Answer:
the Year, And Had An Ending Share Price Of $61. Compute The Percentage Total Return. ... Suppose a stock had an initial price of $72 per share, paid a dividend of $1.20 per share during the year, and had an ending share price of $61.
Explanation:
in which of the following dos attack tools do you select the target, the agent, how many sockets, the requests, and then click start flood to begin the attack?
Denial of service (DoS) attacks include a threat actor sending fake traffic to the target entity. As a result of its inability to discern between attack traffic and legitimate traffic, the target expends all of its resources on attack traffic. By denying the resources to lawful traffic, the target becomes useless.
what are the Dos attacking tools?By transmitting malicious traffic from a single system, usually a computer, DoS attacks cause interruption. They can be quite basic; for example, a ping flood attack involves flooding a server with more ICMP (ping) queries than it can effectively handle and process.
DDoS attacks, in contrast, employ several machines to transmit harmful traffic to their target. The majority of the time, these machines are a part of a botnet, which is a network of computers or other devices that have been infected with malware and can therefore be remotely controlled by a single attacker.
DDoS assaults are more common and destructive in the modern Internet because of two factors. First, new security measures have been developed to thwart some common DoS assaults.
Learn more about Dos attacking tools, from:
brainly.com/question/4396002
#SPJ1
Since the end of World War II, the amount of money spent on advertising in the United States has ______.
increased dramatically
Since the end of World War II, the amount of money spent on advertising in the United States has increased dramatically.
Define money?Any item that is commonly accepted as payment for goods and services and debt repayment in a certain nation or socioeconomic setting is considered to be money. Money serves as a store of value, a unit of account, a medium of trade, and occasionally as a means of postponed payment. These are its four primary purposes.Etymology. The French word monnaie is a translation of the Latin word moneta, which means "coin." The Juno temple atop Capitoline, one of Rome's seven hills, is said to be the source of the Latin name. Juno was frequently equated with money in the ancient world.Durability is a measure of how well a currency will perform over time.To learn more about money refer to:
https://brainly.com/question/25959268
#SPJ4
How can your credit score impact your financial situation?
Your credit score has a significant impact on your financial situation. They assist lenders in determining whether you are a good risk. Your credit score can determine whether a loan is approved or denied. It can also affect how much interest you're charged, making debt more or less expensive for you.
TRUE/FALSE. noncompliance for a tax preparer includes: refusing to provide records and information lawfully requested by the irs. reporting inaccurate income. claiming deductions or credits for which the taxpayer does not qualify. all of the above are considered noncompliance issues.
Noncompliance for a tax preparer includes: refusing to provide records and information lawfully requested by the IRS, reporting inaccurate income, claiming deductions or credits for which the taxpayer does not quality. All the above are considered noncompliance issue is TRUE.
Tax noncompliance occurs when a tax payer refuce to compliance with the government's tax system requirements. Tax noncompliance includes of tax avoidance and tax evasion.
Tax avoidance is an activity that a tax payer did to lower his tax bills by structuring his transaction to reap the largest tax benefits. Tax evasion aims to reduce a tax payer's liability by deceit, subterfuge, or concealment.
Tax noncompliance includes:
Deliberately under-reporting or omitting income by concealing the real income statement. Keeping two sets of books and making false entries in books and records to create discrepancy between amount reported on a corporation's return and amounts reported on its financial statements. Claiming false or overstated deduction on a return by claiming unsubstantiated charitable deductions. Claiming personal expenses as business expenses. Hiding or transferring assets or income in a variety of forms.Engaging in "shame transaction" by labeling a transaction incorrectly.Learn more about Tax Avoidance and Tax Evasion here: https://brainly.com/question/21054037
#SPJ4
The shorter your term length, the
the total interest you will pay.
*
your monthly payments, and the
O higher, lower
O higher, higher
O lower, lower
lower, higher
Answer:
lower, higher
Explanation:
For a term loan, the longer the repayment duration, the more interest one pays.
Longer loan terms have a lower interest rate that seems attractive and affordable to customers. Long terms loans will also have low monthly repayments. Short-term loans have high-interest rates and high monthly repayments. However, the total interest paid on long-term loans is usually higher than that of short term loans. Lenders consider long term loans as riskier and will design them to attract more interest.
Question 3: Scenario-based Question
When the Shaffers had a monthly income of $4,000, they usually ate out 8 times a month. Now that the couple makes $4,500 a month, they eat out 10 times a month. Compute the couple's income elasticity of demand using the midpoint method. Explain your answer. Is a restaurant meal a normal or inferior good to the couple?
The income elasticity of demand for restaurant meals for the Shaffers is 0.047. This means that their demand for restaurant meals is relatively inelastic with respect to changes in their income. A 1% increase in their income will lead to a 0.047% increase in their demand for restaurant meals.
How did we get the assertion?To compute the income elasticity of demand using the midpoint method, we use the formula:
Income elasticity of demand = (Q2 - Q1) / [(Q2 + Q1)/2] / (I2 - I1) / [(I2 + I1)/2]
where Q1 and I1 are the initial quantity demanded and income levels, and Q2 and I2 are the new quantity demanded and income levels.
Using the given values, we have:
Q1 = 8
Q2 = 10
I1 = $4,000
I2 = $4,500
Income elasticity of demand = (10 - 8) / [(10 + 8)/2] / ($4,500 - $4,000) / [($4,500 + $4,000)/2]
= 2 / 9 / $500 / $4,250
= 0.047
The income elasticity of demand for restaurant meals for the Shaffers is 0.047. This means that their demand for restaurant meals is relatively inelastic with respect to changes in their income. A 1% increase in their income will lead to a 0.047% increase in their demand for restaurant meals.
To determine if restaurant meals are a normal or inferior good for the Shaffers, we need to look at the sign of the income elasticity of demand. Since the income elasticity of demand is positive (albeit very small), we can conclude that restaurant meals are a normal good for the Shaffers. As their income increases, they consume more restaurant meals, which is consistent with the behavior of normal goods.
learn more about elasticity of demand: https://brainly.com/question/1048608
#SPJ1
Think of a product you buy that is differentiated through quality. Do you believe the manufacturer's strategy to differentiate this product through quality is sustainable, or will the manufacturer eventually have to find other ways to attract you to the product? Explain your answer and include the product/manufacturer in your response.
Answer:
What the manufacturers try to do for it to look and feel high quality is a nice and good quality package like the iPhone boxes that feel nice when you have it in hand and looks nice too for you to think the iPhone is better and more supreme because the the box is good quality
Explanation:
Tangshan Mining Company must choose its optimal capital structure. Currently, the firm has a 40 percent debt ratio and the firm expects to generate a dividend next year of $4.89 per share and dividends are expected to grow at a constant rate of 5 percent for the foreseeable future. Stockholders currently require a 10.89 percent return on their investment. Tangshan Mining is considering changing its capital structure if it would benefit shareholders. The firm estimates that if it increases the debt ratio to 50 percent, it will increase its expected dividend to $5.24 per share. Because of the additional leverage, dividend growth is expected to increase to 6 percent and this growth will be sustained indefinitely. However, because of the added risk, the required return demanded by stockholders will increase to 11.34 percent. (a) What is the value per share for Tangshan Mining under the current capital structure
Answer:
Tangshan Mining Company
The value per share for Tangshan Mining under the current capital structure is:
= $44.90
Explanation:
a) Data and Calculations:
Debt ratio = 40%
Equity ratio = 60% (100 - 40)
Expected dividend per share next year = $4.89
Expected dividend growth rate = 5%
Stockholders' required rate of return = 10.89%
New capital structure:
Estimated debt ratio = 50%
Estimated equity ratio = 50% (100 - 50)
Projected dividend under new capital structure = $5.24
Projected dividend growth rate = 6%
Projected stockholders' required rate of return = 11.34%
Under current capital structure:
Value per share = Dividend/Required rate of return
= $44.90 ($4.89/10.89%)
The City of Houghton enacted an ordinance that forbids religious groups from distributing religious materials within the city limits of Houghton unless the distributor is granted a permit. Other types of materials can be distributed without a permit. What concerns do you have about the constitutionality of this ordinance?
The concerns that have about the constitutionality of this ordinance are Freedom of Religion, Content-Based Restrictions, Prior Restraint, Equal Protection and Unfettered Discretion.
Here are a few major concerns:
Religious Freedom: The First Amendment to the United States Constitution provides religious freedom, which includes the right to practise and express one's religious views. Content-Based limitation: By treating religious materials differently from other types of materials, the ordinance appears to impose a content-based limitation on communication. Prior constraint: Requiring religious organisations to seek a licence before disseminating religious materials is a type of prior constraint on speech. Equal Protection: If the ordinance treats religious groups differently than other groups or items, it may raise questions regarding legal equality. Unrestricted Discretion: If local officials have unrestricted discretion in choosing who gets a permit, there is a possibility of viewpoint discrimination or bias.For such more question on Restrictions:
https://brainly.com/question/30667577
#SPJ8
In order to outpace inflation when investing, your investments need to have a lower
rate of return than the rate of inflation.
True
False
Answer:
False
Explanation:
Inflation can dry up funds for investment because savings may decrease due to the fact that when the savings money is repaid it can be worth much less than when it was lent and that the real rate of interest may be low.
which of the following hitches are allowed home depot
Out of the hitches given, the hitches that are not allowed is Class 3 receiver. A hitch is a tool which is attached to the frame of a vehicle. Thus option (B) is correct.
What are hitches?A hitch is a device that is attached to the chassis or frame of a vehicle, and is used to tow or carry loads, such as trailers, boats, or other vehicles. Hitches come in a variety of types and sizes, and the appropriate hitch depends on the weight of the load being towed or carried, as well as the towing capacity of the vehicle.
It is important to choose the appropriate hitch for the vehicle and the load being towed, and to follow the manufacturer's recommendations for hitch installation and towing capacity. Using an improperly installed or mismatched hitch can be dangerous and cause damage to the vehicle or the load being towed.
The Class 3 receiver are are not allowed out of given hitches above. Therefore option (B) is correct.
Learn more about hitches here:
https://brainly.com/question/27131056
#SPJ2
The complete question might be:
Which of the following hitches are not allowed
Class 2 receiver
Class 3 receiver
Class 1 receiver
Bumper hitch
Let MAC1 = 100 – 10E and MAC2 = 50 – 10E. Graph each function and compute the aggregate MAC curve. Let MD = 30E, compute the socially efficient equilibrium. For the equations given above, suppose the government sets the pollution level at four units. What are the net social costs of this policy?
Suppose a technological change occurs that reduces the marginal costs of abatement for polluter 1 in the above equation to that of polluter 2. How does this affect the socially efficient level of pollution? Solve numerically and graphically.
If the marginal costs of abatement for polluter 1 become equal to polluter 2, it does not impact the socially efficient level of pollution. The level is still determined by equating Marginal Damage with the Aggregate MAC.
To graph each function, we can plot MAC1 and MAC2 on a graph with the quantity of emissions (E) on the x-axis and the marginal abatement cost (MAC) on the y-axis.
For MAC1: MAC1 = 100 - 10E
For MAC2: MAC2 = 50 - 10E
To compute the aggregate MAC curve, we add the individual MAC curves together. So, Aggregate MAC = MAC1 + MAC2.
Aggregate MAC = (100 - 10E) + (50 - 10E) = 150 - 20E
Now, let's calculate the socially efficient equilibrium by setting the Marginal Damage (MD) equal to the Aggregate MAC.
MD = Aggregate MAC
30E = 150 - 20E
Simplifying the equation, we get:
50E = 150
E = 3
Therefore, the socially efficient equilibrium occurs when the quantity of emissions (E) is 3.
Now, let's calculate the net social costs of the policy when the government sets the pollution level at four units.
Net social costs = Aggregate MAC - MD
Net social costs = (150 - 20(4)) - (30(4))
Net social costs = 110 - 120
Net social costs = -10
The net social costs of this policy would be -10, indicating a net benefit to society.
If a technological change occurs that reduces the marginal costs of abatement for polluter 1 to that of polluter 2, it means that MAC1 will become equal to MAC2.
Setting MAC1 equal to MAC2:
100 - 10E = 50 - 10E
Simplifying the equation, we find that E can have any value, as both sides are equal.
Graphically, this change would mean that MAC1 and MAC2 become parallel lines on the graph, with the same slope and intercept. The socially efficient level of pollution would still be determined by equating MD with the aggregate MAC.
In conclusion, if the marginal costs of abatement for polluter 1 become equal to polluter 2, it does not affect the socially efficient level of pollution. The socially efficient level is still determined by equating the Marginal Damage with the Aggregate MAC, regardless of the marginal costs of individual polluters.
For more question on marginal visit:
https://brainly.com/question/14867207
#SPJ8
Explain how Nike came to that situation through its expansion strategy
Answer:
Other than its superior products, it was able to expand thanks to its use of global marketing strategies to help expand its business globally and gain market share everywhere. Nike was able to use social media presence and strategic partnership and sponsorship to gain global consumers and market share
Explanation:
follow me please and like this
-5/12 - (-9/3) how do i do this
Explanation:
\(-5/12 - (-9/3)\)
When an online travel agent gets paid a commission, that’s called a?
When an online travel agent gets paid a commission, that's called an affiliate commission. Affiliate marketing is a popular business model used by many companies to sell products and services online. In the travel industry, online travel agents (OTAs) partner with hotels, airlines, car rental companies, and other travel-related businesses to promote and sell their products. In return, the OTAs receive a commission on each sale made through their website.
The affiliate commission varies depending on the agreement between the OTA and the travel supplier. Some suppliers offer a fixed commission rate, while others offer a tiered commission structure based on the volume of sales generated by the OTA. Typically, the commission ranges from 5% to 25% of the total sale value.
To track and pay the affiliate commission, OTAs use affiliate marketing software that provides real-time tracking and reporting of sales and commissions. The software also ensures that the commission is paid accurately and on time.
In summary, an online travel agent earns an affiliate commission when they promote and sell travel products and services on behalf of travel suppliers. The commission is a percentage of the sale value and is paid to the OTA through affiliate marketing software.
for more such questions on commission
https://brainly.com/question/28197801
#SPJ11
True or False? The placement of a product within a store, or online, can determine the sales performance of that product.
Answer:
true
Explanation:
The frustration-regression principle of the ERG theory explains that when a barrier prevents an individual from obtaining a higher level need, a person may "regress" to a lower-level need (or visa versa) to achieve satisfaction.
True
False
The ERG theory illustrates that when a wall contains someone from getting a higher-level need, a person may "regress" to a lower-level need to gain satisfaction. This statement is True.
The frustration-regression direction of the ERG approach means that when a person is unable to meet a higher-level need, they may become frustrated and revert to a lower-level need that they can satisfy.
This means that if an individual is incapable to satisfy their growth needs, this is mainly due to a lack of opportunities for individual and skilled development, they may retreat to concentrating on their relatedness needs, such as building positive relationships with coworkers.
To learn more about ERG Theory
https://brainly.com/question/14167329
#SPJ4
Common-size percents LO P2 Simon Company's year-end balance sheets follow. At December 31 Current Yr 1 Yr Ago 2 Yrs Ago Assets Cash $ 29,076 $ 33,644 $ 34,015 Accounts receivable, net 85,123 60,680 47,668 Merchandise inventory 109,166 80,184 49,287 Prepaid expenses 9,269 8,832 3,857 Plant assets, net 265,161 245,794 215,773 Total assets $ 497,795 $ 429,134 $ 350,600 Liabilities and Equity Accounts payable $ 122,711 $ 71,073 $ 47,205 Long-term notes payable secured by mortgages on plant assets 94,521 96,727 76,708 Common stock, $10 par value 163,500 163,500 163,500 Retained earnings 117,063 97,834 63,187 Total liabilities and equity $ 497,795 $ 429,134 $ 350,600
Express the balance sheets in common-size percents. (Do not round intermediate calculations and round your final percentage answers to 1 decimal place.)
SIMON COMPANY
Common-Size Comparative Balance Sheets
December 31, 2015-2017
2017 2016 2015 Assets % Cash % Accounts receivable, net Merchandise inventory Prepaid expenses Plant assets, net % Total assets :% Liabilities and Equity Accounts payable Long-term notes payable secured by mortgages on plant assets Screenshot(Alt + A) Common stock, $10 par Retained earnings % Total liabilities and equity
Answer:
Simon Company
SIMON COMPANY
Balance Sheets
At December 31 Current Yr 1 Yr Ago 2 Yrs Ago
Assets % % %
Cash $ 29,076 5.8 $ 33,644 7.8 $ 34,015 9.7
Accounts receivable, net 85,123 17.1 60,680 14.1 47,668 13.6
Merchandise inventory 109,166 21.9 80,184 18.7 49,287 14.1
Prepaid expenses 9,269 1.9 8,832 2.1 3,857 1.1
Plant assets, net 265,161 53.3 245,794 57.3 215,773 61.5
Total assets $ 497,795 100 $ 429,134 100 $ 350,600 100
Liabilities and Equity
Accounts payable $ 122,711 24.7 $ 71,073 16.6 $ 47,205 13.5
Long-term notes payable
secured by mortgages
on plant assets 94,521 19 96,727 22.5 76,708 21.9
Common stock,
$10 par value 163,500 32.8 163,500 38.1 163,500 46.6
Retained earnings 117,063 23.5 97,834 22.8 63,187 18.0
Total liabilities and equity $497,795 100 $429,134 100 $350,600 100
Explanation:
a) Data and Calculations:
SIMON COMPANY
Balance Sheets
At December 31 Current Yr 1 Yr Ago 2 Yrs Ago
Assets
Cash $ 29,076 $ 33,644 $ 34,015
Accounts receivable, net 85,123 60,680 47,668
Merchandise inventory 109,166 80,184 49,287
Prepaid expenses 9,269 8,832 3,857
Plant assets, net 265,161 245,794 215,773
Total assets $ 497,795 $ 429,134 $ 350,600
Liabilities and Equity
Accounts payable $ 122,711 $ 71,073 $ 47,205
Long-term notes payable
secured by mortgages
on plant assets 94,521 96,727 76,708
Common stock, $10 par value 163,500 163,500 163,500
Retained earnings 117,063 97,834 63,187
Total liabilities and equity $ 497,795 $ 429,134 $ 350,600
b) The computation of Simon's common size balance sheet enables the comparison and analysis of the relative percentage of each asset, liability, and equity account. The computation takes a line item and divides it by the value of total assets or total liabilities and equity, as the case may be. The resulting decimal value is multiplied by 100 to obtain the percentage.
THE FOLLOWING INFO IS AVAILABLE FOR BERLIN CORPORATION FOR THE YEAR ENDING 12/31/20. OTHER REVENUE/GAINS= 12700, OTHER EXPENSES/LOSSES=13300, COST OF GOODS SOLD= 156000SALES 592000, OPERATING EXPENSES= 186000, SALES RETURNS= 40000. PREPARE A STEP-BY-STEP INCOME STATEMENT. TAX RATE IS 30 PERCENT
Based on the information available for Berlin Corporation, the step - by - step income statement would be:
Berlin Corporation.
Income Statement
Sales Revenue $592,000
Less: Sales Return $40, 000
Net Sales $552, 000
Less : Cost of Goods sold ($156, 000)
Gross Profit $396, 000
Less Operating expenses: (186, 000)
Income from operations $210, 000
Other Revenue /Gains 12, 700
Other Expenses /Losses (13, 300) ( 600 )
Income before income taxes $209 ,400
Less: Income tax expense ($62, 820)
Net Income / (Loss) $146,580
What goes into an income statement?An income statement is the financial document that is used to find the amount of net income or loss that a company made in a certain period of time which is often a year or a quarter.
The main components of a net income statement are the revenue, the cost of goods sold, the gross profit, the operating expenses, and the net income.
To find the net income, subtract cost of goods sold and the operating expenses from the sales revenue.
In this case, you need to find the taxes to Berlin Corporation as well:
= Income before taxes x Income tax rate
= 209, 400 x 30%
= $62, 820
Find out more on income statements at https://brainly.com/question/21851842
#SPJ1
During the current year, the Town of Salo Alto recorded the following transactions related to its property taxes: Levied property taxes of $3,300,000, of which 2 percent is estimated to be uncollectible. Collected current property taxes amounting to $2,987,500. Collected $26,500 in delinquent taxes and $2,400 in interest and penalties on the delinquent taxes. These amounts had been recorded as Deferred Inflows of Resources in the prior year. Imposed penalties and interest in the amount of $3,750 but only expects to collect $3,100 of that amount. None is expected to be collected this year or within 30 days of year-end. Reclassified uncollected taxes as delinquent. These amounts are not expected to be collected within the first 60 days of the following fiscal year.
Question Completion:
Prepare the journal entries.
Answer:
Town of Salo Alto
Journal Entries:
Debit Property Taxes Receivable $3,300,000
Credit Unearned Property Taxes $3,300,000
To record the levying of property taxes.
Debit Uncollectible Expense $66,000
Credit Allowance for Uncollectible Property Taxes $66,000
To record the 2% allowance for uncollectible taxes.
Debit Cash $2,987,500
Credit Property Taxes Receivable $2,987,500
To record the collection of current property taxes.
Debit Cash $28,900
Credit Deferred Inflows of Resources $26,500
Credit Interest and Penalties $2,400
To record the collection of delinquent taxes with interest and penalties.
Debit Penalties and Interest Receivable $3,750
Credit Interest and Penalties $3,100
Credit Allowance for uncollectible $650
To record penalties and interest imposed.
Debit Deferred Inflows of Resources $312,500
Credit Property Taxes Receivable $312,500
To re-classify uncollected taxes as delinquent.
Explanation:
The ASC 606, as applicable to GASB, specifies when property tax revenues should be recognized in government-wide financial statements. Governmental revenue, e.g. property tax revenue, should be considered as revenue in the current period if it can be collected within that period or sixty days after the current period. If it cannot be so collected, it needs to be re-classified as delinquent.
Wember Catering uses two measures of activity, jobs and meals, in the cost formulas in its budgets and performance reports. The cost formula for catering supplies is $400 per month plus $82 per job plus $10 per meal. A typical job involves serving a number of meals to guests at a corporate function or at a host's home. The company expected its activity in September to be 20 jobs and 144 meals, but the actual activity was 16 jobs and 141 meals. The actual cost for catering supplies in September was $3,100. The catering supplies in the planning budget for September would be closest to:
Answer:
Standard cost Supplies= $3,480
Explanation:
Giving the following information:
The cost formula for catering supplies is $400 per month plus $82 per job plus $10 per meal.
The company expected its activity in September to be 20 jobs and 144 meals.
To calculate the total budgeted cost, we need to multiply the standard cost for the planned production:
Standard cost Supplies= 400 + (82*20) + (10*144)
Standard cost Supplies= $3,480
David is purchasing a home for $127,600. He has 10% to put down on the home and
wishes to pay one discount point. What is the amount of his principle that he will
finance? Please explain your work in your answer.
A company has a beta of 2.91. If the market return is expected to be 16% and the risk-free rate is 8%, what is
the company's risk premium?
The additional return investors receive over the risk-free rate in exchange for investing in risky assets is known as the risk premium. The company's risk premium will be 24.90%.
What Are the Components of a Risk Premium?The extra return over the risk-free rate that investors need in order to make up for the increased apprehension associated with hazardous assets is known as the risk premium. Business risk, financial risk, liquidity risk, exchange-rate risk, and country-specific risk are the five key hazards that make up the risk premium.
All five of these risk variables have the potential to lower returns, thus investors must be fairly paid for taking them on. Business risk, financial risk, liquidity risk, exchange-rate risk, and country-specific risk are the five key hazards that make up the risk premium.
Learn more about Risk Premium, here:
https://brainly.com/question/28235630
#SPJ1
Cori's Corporation, has a book value of equity of $14,130. Long-term debt is $8,150. Net working capital, other than cash, is $2,140. Fixed assets are $19,470 and current liabilities are $1,760.
How much cash does the company have?
Note: Do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.
What is the value of the current assets?
Note: Do not round intermediate calculations and round your answer to the nearest whole number, e.g., 32.
Answer: To calculate the amount of cash that the company has, we need to use the accounting equation:
Assets = Liabilities + Equity
We can rearrange this equation to solve for assets:
Assets = Liabilities + Equity
Assets = Long-term debt + Net working capital, other than cash + Fixed assets + Current liabilities + Book value of equity
Assets = $8,150 + $2,140 + $19,470 + $1,760 + $14,130
Assets = $45,650
Now, to find the amount of cash the company has, we need to subtract all the other assets from the total assets:
Cash = Assets - (Long-term debt + Net working capital, other than cash + Fixed assets)
Cash = $45,650 - ($8,150 + $2,140 + $19,470)
Cash = $15,890
Therefore, the company has $15,890 in cash.
To find the value of the current assets, we can add the net working capital, other than cash, to the current liabilities:
Current assets = Net working capital, other than cash + Current liabilities
Current assets = $2,140 + $1,760
Current assets = $3,900
Therefore, the value of the current assets is $3,900.
Write a pin introducing yourself to the class, and addressing one or more of the following questions.
[NOTE: do not feel that you have to post a response to ALL of these questions - just select one or more to which you'd like to provide a response.]
1) How would each of the three views assess the U.S. corporations' practice of offshoring their manufacturing operations to lower cost locations? Is it wrong for international managers to do this?
2) From the "Uber" mini-case in the Hill & Hult textbook: what are the pros/cons of Uber's Global Strategy? What could Uber have done differently?
3) From the "Boeing" mini-case in the Hill & Hult textbook: Do you think that Boeing's most recent decision to rethink its outsourcing strategy is correct?
4) From the "Medical Tourism" mini-case in the Hill & Hult textbook: What are the benefits to American medical providers of outsourcing certain well-defined tasks such as interpreting an MRI scan to foreign providers in countries such as India? What would Economic Nationalists in the United States say about this? How would Liberals defend this practice?
Based on my own opinion, i will say that From the "Boeing" mini-case in the Hill & Hult textbook, I do think that Boeing's most recent decision to rethink its outsourcing strategy is correct.
Why did Boeing restructure and outsource the project operations?The reason for the outsource is so that they can lower the costs and and the time spent on development.
Note that Boeing was known to have created about 787 through the use of a system that is said to be an unconventional three-tier supply chain.
Note that The implementation of this was said to have led to a substantial increase in outsourcing.
Hence, Based on my own opinion, i will say that From the "Boeing" mini-case in the Hill & Hult textbook, I do think that Boeing's most recent decision to rethink its outsourcing strategy is correct.
Learn more about mini-case from
https://brainly.com/question/22526804
#SPJ1
The Help Corporation makes a tax-deductible donation to the local food bank whereas the Starlight Foundation gives funds on a regular basis to a local homeless shelter. What is the difference between these two types of giving?
The difference between these two types of giving is the Starlight Foundation practices philanthropy while the Help Corporation practices cause marketing.
What is philanthropy and marketing?A philanthropy means an act of cheerful giving to needy while marketing pursues an organizational goals.
In conclusion, the difference between these two types of giving is the Starlight Foundation practices philanthropy while the Help Corporation practices cause marketing.
Read more about philanthropy
brainly.com/question/25296936
3. Which of the following is NOT a factor of production?
a. land
d. entrepreneurship
b. output
e. capital
c. inputs
Answer:
Output.
Explanation:
because it is an effect of production but not a factor.
Which situation best describes an oligopoly?
A. A city government selects one company to provide clean water for
its residents.
B. A large oil company buys all of its competitors and shuts them
down permanently.
C. A group of vendors compete to sell the same drinks to fans at a
baseball game.
D. A few large airlines work together to set high prices and eliminate
new competitors.
QUESTION ONE
ABC Ltd wishes to expand its business. On 31 Dec 2021, the company had
the following existing and proposed capital structures to support the
expansion programme.
1. The existing 8% debt capital has a book value of Ksh 50 000 000 and
matures in 10 years. The market value of debt at the close of business on
31 Dec 2021 was Ksh 40 000 000
2. A ten year loan of Ksh 300 000 000 is to be raised at an interest of 10
percent p.a. A cost of Ksh 20 000 000 will be incurred in raising this loan
3. A 12% preference stock capital stands in the books at Ksh 100 000 000
( 1 000 000 shares) and has a total market value of Ksh 150 000 000.
4. There are 40 000 000 ordinary shares with a current market price of Ksh
1500 each. The firm’s expected earnings per share (EPS) stand at Ksh
200, its growth rate is 6% and has a dividend payout of 60%.
5. The company plans to issue 10 000 000 ordinary shares at a market price
of Ksh 1 500 per share. The cost of floating the shares is estimated at Ksh
10 000 000.
Required:
i) Firm’s current weighted average cost of capital (10 marks)
ii) Firm’s expected weighted average cost of capital after the expansion
programme (i.e. marginal cost of capital) (5 marks)
QUESTION TWO
An investor intends to place Ksh 112,000,000 in the 91 days Treasury bill at a quoted rate/yield of 7.65%
p.a.
Required:
a) Compute the investor’s return, assuming that he is withholding tax-payer
b) Compute the investor’s return, assuming that he is non-withholding taxpayer (6 marks)
Answer:
rat
Explanation:
The 15-year average return for the S&P 500 from January 1973 to December 2016 (29 separate 15 year periods) was as high as a 20% average annual return and as low as a 3.7% average annual return. Additionally, the average dividend yield for the S&P is 4.11% and the average annual dividend growth rate is 6.11%.
Using this information, please compare the investment in the 5% 15-year corporate bond with a $100,000 investment in a stock with a 3.7% dividend yield (10 percent less than the S&P 500 average yield) and a 3% dividend growth rate (50 percent of the S&P 500 dividend growth rate).
The annual investment returns are as follows:
Year 1 (13.40%) Year 2 (23.37%) Year 3 26.38% Year 4 8.99%
Year 5 3.00% Year 6 13.62% Year 7 3.53% Year 8 (38.49%)
Year 9 23.45% Year 10 12.78% Year 11 0.00 Year 12 13.41%
Year 13 29.60% Year 14 11.39% Year 15 (0.73%)
The bond interest payment of 5 percent is paid annually and not reinvested. To compare accurately with the bond investment, the stock dividend will not be reinvested, but paid annually as well.
Please calculate the value of the stock account at the end of each year and the dividend income from the stock on an annual basis.
Once you have performed the calculations, please let me know if you prefer to invest in a 5% corporate bond for 15 years or the stock and why.
What is the value of the stock after year 2? Year 8? Year 11? When does the annual dividend income of the stock exceed the annual interest income of the bond?
1. The value of the stock account after Year 2 is $155,401.626.
2. The value of the stock account after Year 8 is $96,110.0674.
3. The value of the stock account after Year 11 is $96,110.0674.
4. The annual dividend income of the stock exceeds the annual interest income of the bond at the end of Year 15.
Bond interest rate: 5%
Stock dividend yield: 3.7% (10% less than S&P 500 average yield)
Stock dividend growth rate: 3% (50% of S&P 500 dividend growth rate)
We'll assume an initial investment of $100,000.
Year 1:
Bond interest income: $100,000 * 0.05 = $5,000
Stock dividend income: $100,000 * 0.037 = $3,700
Value of stock account: $100,000 + ($100,000 * 0.2337) = $123,370
1. Year 2:
Bond interest income: $100,000 * 0.05 = $5,000
Stock dividend income: $100,000 * 0.037 = $3,700
Value of stock account: $123,370 + ($123,370 * 0.2638) = $155,401.626
2. Year 8:
Bond interest income: $100,000 * 0.05 = $5,000
Stock dividend income: $100,000 * 0.037 = $3,700
Value of stock account: $155,401.626 + ($155,401.626 * (-0.3849)) = $96,110.0674
3. Year 11:
Bond interest income: $100,000 * 0.05 = $5,000
Stock dividend income: $100,000 * 0.037 = $3,700
Value of stock account: $96,110.0674 + ($96,110.0674 * 0) = $96,110.0674
4. At the end of Year 15, the dividend income of the stock exceeds the interest income of the bond.
Stock dividend income: $100,000 * 0.037 = $3,700
Bond interest income: $100,000 * 0.05 = $5,000
For such more question on account:
https://brainly.com/question/28326305
#SPJ8