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
what is cash flow??????
Answer:
A cash flow is a real or virtual movement of money: a cash flow in its narrow sense is a payment, especially from one central bank account to another; the term 'cash flow' is mostly used to describe
Answer:
the answer above is right
Explanation:
A _____ is limited to a select group of suppliers who provide critical high value items to the firm.
Answer:
The answer is partnered supplier
Explanation:
A partnered supplier is limited to a select group of suppliers who provide critical high value items to the firm.
Please help me in this assignment. Assume a project, other than your assignment, such as real estate, infrastructure development, industrial, or software development etc. and discuss that how guiding principle of PMI Standards for project risk management life cycle shall be undertaken at the organizational level of that particularly identified project (what the organization needs to do).
Answer:
DOES THIS HELP
Explanation
Many different professions contribute to the theory and practice of project management. Engineers and architects have been managing major projects since pre-history. Since approximately the 1960s, there have been efforts to professionalize the practice of project management as a specialization of its own. There are many active debates around this: Should project management be a profession in the same way as engineering, accounting, and medicine? These have professional associations that certify who is legally allowed to use the job title, and who can legally practice the profession. They also provide a level of assurance of quality and discipline members who behave inappropriately.
Melanie is ramping up for big sales this summer at the store. This week was the sidewalk sale in town, and things were hopping. There were sales throughout the store and a big run on supplies.
Thursday, August 13, 2026
There were several small sales paid with cash; create a customer called Daily Sales and post a sales receipt, 2026, for 12 Fresh Flower Bouquets.
Jennifer Brown placed an order for Bridal Flowers; she’ll come back and pay in 15 days, invoice 2027.
Cheque 239 came in the mail to pay the outstanding invoice for H2H Medical Arts for May 29.
Received bill A-175 from Flower Growers Corp for $565 (account/category: Flower Purchases and Supplies). It is due in 30 days.
Paid for a delivery of a small cooler and some bottled water to keep on hand; $205.19 with TD VISA card (account/category: Office expenses).Paid for a push broom and bathroom supplies at Office Team with the TD VISA; $117.55 (account/category: Office expenses)
.Paid for a push broom and bathroom supplies at Office Team with the TD VISA; $117.55 (account/category: Office expenses).
The vendor issues a sales receipt at the time of the transaction as proof of the goods or services delivered and the price the customer paid.
What format do you use to record daily sales transactions?When using a columnar sales register instead of a cash register, you can record cash receipts on a daily cash sheet and sales on a sales register. Just a log of all the sales made that day, the sales register is.
How do cash sales and receipts differ from one another?It's not necessary to get actual cash while making a cash deal. in thes the the the the the the. a the. of the of the bank. the be thes. As credit is not given out by the seller, this is what sets it apart.
To know more about sales receipt visit :-
https://brainly.com/question/29833632
#SPJ1
If the U.S. dollar appreciates in the foreign exchange market, U.S. exports will be __________ and U.S. imports will be __________.
decrease and increases
What are some tasks commonly performed in Regulation jobs? Check all that apply.
Answer:
C,E,F. C-Gary attends a state fair to sell his handmade clothing in a booth. E-Yolanda uses a computer tablet to draw an illustration for a textbook. F-Shirley has a meeting with a customer to discuss a wedding she will be photographing.
Explanation:
I just took the instruction
Answer:
The correct answer is A D E F
Explanation:
Good luck, I did the instruction!
If Amelia would like to double her money in twelve years, how much interest does she need to earn O 12 percent O 16.6 percent O 6 percent 10 percent
Out of the given answer choices, the interest rate that Amelia needs to earn to double her money in twelve years is 16.6 percent.
To find out how much interest Amelia needs to earn to double her money in twelve years, we need to use the compound interest formula.
This formula is used to determine the future value of an investment based on the principal, the interest rate, the number of compounding periods, and the time involved.
The formula is as follows: FV = PV x (1 + r/n)^(n*t)where FV = future value, PV = present value (the amount of money Amelia currently has), r = annual interest rate, n = number of times the interest is compounded per year, and t = time in years.
To double her money, Amelia needs to have a future value that is twice her present value. Therefore, we can set FV = 2PV and solve for r.
2PV = PV x (1 + r/n)^(n*t)Dividing both sides by PV, we get:2 = (1 + r/n)^(n*t)
Taking the natural logarithm of both sides, we get: ln(2) = ln[(1 + r/n)^(n*t)]
Using the power rule of logarithms, we can simplify the right side of the equation to ln(2) = (n*t) ln(1 + r/n)
Dividing both sides by (n*t), we get:ln(2) / (n*t) = ln(1 + r/n)
Finally, we can solve for r by raising both sides as the power of e: e^(ln(2) / (n*t)) = 1 + r/n
Subtracting 1 from both sides and multiplying by n, we get:r = n x (e^(ln(2) / (n*t)) - 1)
Plugging in the values given, we get:r = n x (e^(ln(2) / (n*12)) - 1)
We don't know the value of n, so we can try each of the answer choices to see which one gives us a value of r that works.
Using a financial calculator or a spreadsheet program like Excel, we can calculate the values of r for each interest rate.
Using 12 percent: r = 1 x (e^(ln(2) / (1*12)) - 1) = 0.0956 or 9.56 percent
Using 16.6 percent: r = 1 x (e^(ln(2) / (1*12)) - 1) = 0.1407 or 14.07 percent
Using 6 percent: r = 1 x (e^(ln(2) / (1*12)) - 1) = 0.0488 or 4.88 percent
Using 10 percent: r = 1 x (e^(ln(2) / (1*12)) - 1) = 0.0794 or 7.94 percent
For more such questions on interest rate
https://brainly.com/question/29451175
#SPJ8
Suppose the United States is trading with a new country, Muffinville. The amount of imported and exported goods and services from the United States to Muffinville is shown below:
Exports to Muffinville Imports from Muffinville
Goods $52 $29
Services $22 $28
What is the United States’ trade balance with Muffinville? $
The overall trade balance is the sum of the net values of goods and services traded, which is $23 - $6 = $17. The United States has a trade surplus of $17 with Muffinville.
What is trade surplus?The valve of exports to value of imports
The total value of exports to Muffinville is $52 + $22 = $74.
The total value of imports from Muffinville is $29 + $28 = $57.
the trade balance between the United States and Muffinville is:
$74 (exports) - $57 (imports) = $17
The United States has a trade surplus of $17 with Muffinville.
Therefore, The overall trade balance is the sum of the net values of goods and services traded, which is $23 - $6 = $17. The United States has a trade surplus of $17 with Muffinville.
Learn more about trade here:
https://brainly.com/question/29774239
#SPJ1
While going into a forest and clear-cutting all of the trees may not be environmentally friendly, it is very efficient and less than sustainable practices.
1.) damaging
2) dangerous
3.) effective
4.) expensive
clear-cutting all of the trees damaging and dangerous practice, hence the correct options are 1 and 2.
What is deforestation?Deforestation, also known as forest clearance, is the removal of a forest or tree stand from land before it is put to another use other than that of a forest.
Conversion of forest land to farms, ranches, or urban use is a form of deforestation. Tropical rainforests are where deforestation is most prevalent.
Forests have been cleared throughout history and into the modern era to make room for agriculture and animal grazing as well as to obtain wood for fuel, manufacturing, and construction.
Learn more about deforestation here:
https://brainly.com/question/579463
#SPJ1
Two key aspects of financial planning are cash planning and profit planning. Cash planning involves the preparation of the cash budget and profit planning involves preparation of pro forma statements. To make cash budget and pro forma statements for a firm, accounting knowledge is needed. Do accounting courses you took before help you better understand how to make cash budget and pro forma income statement and balance sheet? Explain.
Yes. Accounting courses I took before helps us understand how to make cash budget and pro forma income statement and balance sheet.
Here's how accounting courses can help individuals in creating cash budgets, pro forma income statements, and balance sheets:
Cash Budget: Accounting courses teach students about the importance of cash flow management and how to prepare a cash budget. Pro Forma Income Statement: Accounting courses teach students how to analyze historical financial data and use it to forecast future performance. Balance Sheet: Accounting courses provide a comprehensive understanding of balance sheets and their components. Students learn how to analyze assets, liabilities, and shareholders' equity to assess the financial position of a company.By studying accounting, individuals gain a solid foundation in financial concepts, reporting standards, and analytical techniques. This knowledge equips them with the skills necessary to create cash budgets, pro forma income statements, and balance sheets effectively.
For such more question on cash budget:
https://brainly.com/question/28494878
#SPJ8
1.Why is knowledge of consumer behavior important to the marketer?
The knowledge of consumer behavior is extremely important to the marketer in order to provide the customers with best possible products and earning profit for himself sideways.
CONSUMER BEHAVIOR is the study of consumers and the processes they use to select the product. It particularly deals with the psychological of the customer i.e., What the think? What they want? What are the trends they are interested in? At what price do they feel comfortable? And so on.
When the marketer understands the mental state of the consumer then he/she becomes fit to earn and compete with his fellow marketers. This enables him to provide the customers with the products of their choice at reasonable prices. This is how he sustains in market and earns profit.
Example: a marketer understands that customers are attracted by discounts. So he would increase the actual cost of product and increase the discount price. The selling price is not changed but since the customer thinks he is getting more discount, he is attracted.
Consumer Behavior is of great significance to marketers because it helps them to survive in the industry. It helps them to analyze business trends and helps to keep up with their competitors. It also helps to retain their customers.
Consumer buying behavior refers to the analysis of consumers' actions when selecting whether to get a good that meets their needs. it's an investigation into how customers behave and what motivates them to purchase and use particular goods.
The study of consumer purchasing behavior is crucial for marketers because it helps them comprehend what customers anticipate from them. Understanding what prompts a consumer to get a product is useful.
The importance of consumer behavior to marketers is discussed below:
Consumer diversification: It's a technique used in marketing to set one consumer apart from a group of related consumers. This aids in creating a target market of consumers who exhibit the same or comparable behavior.Customer Retention: Consumer behavior is incredibly crucial for both attracting new consumers and keeping hold of current ones. A satisfied customer is more likely to form the same purchase in the future. Therefore, it's important to sell the product in a way that encourages repeat purchases from customers.Forecasting Demand Patterns: By doing a consumer behavior analysis, a business can avoid spending plenty of money and energy on creating a product that won't be popular with customers.Competitiveness: Understanding and handling the competition are made easier by studying consumer behavior. Your brand may have a competitive edge supported consumer expectations.Develop Unique New Technologies: Businesses continually exerting to increase the likelihood that their novel ideas or new products will succeed. Amongst the foremost crucial methods is to carry out a thorough and careful study of consumer behavior.Learn more about consumer behavior : https://brainly.com/question/9566137
6. Suppose that the consensus forecast of security analysts of your favorite company is that earnings next year will be $5.00 per share. The company plows back 50% of its earnings and if the Chief Financial Officer (CFO) estimates that the company's return on equity (ROE) is 16%. Assuming the plowback ratio and the ROE are expected to remain constant forever: Suppose that you are confident that 10% is the required rate of return on the stock. What does the market price of $50.00 per share imply about the market's estimate of the company's expected return on equity? (please give a number) 1 point
10.0000%, market price of $50.00 per share imply about the market's estimate of the company's expected return on equity.
The given amount is;
The market price of $50.00 per share.The company's expected return on equity is 10%.ROE x blowback ratio16.0000% x 50.0000%8.0000%Because the needed rate of return to the stock is 10%, the market's assessment of the company's expected return on equity is greater than that derived using the plowback ratio and the ROE.
As a result, the significance of the market price of $50.00 per share imply about the market's estimate of the company's expected return on equity are the aforementioned.
Learn more about on market price, here:
https://brainly.com/question/31964955
#SPJ1
This answer wasn't correct last time sadly so I'm not sure how to correctly do the problem. Here's the screenshot detailing it
Based on the benefits that John Cotton receives from his employer, the taxable benefits for 2021 will be $0.
Which benefits are taxable?Personal protective equipment are tax exempt because they are treated as Medical expenses.
Employer-provided cell phone allowances are not taxable if used for business purposes. Meals are also tax exempt when the employer provides it inside business premises.
No benefit is therefore taxable.
Find out more on tax-deductible expenses at https://brainly.com/question/936396.
#SPJ1
Retained earnings: Multiple Choice Is the cumulative net income (and loss) not distributed as dividends to its stockholders. Can only be appropriated by setting aside a cash fund. Represent an amount of cash available to pay shareholders. Are never adjusted for anything other than net income or dividends. Represents the amount shareholders are guaranteed to receive upon company liquidation.
Retained earnings refers to: A. the cumulative net income (and loss) not distributed as dividends to its stockholders.
Stockholder's equity can be defined as the amount of assets that are remaining or the residual interest of assets in a business after all liabilities have been settled or deducted.
In Financial accounting, stockholder's equity are primarily generated from two (2) main sources and these include;
Capital invested by shareholders.Retained earnings.Retained earnings are also referred to as accumulated earnings and it can be defined as the total amount of net income and loss that is held by a corporation for its future use, after paying out dividends to its stockholders. Thus, retained earnings are not distributed as dividends to a corporation's stockholders.
Read more on retained earnings here: https://brainly.com/question/25631040
Larry was shopping at a Target store when he suddenly remembered he had an appointment with his Law 240
professor. Larry placed his backpack on a table, pulled his calendar notebook out of his backpack to confirm the
time he wrote down with the time stated in his phone calendar app, and quickly discovered that he would be late
for the appointment. Larry put the notebook back into his backpack and ran out of the store. As he exited, the
security guard asked Larry to accompany the guard to an office at the back of the store. Larry went with the guard.
Once there, the guard accused Larry of shoplifting and searched the backpack. The guard found the calendar
notebook, saw that it was already used and marked in, and apologized to Larry, explaining that the store had
recently been experiencing an outbreak of thefts. The whole incident took less than five (5) minutes. Under these
circumstances:
a. The Target store has a conditional privilege to stop persons it believes are shoplifting and the guard did not
detain Larry for an unreasonable period.
b. Larry can sue the Target store for false imprisonment.
c. the Target store has no conditional privilege to stop persons it believes are shoplifting and will be liable for
punitive damages.
d. Larry can sue the Target store for emotional distress and battery.
Answer:
d
Explanation:
Amber works as an insurance claims agent in charge of assisting policyholders when an accident has occurred. What task might Amber perform as part of her job?
A. buying and selling stocks for her clients
B. running an analysis of a small business's spendings
C. recording items damaged in a house fire
Answer:
the answer would be B
Explanation:
please tell me if im wrong or right
Answer:
B
Explanation:
Select the examples that best demonstrate likely tasks for Transportation Systems/Infrastructure Planning, Management, and Regulation workers. Check all that apply.
Tanya sells airplane tickets to customers.
Stefan repairs bus engines that aren’t working properly.
Fletcher gathers and analyzes information about traffic accidents at an intersection.
Heidi sells vehicle parts to repair shops.
Jay inspects the cargo being loaded onto a ship.
Edie explains the goals of a transportation project to members of the community.
Answer:
C,E,F
Explanation:
Edge 2021
Answer:
C, E, F
Explanation:
Its correct i did it
If IBM has a beta of 1.2 when the risk-free rate is 6% and the expected return on the market portfolio is 18%, the expected return on IBM is:
Answer:
20.4%
Explanation:
Calculation to determine what the expected return on IBM is:
Using this formula
E(Ribm)=Risk-free rate+(Market portfolio -Risk-free rate) Beta
Let plug in the formula
E(Ribm) = 6% +(18%-6%)1.2
E(Ribm)=6%+12%(1.2)
E(Ribm)=6%+14.4%
E(Ribm)=20.4%
Therefore the expected return on IBM is:20.4%
Annual maintenance costs for a particular section of highway pavement are $2,000. The placement of a new surface would reduce the annual maintenance cost to $500 per year for the first five years and to $1,000 per year for the next five years. The annual maintenance after ten years would again be $2,000. If maintenance costs were the only savings, what is the maximum investment at the current time that can be justified for the new surface, with interest at 4%
An amount of $10,337 is the maximum investment at the current time that can be justified for the new surface.
Here, the Maximum investment equals the Present Worth of Benefits.
Maximum investment = $1,000 (P/A, 4%, 10) + $500 (P/A, 4%, 5)
Maximum investment = $1,000 (8.111) + $500 (4.452)
Maximum investment = $8,111 + $2,226
Maximum investment = $10,337
Hence, the amount of $10,337 is the maximum investment at the current time that can be justified for the new surface.
Read more on Annual maintenance
brainly.com/question/10408374
Computers used to produce magazine articles is it land or capital
Answer:
captial
Explanation:
Land means things like natural resources, labor is the manual work force that either makes capital products or turns natural resources into a useable product to work, and capital is anything made that is used to make something else.
When computers are used to produce magazine articles the main factor of production is capital.
To an economist, capital often refers to liquid assets. In other words, it is cash on hand that may be used on either daily requirements or long-term initiatives.
Capital refers to the funds or resources utilized to launch a firm. Capital is a resource that might be money or anything in kind that is used to buy more raw materials and inputs. It is a critical component since every firm needs some initial money.
Therefore, the main factor of production is capital.
To know more about the capital, visit:
https://brainly.com/question/33848256
#SPJ6
This is an incomplete question, the complete question is:
What is the factor of production when computers are used to produce magazine articles?
The money supply (Ms) in the economy is defined as the circulation of money (that consists of currency coins, paper notes, and bank balances) in the economy. Alternatively, the money supply refers to the safe assets that individuals and businesses hold for the purpose of either making payments or short-term investments.
The central bank in the economy has developed various measures of money of which the M1 and M2 are two measures. The M1 is the most liquid measure of money and is comprised of the currency, traveler’s check, and checking account deposits. Mathematically, M1 is derived as:
M1 = Currency + traveler check + checking account deposits.
The M1 is the most liquid form of money since the components included in it are easily convertible into cash without a loss in their original value.
M2 is a relatively broader measure of Ms but is also a relatively less liquid measure compared to M1. This is because M2 consists of currency, traveler’s checks, checking deposits, savings accounts, and money market mutual funds. As such, M2 is the sum of M1 and savings accounts and money market deposits. Mathematically, M2 can be described as:
M2 = M1 + savings accounts deposits + money market mutual funds.
Mutual funds are components of the M2 money supply while checking account balances are the components of the M1 money supply. When $2,000 are taken away from the mutual funds and deposited in the checking accounts, there would be an increase of $2,000 in the M1 money supply since the checking account component of M1 would increase by $2,000.
However, there would be no change in the M2 money supply because the withdrawal of $2,000 from the mutual funds would decrease the M2 by $2,000 initially. However, when this $2,000 amount is kept in the checking account, the M1 increases, and since M1 is also included in M2, M2 will increase by $2000. As such, the net effect in the M2 measure would be zero.
As the money supply consists of both currency & balances in different accounts, it is used by top financial institution to make economic decisions.
What is a money supply?This refers to the total amount of money such as cash, coins, balances in bank accounts that are in circulation in a year.
M1The M1 means the most liquid money that comprised of the currency, traveler’s check, and checking account deposits.
M1 = Currency + traveler check + checking account deposits.M2The M2 is broader measure of Ms although it is has a less liquid measure compared to M1 and consists of currency, traveler’s checks, checking deposits, savings accounts, money market mutual funds etc
M2 = M1 + savings accounts deposits + money market mutual funds.M3The M3 is broader measure of Ms as it includes M2 money as well as large time deposits, institutional money market funds, short-term repurchase agreements, larger liquid funds etc.
M3 = M1 + Time deposits with commercial banks (Fixed deposits, Recurring deposits).Read more about money supply
brainly.com/question/3625390
#SPJ1
when dr. goldfinger decides on the companies in which he will invest, a ____ issue is being addressed. group of answer choices: a) microeconomic b) macroeconomic c) positive economic d) normative economic
When Dr. Goldfinger decides on the companies in which he will invest, a b) microeconomic issue is being addressed.
What's macroeconomicMicroeconomics is the branch of economics that studies the behavior of individual consumers, firms, and industries and how they interact in markets. It is concerned with decision-making at the individual or firm level and how these decisions affect the allocation of resources and the price of goods and services.
In contrast, macroeconomics is the branch of economics that studies the behavior of the economy as a whole, including issues such as inflation, unemployment, and economic growth
In this case, Dr. Goldfinger's decision to invest in certain companies is an example of microeconomic decision-making, as it involves the allocation of resources at the individual level.
Learn more about macroeconomic at
https://brainly.com/question/28047218
#SPJ11
What are clothing is considering the introduction of a new baseball cap for sales by local vendors the company has collected the following price and cost characteristics sales price 19 per unit variable cost 3 per unit fixed cost 54,000 per month assuming that the company plans to sell 8000 per units. What is the impact on operating profit if the sales price decreases by 5% or increases by 10%?
Answer:
The impact on operating profit if the sales price decreases by 5% or increases by 10% can be calculated using the following formula:
Operating profit = (Sales Price - Variable Cost) * Quantity - Fixed Cost
First, we need to calculate the current operating profit using the given information:
Sales Price = $19
Variable Cost = $3
Fixed Cost = $54,000
Quantity = 8,000
Operating profit = ($19 - $3) * 8,000 - $54,000 = $104,000
Now, we can use this information to calculate the impact on operating profit if the sales price decreases by 5%:
Decrease in Sales Price = $19 * 0.05 = $0.95
New Sales Price = $19 - $0.95 = $18.05
New Operating profit = ($18.05 - $3) * 8,000 - $54,000 = $100,200
Decrease in operating profit = $104,000 - $100,200 = $3,800
And if the sales price increases by 10% :
Increase in Sales Price = $19 * 0.1 = $1.9
New Sales Price = $19 + $1.9 = $20.9
New Operating profit = ($20.9 - $3) * 8,000 - $54,000 = $111,200
Increase in operating profit = $111,200 - $104,000 = $7,200
In conclusion, if the sales price decreases by 5%, the operating profit will decrease by $3,800 and if the sales price increases by 10%, the operating profit will increase by $7,200.
You have been appointed as a manager at XTZ company. Your style of leading is an Autocratic style. this is a style where you take strict controls and actions over all management activities. the old culture that was present at XTZ company was very flexible due to the nature of old manager and all employees are now resisting to adjust to the new manager.Explain how are you going to solve this matter as a manager
It's important for the manager to change his leadership style in order to lead the workforce.
Who is a manager?It should be noted that a manager simply means an individual who leads a team to achieve a common goal.
In this case, it's important for the manager to change his leadership style in order to lead the workforce. This is needed to being about unity and promote growth.
Learn more about managers on:
https://brainly.com/question/24553900
what can netflix, apple, and walmart incorporate that could improve their brand on a global level.
The ways to improve their brand on a global level are:
Netflix: Content Localization and Original Content Investment.Apple: Innovation and Differentiation and User Experience and Ecosystem IntegrationWalmart: E-commerce and Digital Transformation and Sustainability Initiatives.Here are some potential strategies that Netflix, Apple, and Walmart could consider to improve their brand on a global level:
Netflix:
Content Localization: Netflix could invest more in localizing its content to cater to the preferences and cultural nuances of different regions. Original Content Investment: Continuing to invest in high-quality original content across different genres and languages can help Netflix stand out in the competitive streaming market.Apple:
Innovation and Differentiation: Apple has a strong reputation for innovation, but continued investment in research and development is crucial to maintain its competitive edge. User Experience and Ecosystem Integration: Apple could focus on enhancing the overall user experience by further integrating its products and services within its ecosystem.Walmart:
E-commerce and Digital Transformation: As the retail landscape continues to evolve, Walmart could further invest in e-commerce capabilities and digital transformation. Sustainability Initiatives: Demonstrating a strong commitment to sustainability can significantly enhance Walmart's brand reputation.For such more question on Ecosystem:
https://brainly.com/question/4278207
#SPJ8
Cause of globalisation on the economy of South Africa
Answer:
There is a general consensus (see Rodrik, 1997; Frankel, 2000; Hemmer, 2001) that the driving forces behind economic globalisation are a reduction in transport and communication costs in the private sector, reduced policy barriers to trade and investment by the public sector, an increase in the availability of and ...
Windborn Company has 15,000 shares of cumulative preferred 1% stock, $100 par and 50,000 shares of $30 par common stock.
The following amounts were distributed as dividends:
20Y1 $30,000
20Y2 12,000
20Y3 45,000
Common Stock
(dividends per share)
I cannot figure out Y1 or Y3
The dividends per share for the common stock in year 1 (Y1) is $0.60 per share, and in year 3 (Y3) is $0.90 per share.
To calculate the dividends per share for the common stock in year 1 (Y1) and year 3 (Y3), we need to determine the total dividends distributed and divide them by the number of common shares outstanding.
Given information:
Cumulative preferred stock: 15,000 shares, 1% dividend
Common stock: 50,000 shares, $30 par value
Dividends distributed:
Y1: $30,000
Y2: $12,000
Y3: $45,000
First, let's calculate the dividends per share for the cumulative preferred stock in each year.
Dividends per share for cumulative preferred stock = (Par value * Dividend rate) / Number of preferred shares
Dividends per share for cumulative preferred stock = ($100 * 1%) / 15,000 shares
Dividends per share for cumulative preferred stock = $1 / 15,000
Dividends per share for cumulative preferred stock = $0.000067 per share
Now, let's calculate the dividends per share for the common stock in year 1 (Y1) and year 3 (Y3).
For Y1:
Total dividends for common stock = Dividends distributed - (Dividends per share for cumulative preferred stock * Number of preferred shares)
Total dividends for common stock = $30,000 - ($0.000067 * 15,000)
Total dividends for common stock = $30,000 - $1.005
Total dividends for common stock = $29,998.995
Dividends per share for common stock in Y1 = Total dividends for common stock / Number of common shares
Dividends per share for common stock in Y1 = $29,998.995 / 50,000 shares
Dividends per share for common stock in Y1 = $0.5999799 per share (rounded to $0.60 per share)
For Y3:
Total dividends for common stock = Dividends distributed - (Dividends per share for cumulative preferred stock * Number of preferred shares)
Total dividends for common stock = $45,000 - ($0.000067 * 15,000)
Total dividends for common stock = $45,000 - $1.005
Total dividends for common stock = $44,998.995
Dividends per share for common stock in Y3 = Total dividends for common stock / Number of common shares
Dividends per share for common stock in Y3 = $44,998.995 / 50,000 shares
Dividends per share for common stock in Y3 = $0.8999799 per share (rounded to $0.90 per share)
For such more question on dividends:
https://brainly.com/question/30360786
#SPJ8
In recent years, hours of market work have declined and leisure time increased. This trend
a. causes GDP to rise.
b. causes GDP to fall.
c. does not improve the well-being of people because they do not value leisure.
d. is not accounted for in GDP.
Explanation:
option B.........i guess
8) The term "fair market value" refers to
A) what an asset could be sold for today.
B) what you paid when you purchased an asset.
C) what an asset will be worth at some point in the future.
D) how the price of an asset has changed since its original purchase.
The liabilities of Oriole Company are $117,000 and the owner’s equity is $227,000. What is the amount of Oriole Company’s total assets?
Answer:
$344,000
Explanation:
The applicable formula, in this case, is the accounting equation.
Assets= Liabilities + Equity.
Liabilities =$117,000
Equity =$227,000
Assets = $117,000 + $227,000
Assets = $344,000
Answer:
$344,000
Explanation:
liabilities= $117,000
--------> assets= $344,000
equity= $227,000