labor form income property received by households
Answer:
The answer is Rental
Explanation:
Which of the following is NOT an example of a good?
A) a pair of shoes
B) a print advertisement
C) a dozen farm-fresh eggs
D) a barrel of oil
One of Shanice's team members is not happy with their performance review and refuses to accept the rating she gave. What should Shanice do?
Shanice should aim to resolve the issue through open communication, active listening, and a willingness to address the team member's concerns.
Listen and understand: Shanice should create an open and safe space for the team member to express their concerns. She should actively listen and seek to understand their perspective. This demonstrates empathy and shows that she values their input.
Provide clarity: Shanice should provide a clear explanation of the performance review process, including the criteria used to evaluate performance and the specific examples that led to the assigned rating. This can help address any misunderstandings or misconceptions.
Address concerns and offer feedback: Shanice should address the team member's specific concerns and provide constructive feedback. She can highlight areas for improvement and offer guidance on how to enhance performance. It's important for Shanice to focus on specific behaviors and outcomes rather than personal attacks or generalizations.
Seek input and involve the team member: Shanice can ask the team member for their suggestions on how to improve their performance or address their concerns. Involving them in the process can foster a sense of ownership and encourage collaboration.
Consider a reevaluation: If Shanice believes there may have been an oversight or if the team member presents compelling evidence, she can consider a reevaluation of the performance review. This may involve gathering additional feedback or revisiting the evaluation criteria.
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Suppose a monopolist produces in a market with two distinct segments: market 1, which is denoted as M1 on the graph, and market 2, denoted as M2. The firm's marginal and average costs are $20.
A monopolist is an individual, gathering, or organization that controls each of the business sectors for a specific decent or administration. The profit in market 1 is $1,600, The profit in market 2 is $450 and Demand is more elastic in market 2
(A) Profit = Total revenue - total cost = P*Q - MC*Q = (P-MC)*Q
Profit in market 1
P1 = $60, Q1 = 40, and MC = $20
So, Profit in market 1 = (60-20)*40 = 40*40 = $1,600
(B) Profit in market 2
P2 = $35, Q2 = 30, and MC = $20
So, Profit in market 2 = (35-20)*30 = 15*30 = $450
(C) Demand is more elastic in market 2 as a monopolist charges a lower price in the more elastic market so as P2 < P1 then market 2 is more elastic.
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This question is not complete, Here I am attaching the complete question: also, attaching the diagram
Suppose a monopolist produces in a market with two distinct segments: market 1, which is denoted as M1 on the graph, and market 2, denoted as M2. The firm's marginal and average costs are $20.
(A) What is the profit of market 1?
(B) What is the profit of market 2?
(C) In which market is demand more elastic?
Assume that Botswana Life Insurance (BOTS LIFE) pays no cash dividends currently and is not expected to for the next 5 years. Its latest EPS was $10, all of which was reinvested in the company. The firm’s expected ROE for the next 5 years is 20% per year, and during this time, it is expected to continue to reinvest all of its earnings. Starting 6 years from now the firm’s ROE on new investment is expected to fall to 15% and the company is expected to start paying out 40% of its earning in cash dividends, which it will continue to do forever after. BOTS LIFE’s market capitalisation rate is 15% per year.
(a) Estimate the intrinsic value per share of the firm [7 Marks]
(b) Assuming its current market price is equal to its intrinsic value, using illustrations, what do you expect to happen to its price over the next year and the year after? [5 Marks]
(c) Illustrate, what effect would it have on your estimate of the intrinsic value if BOTS LIFE is expected to pay out only 20% of earnings starting in year 6? [5 Marks
The intrinsic value of company's share is $89.90
The share price is expected to rise in the incoming years
The intrinsic value of share remains the same when payout ratio reduces to 20%
What is the firm growth rate in each of the future years?
The growth rate of the company, which is also the growth rate for earnings per share in each of the first 5 years
Growth rate in the first 5 years=ROE*reinvestment rate
ROE=20%
reinvestment rate=100%(all earnings would be reinvested)
Growth rate in the first 5 years=100%*20%
Growth rate in the first 5 years=20%
Earnings in 5 years=current EPS*(1+growth rate)^5
Earnings in 5 years=$10*(1+20%)^5
Earnings in 5 years=$24.8832
Growth rate for year 6 and beyond=15%*(1-40%)
Growth rate for year 6 and beyond=9.00%
Earnings in year 6=$24.8832*(1+9%)
earnings in year 6=$27.122688
Out of the EPS, 40% would be paid as dividends
dividends in year 6=$27.122688*40%
dividends in year 6=$10.8490752
We can compute the share price at the end of year using the present value formula of perpetuity
share price in year 5=$10.8490752/(15%-9%)
share price in year 5=$180.81792
share price now=$180.81792/(1+15%)^5
share price now=$89.90
The fact that share price and the intrinsic value are the same implies that share price would increase over the next year and the year after because the dividends would continue to growth at a constant rate of 9%
Out of the EPS, 20% would be paid as dividends
dividends in year 6=$27.122688*20%
dividends in year 6=$5.4245376
growth rate=15%*(1-20%)=12.00%
We can compute the share price at the end of year using the present value formula of perpetuity
share price in year 5=$5.4245376/(15%-12%)
share price in year 5=$180.81792
share price now=$180.81792/(1+15%)^5
share price now=$89.90
The share price in payout ratio from 40% to 20% has no effect on the intrinsic value since the share prices are the same under the two scenarios
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Is there any company or firm that doesn't use CRM?
May i know the name of that company?
Answer:
Choudhary group of company
If I read 12 pages in 15 minutes how many pages while I read in two hours
Answer:
96 pages in two hours
Explanation:
You can read 48 pages in 1 hour because 15 x 4 is 60, and 12 x 4 is 48. So you just double 48 and you get 96.
The cost of capital is:___________
a. the return that a previous project for the firm had earned.
b. the minimum return that a capital budgeting project must earn for it to be accepted.
c. the maximum return a project can earn.
d. none of these.
Answer:
I think that the correct answer is b.
Answer:
B
Explanation:
i think the correct answer is B
Explain the role projects play in the strategic management process?
In the strategic management process, projects play a key role in helping organizations achieve their strategic goals and objectives.
What is strategic management?
Strategic management is the process of defining an organization's direction and making decisions on allocating its resources to pursue this direction. It involves analyzing the organization's internal and external environment to identify opportunities and threats, and then formulating and implementing strategies to take advantage of those opportunities and mitigate those threats.
Projects are temporary endeavors that are undertaken to create a unique product, service, or result. They are a key tool for implementing strategic initiatives and can help organizations achieve their long-term goals by breaking them down into smaller, more manageable pieces.
In the strategic management process, projects can serve several purposes:
Implementing strategies: Projects can be used to put strategies into action by defining specific tasks, assigning responsibilities, and setting deadlines.Measuring progress: Projects provide a way to track progress towards strategic goals and objectives, allowing organizations to assess whether they are on track to achieve those goals.Allocating resources: Projects allow organizations to allocate resources, such as time, money, and personnel, in a targeted and efficient manner.Reducing risk: By breaking strategic initiatives down into smaller projects, organizations can reduce the risk of failure and more easily adapt to changes in the internal or external environment.Hence, the role of projects in the strategic management process is to help organizations achieve their long-term goals and objectives by providing a structured way to implement strategies, measure progress, allocate resources, and manage risk.
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a
Jane bought a car two years ago for $45,000, financed it with a 48-month loan at 3.6% p.a., and has made
24 of the 48 payments.
IF
1. How much is her monthly loan payment?
1
2. What is her outstanding loan balance?
Answer:
not ure what the answer is jio;
Explanation:
Which of the following supports a business strategy that incorporates the key
operational capability of flexibility?
O Utilizing specialized, automated equipment for consistent product buildup
O Using electronic tools to improve customer communications
Having high quality standards for suppliers
O Reducing labor and shelving costs
O Maintaining excess production capability
Business strategy that incorporates the key operational capability of flexibility is utilizing specialized, automated equipment for consistent product buildup.
Thus, the correct option is A.
What is Business strategy?
A business strategy explains the precise methods through which a company intends to position itself, accomplish its short- and long-term objectives, and expand over time.
A plan outlining how a corporation will accomplish its objectives is known as a business strategy. Although there are many distinct business strategies, cost leadership, differentiation, and focus are a few typical examples.
Cost, quality, distribution, technology, and intellectual property are the only five corporate tactics (IP). These five concepts, or a mixture of them, form the basis of all corporate strategy. Focusing your business on just one thing is generally the simplest to implement.
A strategy is essentially just a hypothesis. For a strategy to be effective, the issue that needs to be resolved must be accurately diagnosed, a guiding policy must be established to handle the issue, and a set of cogent actions must be proposed to carry out the policy.
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Many U S citizen are stimulated by change and thrive on new opportunities. Theses citizens probably have a high level of acceptance for which dimension of cultural differences
The dimension of cultural difference that the U.S. citizens, who are stimulated by change and thrive on new opportunities, probably have a high level of acceptance for is the dimension of uncertainty avoidance.
Uncertainty avoidance is the level of an individual's resistance or tolerance to ambiguity or anxiety-provoking situations in new or uncertain conditions.
In certain nations, the capacity to deal with ambiguity is a key personality attribute. On the other hand, in certain cultures, the capacity to withstand ambiguity is not considered essential.
Hence, the U.S. citizens, who are stimulated by change and thrive on new opportunities, probably have a high level of acceptance for the dimension of cultural differences.
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Francisco leased equipment from Julio on December 31, 2021. The lease is a 10-year lease with annual payments of $159,000 due on December 31 of each year beginning December 31, 2021. The present value of the lease payments is $1,006,192. Francisco's incremental borrowing rate is 14% for this type of lease. The implicit rate of 12% is known by the lessee. What should be the balance in Francisco lease liability at December 31, 2022
Answer: $789855
Explanation:
Initial liability = $1,006,192
Less: Payment = $159,000
Liability = $847192
× Implicit rate 12%
Interest = 12% × $847192 = $101663
Then, reduced balance will be:
= Payment - Interest
= $159,000 - $101663
= $57337
Therefore, Francisco lease liability at December 31, 2022 will be:
= $847192 - $57337
= $789855
The issue of the enforceability of covenants not to compete is typically a matter of state common law (so enforceability varies state-by-state based on case-by-case court decisions). In general, for a covenant not to compete to be enforceable, the restraints (time restrictions, territory restrictions, scope of activity restrictions) must protect a legitimate business purpose, must not impose an undue burden on the employee, and must be otherwise reasonable.
Required:
Do you believe that the restraints in this covenant not to compete ("Restrictive Covenant") should be enforceable? Why or why not? Explain
Answer:
The issue of the enforceability of covenants not to compete is typically a matter of state common law (so enforceability varies state-by-state based on case-by-case court decisions). In general, for a covenant not to compete to be enforceable, the restraints (time restrictions, territory restrictions, scope of activity restrictions) must ...
Do you believe that the restraints in this covenant not to compete ("Restrictive Covenant") should be enforceable? Why or why not? Explain
Explanation:
identify and explain two benefits to a company of offering fringe benefits to its managers
Some of the benefits to a company that offers fringe benefits to their managers are:
Better motivated managers Less employee turnover rates How are fringe benefits meant to motivate employees?The main point of offering fringe benefits is to reduce the stress that employees might feel either in their personal or work lives. The hope is that with these stressors alleviated, the employee would feel motivated enough to work harder.
Managers are offered fringe benefits therefore, to ensure that they are better motivated. It is also to ensure that they do not leave the company due to other companies offering better benefits which would lead to high employee turnover.
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Lartey Corporation's cost formula for its selling and administrative expense is $22,200 per month plus $27 per unit. For the month of December, the company planned for activity of 5,300 units, but the actual level of activity was 5,270 units. The actual selling and administrative expense for the month was $168,150.
The activity variance for selling and administrative expense in December would be closest to:
The activity variance for selling and administrative expense in December is negative, which means that the actual expense was less than what we would expect based on the flexible budget.
To calculate the activity variance for selling and administrative expense in December, we need to use the cost formula provided by Lartey Corporation, which is $22,200 per month plus $27 per unit.
First, let's calculate the planned (budgeted) selling and administrative expense for December based on the planned activity level of 5,300 units:
Planned selling and administrative expense = $22,200 + ($27 x 5,300) = $171,900
Next, we can calculate the flexible budget for selling and administrative expense based on the actual level of activity, which was 5,270 units:
Flexible budget for selling and administrative expense = $22,200 + ($27 x 5,270) = $170,790
Finally, we can calculate the activity variance by subtracting the flexible budget from the actual selling and administrative expense:
Activity variance = Actual selling and administrative expense - Flexible budget
Activity variance = $168,150 - $170,790
Activity variance = -$2,640
The activity variance for selling and administrative expense in December is negative, which means that the actual expense was less than what we would expect based on the flexible budget. This could be due to cost savings or efficiencies in the company's operations.
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Break-Even Sales
BeerBev, Inc., reported the following operating information for a recent year (in millions):
Sales $6,512
Cost of goods sold $1,628
Gross profit $4,884
Marketing, general, and admin. expenses 592
Income from operations $ 4,292
Assume that BeerBev sold 37 million barrels of beer during the year, that variable costs were 75% of the cost of goods sold and 50% of marketing, general and administration expenses, and that the remaining costs are fixed. For the following year, assume that BeerBev expects pricing, variable costs per barrel, and fixed costs to remain constant, except that new distribution and general office facilities are expected to increase fixed costs by $21.09 million.
Compute the break-even sales (in barrels) for the current year. Round your answer to two decimal places. Enter your answers in millions.
The break-even sales for the current year are 32.04 million barrels, rounded to two decimal places.
First, we need to calculate the total fixed costs for the current year
Fixed costs = Total costs - (Variable costs + Cost of goods sold x Variable cost % + Marketing, general, and admin. expenses x Variable cost %)
Fixed costs = $6,512 million - ($1,628 million + $1,221 million + $296 million)
Fixed costs = $3,367 million
Next, we can calculate the contribution margin per barrel:
Contribution margin per barrel = Price per barrel - Variable cost per barrel
We don't have the price per barrel, but we can use the gross profit and the number of barrels sold to calculate the average gross profit per barrel
Average gross profit per barrel = Gross profit / Barrels sold
Average gross profit per barrel = $4,884 million / 37 million barrels
Average gross profit per barrel = $132 per barrel
Assuming variable costs per barrel remain constant, we can use the variable cost % to calculate the variable cost per barrel
Variable cost per barrel = Cost of goods sold x Variable cost % / Barrels sold + Marketing, general, and admin. expenses x Variable cost % / Barrels sold
Variable cost per barrel = $1,628 million x 75% / 37 million barrels + $592 million x 50% / 37 million barrels
Variable cost per barrel = $27.03 per barrel
Therefore, the contribution margin per barrel is
Contribution margin per barrel = $132 - $27.03
Contribution margin per barrel = $104.97
Finally, we can calculate the break-even sales in barrels for the current year
Break-even sales (in barrels) = Fixed costs / Contribution margin per barrel
Break-even sales (in barrels) = $3,367 million / $104.97 per barrel
Break-even sales (in barrels) = 32.04 million barrels
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select a business from any of three business sectors
A business from any three business sectors is industry. Businesses clearly differ in what they do.
Businesses are frequently classified according to their industry or sector. An industry is a group of businesses which are related in terms of their primary activity, such as car manufacturing or grocery sales. Smaller industries (such as car manufacturing) can be grouped to larger industry sectors (such as the manufacturing sector in general). An individual business is classified as belonging to a specific industry based on its primary activity.
As a result, this company would be classified as belonging to the automobile manufacturing industry rather than financial services.
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Suppose a perfectly competitive firm with total cost function given as: TC=Q³-50² +30Q +10 5.1. Given the equilibrium price for the product in the market is $6, find profit maximizing level of output and the maximum profit generated, and show if margina cost is increasing, decreasing or at its minimum at this point.
Wher the conditions are given - perfectly competitive firm with total cost function given as: TC=Q³-50² +30Q +10, the profit maximizing level of output and the maximum profit generated are Q = 35 units and -$40,375 respectively.
How is this so?MC = d(TC)/dQ
MC = 3Q² - 100Q + 30
To find the profit-maximizing level of output, we set MC equal to the market price, which is $6:
6 = 3Q² - 100Q + 30
Next, we solve this equation for Q:
3Q² - 100Q + 24 = 0
Using quadratic formula
Q = (-(-100) ± √((-100)² - 4(3)(24))) / (2(3))
Q = (100 ± √(10000 - 288)) / 6
Q = (100 ± √(9722)) / 6
Q = (100 ± 98.55)
Q = 33.0916666667 or 0.24175334032
Q ≈ 33.02 or Q ≈ 0.24
Since we are dealing with a perfectly competitive market, we consider the positive solution: Q ≈ 33.02.
Now, to find the maximum profit, we substitute the value of Q into the total cost function:
TC = (33.02 )³ - 50(19.85)² + 30(19.85) + 10
= 16906.754608
TC ≈ 16906.76
To calculate the maximum profit, we subtract the total cost from the total revenue, which is the product of the market price and the quantity:
Total revenue = 6 * 33.02 ≈ 198.12
Maximum profit = Total revenue - Total cost
≈ 198.12 - 16906.76
Maximum profit ≈ -16, 708.64
To check whether the marginal cost is increasing, decreasing, or at its minimum at this point, we can examine the derivative of the marginal cost function with respect to the quantity
d(MC)/dQ = 6Q - 100
Substituting Q ≈ 33.02 into the derivative,
d(MC)/dQ ≈ 6(33.02) - 100
≈ 198.12- 100
≈ 98.12
Since the derivative is positive (98.12), the marginal cost is increasing at the profit-maximizing output level.
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Full Question:
Suppose a perfectly competitive firm with total cost function is TC=Q³-50² +30Q +10 5.1. Given the equilibrium price for the product in the market is $6, find
1) profit-maximizing level of output and
2) the maximum profit generated, and show if marginal cost is increasing, decreasing or at its minimum at this point.
6
Select the correct answer from each drop-down menu.
Identify the interpersonal skills demonstrated in this scenario.
Belinda gets along well with her coworkers and managers because she doesn't judge people, even when she disagrees with them. She is
demonstrating the skill of
Harold is always in demand because he takes time to help others when they are struggling to complete a task. He is demonstrating the skill of
Reset
Next
Answer:xz
Explanation:xx
Answer:
Explanation:
Select the correct answer from each drop-down menu.
Identify the interpersonal skills demonstrated in this scenario.
Belinda gets along well with her coworkers and managers because she doesn’t judge people, even when she disagrees with them. She is demonstrating the skill of
respect for diversity
.
Harold is always in demand because he takes time to help others when they are struggling to complete a task. He is demonstrating the skill of
social sensitivity
.
Governments most often regulate essential services like water treatment by:
A. taking control over private corporations.
B. creating barriers to entry in monopolistic competition.
C. eliminating pure competition markets.
D. setting up natural monopolies.
SUBMIT
Setting up natural monopolies
The following information is available for Water Inc. Date Units Unit Cost January 1, 2020 (beginning inventory) 100 $50.00 Purchases: January 10, 2020 75 52.00 January 15, 2020 150 52.50 January 30, 2020 100 55.00 The company maintains a periodic inventory system. A physical count shows 125 units in stock on January 31. What is (a) ending inventory on January 31, and (b) cost of goods sold for January, using the FIFO inventory method
Answer:
125 and $15,156.6
Explanation:
The end inventory us 125 units and thus 300 units were sold
Artists Unlimited was formed to support the local art community. Which of the following activities would be considered unrelated business income?
Monthly rental fees for office space used by two small legal firms. The rental fees are used to make mortgage and interest payments on Artists Unlimited's building.
The answer is option A. Monthly rental fees for office space used by two small legal firms. According to question, Artists Unlimited was formed to support the local art community, So unrelated business income would be option A.
What does "business" mean to you?The activities of a person involved in the business of producing or offering goods or services with the goal of doing so for profit are also regarded as business activities. These could be commercial, or something else else.
What types of companies are examples?The creation of items, their sale, the purchase of land, buildings, and equipment, the acquisition of other businesses, the purchase of marketable securities, and receiving loans from financial institutions are a few examples.
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Complete question:
Artists Unlimited Was Formed To Support The Local Art Community. Which Of The Following Activities Would Be Considered Unrelated Business Income? A. Income From The Sale Of Tee Shirts That Feature Art Reproductions By Local Artists, Produced And Sold By Volunteers. B. Interest And Dividend Income From Investments That Were Donated By A Major Retail
artists unlimited was formed to support the local art community. which of the following activities would be considered unrelated business income?
A. income from the sale of tee shirts that feature art reproductions by local artists, produced and sold by volunteers.
B. interest and dividend income from investments that were donated by a major retail company.
C. sponsorship of an event by an art supply company, whose name was prominently displayed at the event.
D. Monthly rental fees for office space used by two small legal firms. The rental fees are used to make mortgage and interest payments on Artists Unlimited's building.
Agents and brokers are wholesaling intermediaries who take title to the goods and services they market.
True
False
Among department stores, specialty stores, drugstores, and convenience stores, the gross margin is highest for specialty stores.
True
False
Microtargeting is an effective tool for online retailing.
True
False
False, Agents and brokers are wholesaling intermediaries who do not take title to the goods and services they market.
True. Microtargeting is an effective tool for online retailing.
What is Microtargeting ?Microtargeting is a marketing technique that involves using data and analytics to identify and target specific segments of the market with customized messages and offers. It is often used in online retailing to reach potential customers with ads and other marketing materials that are tailored to their interests and preferences.Microtargeting can be an effective tool for online retailers because it allows them to reach highly specific and targeted audiences with personalized messages and offers. By focusing on specific segments of the market, retailers can increase the chances that their marketing efforts will be successful and generate a positive return on investment.To learn more about Microtargeting refer :
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Philosopher T.M. Scanlon makes four points about why we should be concerned with economic inequality. What did you think of his arguments? Are there any you find convincing? Explain your position.
Answer : yes , i find the following scriptures by philosopher convincing:
T.M. Scanlon, a philosopher, has made several points about why we should be concerned with economic inequality.
Fairness and Desert: Scanlon argues that economic inequality is a concern because it can violate principles of fairness and desert. He suggests that individuals should be rewarded based on their contributions and efforts rather than arbitrary factors like birth circumstances. This perspective implies that extreme economic disparities can undermine fairness in society.
Democratic Equality: Scanlon contends that economic inequality can undermine democratic equality by allowing the wealthy to exert undue influence over political decisions, potentially distorting democratic processes. This argument highlights the potential threat to the principle of political equality when wealth disparities are significant.
Social and Economic Power: Scanlon argues that economic inequality can lead to the concentration of social and economic power in the hands of a few, creating disparities in opportunities and social mobility. This perspective suggests that unequal distribution of resources can limit equal access to education, healthcare, and other important social goods.
Social Cohesion and Shared Identity: Scanlon posits that extreme economic inequality can erode social cohesion and undermine the sense of shared identity within a society. When there is a significant gap between the rich and the poor, it can lead to social divisions, conflicts, and a sense of alienation among different groups.
The persuasiveness of these arguments may vary depending on an individual's beliefs, values, and political ideology. Some may find Scanlon's points compelling, as they highlight the potential negative consequences of economic inequality on fairness, democracy, social mobility, and societal cohesion. Others may have different perspectives, emphasizing the importance of individual freedom, market dynamics, and the potential benefits of incentives provided by economic inequality.
It's crucial to engage in thoughtful discussions and consider multiple viewpoints to foster a comprehensive understanding of the complex issue of economic inequality.
Dog Up! Franks is looking at a new sausage system with an installed cost of $520,000. This cost will be depreciated straight-line to zero over the project’s five-year life, at the end of which the sausage system can be scrapped for $83,000. The sausage system will save the firm $154,000 per year in pretax operating costs, and the system requires an initial investment in net working capital of $32,500. If the tax rate is 23 percent and the discount rate is 11 percent, what is the NPV of this project?
The net present value of the project is $-40,793.30.
What is the net present value?Net present value is a capital budgeting method that is used to determine the profitability of a project. The net present value is the present value of the cash flows expected from the project less the cost of the project.
When using the net present value, a project should only be accepted if its net present value is positive. This is because it means that the project is profitable.
Cash flow from the project = (amount the project will save the firm - depreciation) x (1 - tax) + depreciation
Terminal year cash flow = salvage value + net working capital - tax(salvage value - book value)
Depreciation = (cost of the asset - salvage value) / useful life
($520,000 - 0) / 5 = $104,000
Cash flow from the project = ($154,000 - $104,000)(1 - 0.23) + 104,000
= ($50,000 x 0.76) + 104,000 = $142,000
Terminal year cash flow = $83,000 + $32,500 - (0.23 x $32,500) = $108,025
Net present value can be calculated using a financial calculator:
Cash flow in year 0 = $520,000 + $32,500 = $552,500
Cash flow from year 1 to 4 = $142,000
Cash flow in y ear 4 = $108,025
I = 11%
NPV = $-40,793.30
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A high Power Distance Index score implies that the people who hold power in a country are entitled to privileges.
a. True
b. False
Answer:
a. True
Explanation:
The Power-Distance Index refers to the relationship and interaction between a high ranking individual and a low ranking individual. The index depends on how a low ranking individual reacts to a high ranking individual.
It measures the degree where the members of a society or group accepts the hierarchy of the power and the authority.
Thus according to the high power distance index score, individuals with high power are entitled to number of privileges in a country or in society.
Hence the answer is TRUE.
Why is pillar content important
Content pillars will help you get clarity on your niche, while also building trust and helping your audience grow faster. There's another huge benefit: By creating content your target audience wants, they will spend longer on your site's pages and engage with your posts.
Braynerd Chemicals sells 40 million shares of stock in an SEO—25 million being primary shares issued by the company and 15 million being secondary shares sold by investors in the company. At the time of the sale, Braynerd's stock was selling at $21.00 per share. If the underwriter charges 5% of the gross proceeds as a fee, how much money was raised in the sale?
Answer: $498.75 million
Explanation:
Of the 40 million shares sold by Braynerd Chemicals, 15 million were sold as secondary shares by investors in the company. The proceeds from these 15 million will therefore not go to the company but to the investors so they are not counted.
Gross total money raised will be;
= 25 million * 21.00
= $525 million
The Underwriter charges 5% of the gross amount as a fee so the Net amount raised will be;
Net Total = 525 * ( 1 - 5%)
Net Total = $498.75 million
scholars that tested the trade off theory of capital structure and confirmed that it works
The trade-off theory of capital structure suggests that there is an optimal level of debt for a firm .
What is capital structure ?Where the benefits of debt financing (such as tax shields and increased leverage) are balanced against the costs (such as increased bankruptcy risk and agency costs).
Over the years, many scholars have tested the validity of the trade-off theory of capital structure, and some have found evidence that supports it. Here are a few examples:
Modigliani and Miller (1958) first proposed the trade-off theory and suggested that there was an optimal level of debt for firms. They argued that, in the absence of taxes and bankruptcy costs, the capital structure of a firm would be irrelevant. However, in the presence of taxes and bankruptcy costs, there would be an optimal level of debt.
Rajan and Zingales (1995) studied a sample of 7,000 firms from 32 countries and found that the optimal level of debt varied across countries, depending on factors such as the legal system, tax code, and financial system. They also found evidence that firms with more growth opportunities tended to have lower debt ratios, consistent with the trade-off theory.
Frank and Goyal (2003) analyzed data from 1971 to 1998 for a sample of US firms and found that firms tended to adjust their capital structure towards a target level of debt. They also found evidence that the target debt ratio was influenced by factors such as tax rates, profitability, and asset tangibility.
Overall, while there is some evidence that supports the trade-off theory of capital structure, it is important to note that other theories, such as the pecking order theory and the agency theory, also provide alternative explanations for firms' capital structure decisions.
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Rachel is a high school student who enjoys working with people. She prefers to avoid working with math and new technologies. She plans on earning a bachelor's in marketing to secure a high-paying position with the opportunity for career advancement. Which of the following careers should Rachel consider? A. Marketing research analyst B. Public relations manager C. Marketing data analyst D. Web developer
Answer:
B. Public relations manager
Explanation:
Answer:b. public relations manager
Explanation:a. p. e. x.