this process is criticized by many managers of today because it does not have in mind the social context of the workers and only sees them as machine without personal goals outside the work.
A major criticism of scientific management is that it ignored the social context of work. The correct option is c.
Although it is widely acknowledged that scientific management enables management to allocate resources in the most efficient and effective manner possible, it has not been without criticism.
Workers' Point of View
Unemployment - Workers believe that management limits their employment chances by replacing men with robots and by enhancing human productivity, requiring fewer workers to accomplish work, resulting in their dismissal.
Employers viewpoint
Expensive - Scientific management is an expensive approach that requires a significant investment in the development of a planning department, standardisation, work studies, and worker training. It may be out of reach for small businesses. Overhead costs rise as a result of heavy food investment.
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A speed boat bought for $13,000 depreciates at 10% per annum compounded continuously. What is its value after 7 years? Round the answer to nearest dollar.
Answer:
6,456
Explanation:
Substitute the given values into the formula: A=Pe^-rt, where A represents the future value and P represents the initial (current) value.
The amount of value after 7 years when the purchase value of the speed boat is $13,000 should be considered as the $6,456.
Calculation of the amount:Since the speed bought purchase value is $13,000
The depreciation rate is 10% per annum compounded continuously
The time period is 7 years
So here the amount should be
= $13,000 * e^-0.70
= $6,456
hence, The amount of value after 7 years should be considered as the $6,456.
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The demand side of economic policy, refers to the actions undertaken by a nation's central bank to control money supply to maintain economic growth. This is an example of
Inflation
monetary policy
Debt management
Loans
Answer:
The perspective of economic policy that focuses its efforts to follow a national central bank when it wants to make sure money supply is regulated to achieve a continuous economical positive development is an example of:
monetary policy
Explanation:
The reasons behind this answer are that monetary policy is the concept used to represent the efforts of a certain monetary organization to make sure the interest rates are set in the best scenario to enable borrowers to pay their debts. Pointing to a scenario of economical and monetary stability that would support the country in times of economical distress.
What was the partnership with alliance boots designed to achieve and why would it make sense for a company like walgreens?
A partnership with Alliance Boots had several strategic advantages, allowing Walgreens to gain swift entry into foreign markets as well as complementary assets and expertise. First, it gave Walgreens access to new markets beyond the saturated United States for its retail pharmacies.
A partnership is a proper association with the aid of two or greater parties to manipulate and perform an enterprise and the percentage of its income. There are several varieties of partnership arrangements. Especially, in a partnership business, all companions proportion liabilities and profits equally, even as in others, partners may also have confined legal responsibility.
The definition of a partnership is a relationship between two or more individuals. An example of a partnership is groups operating collectively. An instance of a partnership is a marriage.
A partnership is an association wherein events, referred to as enterprise partners, agree to cooperate to increase their mutual hobbies. The companions in a partnership can be people, agencies, interest-based totally businesses, colleges, governments, or combos.
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As e-commerce continues to develop, many retailers are likely to maintain some type of "brick-and-mortar" store or physical location primarily because.
Many retailers are likely to maintain some type of "brick-and-mortar" store or physical location primarily because consumers expect integrated shopping experiences that includes face to face options.
What does e-commerce mean?E-commerce, also known as electronic commerce or internet commerce, refers to the buying and selling of goods or services using the internet, and the transfer of money and data to execute these transactions.
The 4 types of e-commerce presence that we have include:
Web sites,Social mediae-mail,Offline media.Hence, many retailers are likely to maintain some type of "brick-and-mortar" store or physical location primarily because consumers expect integrated shopping experiences that includes face to face options.
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help
....... ...........................
If I were appointed as an office assistant, to increase the efficiency in the office, I would use schedule to my advantage. Set times to work on set projects without interruption, and then breaks to cool down or transition topics would be crucial. I would also strongly encourage organization of physical property as well as filing so everyone can conveniently and efficiently access what they need.
Section I: Auto Insurance; Liability, Collision, and Comprehensive Fred tumed 18 and started college at University of San Antonio. His father bought him a 16-year-old Chevy S10 for $3,600 to drive while in school. Fred's' father promised him if he did not have any accident, he would buy him a brand-new GMC Sierra once he finished his undergraduate degree. a. How much liability coverage (per person bodily injury liability, total liability, property damage liability - provided per state as $/$/$ ) do you recommend for his vehicle? Give 3 reasons why. b. Should Fred include comprehensive coverage? Why or Why Not? (Justify your answers) c. There are four available deductible options: no deductible, $250,$500,$1000. Which one would be the best choice for his policy? Give 2 reasons supporting your position. Fred did not have any accidents and he decided to attend Texas Tech University for graduate school. His dad kept his word and bought him a new GMC Sierra, for $43,000. d. Is it a good idea for Fred to continue using his previous policy from the S10, on his new car? Explain your answer in detail giving a minimum of 3 reasons.
Fred should opt for higher liability coverage, include comprehensive coverage, choose a $500 deductible, and continue using his previous policy on his new car. This combination provides adequate protection and financial security for Fred and his vehicle.
a. For Fred's vehicle, I recommend liability coverage of at least $100,000 per person for bodily injury liability, $300,000 for total liability, and $50,000 for property damage liability.
1. Higher liability coverage ensures that Fred is protected financially if he causes an accident that results in injuries or damages to others. It helps cover medical expenses, legal fees, and property repair costs.
2. Fred's vehicle is older, which means it may not have the same level of safety features as newer cars. Higher liability coverage provides extra protection in case of accidents.
3. Fred's father promised him a brand-new GMC Sierra, which indicates that the family has financial means. Opting for higher liability coverage provides better protection in case Fred is involved in an accident with a more expensive vehicle.
b. Fred should include comprehensive coverage. Comprehensive coverage protects against non-collision events like theft, vandalism, fire, and natural disasters.
1. Fred's vehicle is 16 years old, making it more prone to mechanical issues and potential theft. Comprehensive coverage would provide financial protection in these situations.
2. Considering that Fred's father is willing to buy him a brand-new GMC Sierra, it indicates that the family has the means to afford comprehensive coverage. This coverage would provide peace of mind and protect their investment.
c. The best deductible option for Fred's policy would be $500.
1. A $500 deductible strikes a balance between a lower deductible and a higher premium. It ensures that Fred's out-of-pocket expense is reasonable if he needs to make a claim.
2. Fred's vehicle is older, so a higher deductible may not be cost-effective since the repair costs could be closer to the value of the car.
d. It would be a good idea for Fred to continue using his previous policy from the S10 on his new car. Here are three reasons why:
1. Fred's previous policy has a good track record with no accidents, so it may have a favorable rate. Switching to a new policy could result in higher premiums.
2. Fred's father promised him a brand-new GMC Sierra, which is a substantial investment. Continuing the existing policy ensures that the comprehensive coverage and liability limits are carried over to the new vehicle, providing continued protection.
3. Fred may have built up loyalty discounts or other benefits with his current insurance provider. Switching to a new policy means losing these benefits and potentially paying higher premiums.
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twu communications is considering a project with an initial fixed asset cost of $2.168 million which will be depreciated straight-line to a zero book value over the 10-year life of the project. at the end of the project the equipment will be sold for an estimated $495,000. the project will not directly produce any sales but will reduce operating costs by $634,000 a year. the tax rate is 30 percent. the project will require $128,000 of net working capital which will be recouped when the project ends. what is the net present value at the required rate of return of 15 percent?
the correct option is: E. the net present value at the required rate of return of 14.3 percent = $657,345.35
Initial cash flow = −$2,168,000 − 128,000
Initial cash flow =$2,296,000OCF = $634,000(1 − .21) + ($2,168,000/10)(.21)OCF = $546,388
Last cash flow = $128,000 + $495,000(1 − .21)
Last cash flow = $519,050NPV = −$2,296,000 + $546,388{[1 − (1/1.14310)]/.143} + $519,050/1.14310NPV = $657,345.35
Initial cash flow is the all-out cash that is accessible when an undertaking or business is in the arranging stages. The figure incorporates any advances or investments made in the task. It is normally a negative figure since sending off a business requires capital investment with expectations of creating future pay.
Equation. Initial cash flows = FC+WC-S + (S-B) * T Here, FC = fixed capital, WC = working capital, S = Rescue esteem, B = Book esteem, and T = Duty rate.
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the complete question is:
Gateway Communications is considering a project with an initial fixed asset cost of $ 2.168 million which will be depreciated straight-line to a zero book value over the 10-year life of the project. Ignore bonus depreciation. At the end of the project, the equipment will be sold for an estimated $495,000. The project will not directly produce any sales but will reduce operating costs by $634,000 a year. The tax rate is 21 percent. The project will require $128,000 of networking capital which will be recouped when the project ends. What is the net present value at the required rate of return of 14.3 percent?
A) $668,019.24
B) $701,414.14
C) $652,108.10
D) $570,475.57
E) $657,345.35
Reinvesting cash flow allows a firm produce additional products and generate additional sales.
O True
O False
furniture retailer ikea has used the value innovation framework of ______ to successfully implement a blue ocean strategy.
Furniture retailer IKEA has used the value innovation framework of eliminate-reduce-raise-create to successfully implement a blue ocean strategy.
The goal of the blue ocean strategy is to enable your company can achieve undisputed market space besides competing, closely affiliated businesses. The term "blue oceans" is employed to represent these new fields in opposition to the gory "red oceans" that are seething with violent competition.
The pursuit of quality products differentiation and minimal cost while disregarding the competition is described as the "blue ocean strategy." The blue ocean strategy advises making small modifications to your items in order to enter their own marketplace with cheap costs and also no rivals.
Blue ocean strategy has enabled many domestic companies in achieving their current condition, yet the approach could be hazardous.
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You are considering buying a building in downtown Asheville. The building is selling for $10 million, and you anticipate an annual FCF of $1 million. At the end of 10 years, the building will be half depreciated, and at this point you think you can sell the building for $15 million. If your cost of capital is 17%, does the building have positive NPV? Assume a 20% capital gains tax on the sale of the building in 10 years; income taxes and depreciation tax shields have been included in the annual FCF of $1 million
The building has a positive NPV and is a good investment opportunity based on our assumptions
To determine whether the building has a positive net present value (NPV), we need to calculate the present value of the expected future cash flows and subtract the initial cost of the building.
First, we need to calculate the cash flows for each year. We know that the annual free cash flow (FCF) is $1 million, and that the building will be sold for $15 million at the end of 10 years, but we also need to account for the capital gains tax. The capital gains tax is 20% of the capital gain, which is the difference between the sale price and the half-depreciated value of the building. The half-depreciated value of the building is $10 million / 2 = $5 million, so the capital gain is $15 million - $5 million = $10 million, and the capital gains tax is 20% of $10 million = $2 million.
Year 1-9:
FCF = $1 million per year
Year 10:
Sale Price = $15 million
Capital Gains Tax = $2 million
Net Sale Proceeds = $15 million - $2 million = $13 million
Next, we need to calculate the present value of each cash flow. We can use the formula:
PV = FCF / (1 + r)^n
where r is the cost of capital (17%) and n is the number of years.
Year 1-9:
PV = $1 million / (1 + 0.17)^n = $1 million / 6.75 = $148,148.15 (rounded)
Year 10:
PV of Net Sale Proceeds = $13 million / (1 + 0.17)^10 = $2,499,342.19 (rounded)
Now we can calculate the NPV:
NPV = sum of PVs - initial cost of building
NPV = ($148,148.15 x 9) + $2,499,342.19 - $10 million
NPV = $1,735,333.34
Since the NPV is positive, the building has a positive NPV and is a good investment opportunity based on our assumptions. However, it's important to note that this analysis is based on several assumptions, and actual results may differ. It's always a good idea to conduct a thorough analysis and consider various scenarios and risks before making any investment decisions.
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a variance is the difference between standard and actual prices and quantities. is this statement true or false?
A variance is a difference between standard and actual prices and quantities. is this statement. True
amount or amount is a belonging that could exist as a large number or significance, which illustrate discontinuity and continuity. quantities may be in comparison in phrases of "greater", "much less", or "same", or through assigning a numerical price more than one of a unit of size. Mass, time, distance, warmness, and perspective are many of the familiar examples of quantitative properties. quantity is most of the fundamental lessons of things along side great, substance, change, and relation. a few portions are such through their inner nature (as range), whilst others characteristic as states (residences, dimensions, attributes) of things consisting of heavy and light, lengthy and short, vast and slim, small and fantastic, or tons and little.
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If a firm's production function exhibits diminishing marginal product of the variable input in the short run, which of the following about the firm's short-run marginal cost (MC) curve must be true?
A
As output increases, the MC curve slopes upward.
B
As output increases, the MC curve slopes downward and becomes flatter.
C
As output increases, the MC curve slopes downward and becomes steeper.
D
The MC curve is horizontal.
E
The MC curve is vertical.
The correct statement about the firm's short-run marginal cost (MC) curve is: A. As output increases, the MC curve slopes upward.
If a firm's production function exhibits diminishing marginal product of the variable input in the short run, the correct statement about the firm's short-run marginal cost (MC) curve is: A. As output increases, the MC curve slopes upward.
This is because, with diminishing marginal product, as more variable input is added, the increase in output becomes smaller. Therefore, the cost of producing an additional unit of output increases, leading to an upward-sloping MC curve.
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Hans supervises an employee who does not dress appropriately. To persuade the employee to change how his or her dress, Hans should choose a communication channel with.
A. High social presence
B. low social presence
C. low social acceptance
D. no Social presence
In this situation, Hans should choose a communication channel with high social presence.
So, the correct answer is A..
High social presence allows for more personal interaction, making it easier for Hans to effectively convey the importance of dressing appropriately in the workplace.
This approach also promotes a better understanding of the issue and can help the employee feel more comfortable discussing the matter.
By choosing a communication channel with high social presence, Hans can clearly explain the dress code expectations and work collaboratively with the employee to make the necessary adjustments.
Hence the answe of the question is A.
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A state licensing fee on sales of medical devices causes the supply curve for one type of device to shift from S1 (without the fee) to S2 (with the fee). The fee is based on number of units sold and therefore works like a per-item tax paid by sellers. Use the area tool to draw the area representing the state's monthly revenue from the licensing fee for this one type of device.
Answer: hello your question is incomplete attached below is the complete question
answer ; Government revenue from tax = $750,000 per month
Explanation:
Attached below is the required graph
Government revenue from tax ( per month )
= ( 450 - 30 ) ( 50 - 0 )
= $750,000 per month
What phrase could a licensee use in advertising that would not discriminate on the basis of familial status
Senior discount is the phrase that a licensee could use in advertising that would not discriminate.
A familial status discrimination is known to occurs when the landlord, manager or property owner treats someone very differently.
The other options clearly discriminate the familial status.
Hence, the Senior discount is the phrase that a licensee could use in advertising that would not discriminate.
Therefore, the Option is correct.
Missing options "Couples only Empty nesters No bicycles allowed Senior discount"
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Identify the factors that impact the social responsibility policies implemented by businesses.
The result identified factors that influenced CSR practices as competition, employees demand, government policy, organizational culture, and customer demand (β = 0.547,0.34, 0.044, 0.017and 0.008) respectively.
Factors Responsible for the Realization of Social
Responsibility | Business ManagementMarket Forces: Market forces play an important role in making a businessman responsible to social obligations. ... Government Intervention: ... Emergence of Professional Managers: ... Growth of Trade Unions: ... Public Scrutiny:another common term for stockholders' equity is: multiple choice question. shareholders' equity undistributed equity investment equity retained equity
Shareholders' equity is another common term for stockholders' equity. It represents the equity investment in a company made by its shareholders, including any retained earnings or profits that have not been distributed as dividends.
Another common term for stockholders' equity is: shareholders' equity. This term refers to the residual interest in the assets of a company after deducting liabilities, and it represents the ownership interest of the company's shareholders.
Equity investment and retained equity are related concepts, but they are not synonymous with stockholders' equity Shareholders' equity is another common term for stockholders' equity.
It represents the equity investment in a company made by its shareholders, including any retained earnings or profits that have not been distributed as dividends.
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Which type of insurance covers individuals by giving them a
portion of their wages in the event that they are unable to work for
a long period of time due to illness or injury?
O Collateral
O Disability
O Liability
O Property
Answer:
Disability
Explanation:
Disability insurance offers protection against the loss of income due to disability or sickness. This insurance policy provides income to the insured if they are unable to work as a result of a disability or serious illness. Disability insurance coverage is available from private insurance companies and government-backed programs.
Answer:
Disability
Explanation:
What are three ways that you can deposit withdraw or transfer money?
Utilizing an ATM, Simple is one of the most well-known cloud-based banks. Three options to deposit, withdraw, or transfer money are: 2. Speak with your bank; 3. Transfer.
What is withdrawal money?The withdrawal entails taking money out of a trust, pension, savings plan, or bank account. In some circumstances, requirements must be satisfied be order to withdraw money without incurring fees, and fees for early withdrawal typically apply when a provision of an investment contract is broken.
Why does withdraw mean?To bring back; remove; or draw back, aside: She took her hand off of his. His money were taken out of the bank. Retract or recall means to remove a false accusation. to make someone go through addiction withdrawal.
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, used to determine individual performance, can be challenging for a manager to impart in an employee.
Motivation used to determine individual performance can be challenging for a manager to impart to an employee.
The manager is the administration of an enterprise, whether it is a commercial enterprise, a non-earnings enterprise, or a central authority frame. it's miles the artwork and technology of dealing with assets of the enterprise.
Keeps staff by way of recruiting, deciding on, orienting, and training personnel. ensures a secure, relaxed, and felony work environment. Develops non-public boom opportunities. Accomplishes the body of workers' outcomes through communicating task expectancies; making plans, tracking, and appraising activity consequences.
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Define the term lifestyle and explain the kind of lifestyle you would like in your future. Then, discuss how work affects
lifestyle.
Answer:
the way in which a person or group lives.
Explanation:
ME working out alot and bieng very fit and It wouldnt effect my lifestyle it would actually help me cause i would live longer and be healthy
The term lifestyle refers to the habits and practices that define the life of a person, which also involves his/her work.
What is lifestyle?Lifestyle can be defined as the set of attitudes and patterns used in a routine and define the life of an individual.
Lifestyle can affect work because it is directly associated with the health and well-being of an individual.In conclusion, the term lifestyle refers to the habits and practices that define the life of a person, which also involves his/her work.
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What does the term 'user
experience' refer to regarding a
website?
A. the overall ease of navigation and ability to
purchase on a company's website
B. the general experience a customer has when
using a product of a business
C. the customer experience when dealing with
customer service representatives
Answer:b
Explanation:
make a budget of 2000 dollars for a grade six pupil
Answer:
Spend half save half
Explanation: