The company's fee for preferred stock financing is Annual dividend=75*8%=$6
Stock financing is the proper choice for organizations whose modern assets in large part include warehouse inventory. stock financing permits a company to efficaciously control its circulating capital and to enhance coins glide. the security for warehouse financing is new motors that are bought, in inventory, or in transit.
Common stock financing increases the borrowing capacity of the company. due to the fact, that commonplace stock gives a cushion in opposition to losses of creditors, the sale of not unusual inventory typically increases the credit score worthiness of the company.
Debt financing happens whilst an employer raises money through promoting debt contraptions to traders. Debt financing is the other of equity financing, which entails issuing stock to raise cash. Debt financing happens while a company sells fixed-income products, along with bonds, payments, or notes.
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"
Suppose the income elasticity of demand for a product is equal
to -2.4 (negative 2.4). If the economy improves
next year and incomes rise 15%, quantity demanded will:
fall 36%
rise 16%
f
"
The quantity demanded will rise by 16% if the economy improves next year and incomes rise by 15%.
The income elasticity of demand measures the responsiveness of quantity demanded to changes in income. A negative income elasticity indicates an inverse relationship between income and quantity demanded, meaning that as income increases, quantity demanded decreases.
In this case, the income elasticity of demand is -2.4, indicating that a 1% increase in income will result in a 2.4% decrease in quantity demanded. Therefore, if incomes rise by 15%, we can expect a decrease in quantity demanded of 15% multiplied by the income elasticity (-2.4). This gives us a decrease of 36% (-2.4 x 15% = -36%).
However, the question asks about the impact on quantity demanded, not the percentage change in quantity demanded. Since the economy is improving and incomes are rising, the quantity demanded will increase, not decrease. Therefore, the correct answer is that the quantity demanded will rise by 16% (the positive counterpart of the 36% decrease).
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Complete question:
Suppose the income elasticity of demand for a product is equal to -2.4 (negative 2.4). If the economy improves next year and incomes rise 15%, quantity demanded will:
fall 36%
rise 16%
fall 16%
rise 36%
A product has a selling price of $10 per unit, variable expenses of $6 per unit and total fixed costs of $35,000. If 10,000 units are sold, net operating income will be $.
If 10,000 units are sold, net operating income will be $5,000.
Net operating incomeUsing this formula
Net operating income =[(Selling price-Variables expenses)×Units sold]-Total fixed costs
Let plug in the formula
Net operating income=[($10-$6)x10000] - $35000
Net operating income =($4×10,000)-$35,000
Net operating income =$40,000-$35,000
Net operating income =$5,000
Inconclusion if 10,000 units are sold, net operating income will be $5,000.
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Calculate real gdp in 2020 and real gdp in 2021. real gdp in 2020 is $ 420. real gdp in 2021 is $ nothing.
Modern-day-dollar GDP increased 10.zero percent, or $2.10 trillion, in 2021 to a degree of $22.99 trillion, in contrast to a lower of two.2 percentage, or $478.nine billion, in 2020 (tables 1 and 3).
In general, calculating actual GDP is executed by dividing nominal GDP through the GDP deflator (R). as an instance, if an economic system's charges have elevated by using 1% because the base 12 months, the deflating number is 1.01. If nominal GDP was $1 million, then actual GDP is calculated as $one million / 1.01, or $990,099.
GDP in the united states of america averaged 7927.fifty six USD Billion from 1960 till 2021, achieving an all time high of 22996.10 USD Billion in 2021 and a file low of 543.30 USD Billion in 1960. This web page provides - usa GDP - actual values, ancient records, forecasts, charts, information, financial calendars all-timed information.
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Why does the united states have limited to no trade with countries like cuba and venezuela?.
On September 4, 1961, partly in response, Congress handed the Foreign Assistance Act, a Cold War Act (among many different measures) that prohibited useful resource to Cuba and approved the President to impose a whole trade embargo towards Cuba.
What is the alternate relationship between the US and Cuba?U.S. diplomatic illustration in Cuba is handled with the aid of the United States Embassy in Havana, and there is a comparable Cuban Embassy in Washington, D.C. The United States, however, continues to preserve its commercial, economic, and economic embargo, making it unlawful for U.S. corporations to do enterprise with Cuba.
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Why can consumers have influence over politicians?
O A. Government agencies are required to address consumer
complaints.
B. Consumers are able to boycott politicians' re-election campaigns.
C. Corporations use profits from consumers to lobby the
government.
D. Politicians rely on the votes of consumers to keep them in office.
SUBMIT
Answer:
it's most likely B or D. but you need to double check
Answer:
D. Politicians rely on the votes of consumers to keep them in office.
Explanation: i took the test.
Shane is trying to become better active reader. He has spread his reading assignments over the course of a few days, reads when he is most alert, and only reads in place where he can concentrate. What else can he do to be a better active reader?
Answer: Annotate the text
Explanation:
The options include:
Rewrite what he reads.
Annotate the text.
Try to visualize the text in his head.
Read more pages per day.
Based in the information given, another thing that Shane can do to be a better active reader is for him to annotate the text.
Annotating the text simply means that he can highlight the texts or underlining the key information in the text. He can also write few notes by the margins to help him understand what he's reading better.
Tano company issues bonds with a par value of $180,000 on january 1, 2021. The bonds' annual contract rate is 8%, and interest is paid semiannually on june 30 and december 31. The bonds mature in three years. The annual market rate at the date of issuance is 10%, and the bonds are sold for $170,862.
The amount of the discount on these bonds at issuance is $3,414. Discount can be meant as the discount is the difference between the face value and the sale price of the bonds, multiplied by the number of years to maturity.
The amount of the discount on these bonds at issuance can be calculated by subtracting the sale price of the bonds from the face value of the bonds, and then multiplying by the number of years to maturity. The sale price is often shown in percentage.
Discount = (Face value - Sale price) x (Number of years to maturity)
Discount = (180,000 - 170,862) x 3
Discount = $1,138 x 3 = $3,414
So the amount of the discount on these bonds at issuance is $3,414.
The complete question is.
Tano issues bonds with a par value of $180,000 on January 1, 2016. The bonds' annual contract rate is 8%, and interest is paid semiannually on June 30 and December 31. The bonds mature in three years. The annual market rate at the date of issuance is 10%, and the bonds are sold for $170,862. 1. What is the amount of the discount on these bonds at issuance?
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Which of the following statements is correct? A. When an insurance premium is paid in advance, the payment is normally recorded in a liability account called Prepaid Insurance. B. None of these statements are correct. C. Increases and decreases in cash are always recorded in the equity account. D. An account called Land is commonly used to record increases and decreases in the land and buildings owned by a business.
The correct statement is A. When an insurance premium is paid in advance, the payment is normally recorded in a liability account called Prepaid Insurance.
Prepaid expenses represent future expenses that have been paid in advance, and they are initially recorded as an asset on the balance sheet. As the coverage period progresses, the amount of prepaid insurance is gradually recognized as an expense on the income statement, and the corresponding liability decreases. Prepaid Insurance is a specific type of liability account that reflects the portion of an insurance premium that has been paid but not yet expired. It represents the company's obligation to provide coverage over the prepaid period. As time passes and the coverage period is consumed, the prepaid insurance balance decreases, and the portion that has been consumed is recognized as an expense on the income statement. Option B is incorrect because statement A is correct. Option C is incorrect because increases and decreases in cash are typically recorded in cash accounts, not in equity accounts. Option D is incorrect because land and buildings are separate asset accounts.
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To calculate the number of montly payments required to pay off a loan or meet an investment goal, use the _______ function.
To calculate the number of monthly payments required to pay off a loan or meet an investment goal, use the nper function.
In finance, lending is the lending of money by one or more individuals, organizations, or other entities to other individuals and organizations, etc. The beneficiary incurs a debt and usually has to pay interest on that debt until that debt is also repaid. to repay the principal borrowed.
The promissory note will typically state, among other things, the principal amount of the loan, the interest rate charged by the lender, and the date of repayment. A loan involves reallocation of assets in question over a period of time, between the lender and the borrower.
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After operating for years as a privately held corporation, MidAtlantic Ironworks plans to publicly trade its stock. As a midsized firm, MidAtlantic wants to avoid excessive paperwork, and the fear of being delisted in the future. The ________ provides the best fit for MidAtlantic's plans.
Answer:
I think the answer is"manager".
As a midsized firm, MidAtlantic wants to avoid excessive paperwork, and the fear of being delisted in the future. The over-the-counter market provides the best fit for MidAtlantic's plans.
What is over-the-counter market?Without the use of a central exchange or broker, market participants can trade stocks, commodities, currencies, or other financial instruments directly between two parties in a decentralized market known as an over-the-counter (OTC) market.
Since there are no physical sites for over-the-counter markets, trading is done online. Comparing this to an auction market structure is completely different. OTC marketplaces often have less transparency and are subject to fewer restrictions than exchanges.
By quoting prices at which they will purchase and sell a security, currency, or other financial instruments, dealers serve as market makers in an OTC market. In an OTC market, a trade can be made between two parties without the other parties being aware of the price at which the deal was made.
Even though OTC markets run smoothly most of the time, there remains a risk known as a counter-party risk that one of the parties to the transaction may default before the deal is finished or won't fulfill the current and future payments that are stipulated in the contract.
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Janessa wants to pay off her credit card balances within 12 months. She is trying to decide if she should use her $1,000 in savings to pay off part of the balances or if she should transfer the balances to a new card with a low introductory rate. The new credit card has an introductory rate of 6. 5% but charges a balance transfer fee of $50 for each balance transfer. Janessa decides to pay of Credit Card B and $420 of Credit Card A, then transfer the remaining balance of Credit Card A to the new card. Which of the following options shows the amount of Janessa's new monthly payment? Credit Card A: $957 Credit Card B: $580 a. $54. 97 b. $50. 66 c. $18. 12 d. $46. 34.
Explanation:
The answer is B$50.66 that's what I got
The supply curve is upward-sloping because higher prices ________.
The supply curve is upward-sloping because higher prices incentivize producers to produce more.
As the price of a good increases in the market, the producers can sell each unit that they produce at a higher price, and make it more profitable for them to increase their production.
A supply curve can be defined as a graph that shows how a change in the price of a good or service can affects the quantity that a seller supplies. Price is usually listed on the vertical y-axis of the graph, while quantity supplied is listed on the horizontal x-axis of the graph.
Factors like- taxes and government regulation, market power of the suppliers, availability of the substitute goods, and the economic cycles may all shift the supply or demand curves or alter their respective shapes.
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If Dallas Company billed a client for $10,000 of consulting work completed, the accounts receivable asset increases by $10,000 and: Multiple Choice Accounts payable decreases $10,000. Accounts payable increases $10,000. Cash increases $10,000. Revenue increases $10,000. Revenue decreases $10,000.
In the event that Dallas Company bills a client, the account that will increase along with accounts receivable is a Revenue increase of $10,000.
Accounts affected Accounts receivable will increase because the client will owe Dallas Company. Revenue will increase as well because Dallas Company is earning revenue from the consulting work.The increase to the Revenue account will be the amount charged for consulting work which is $10,000.
In conclusion, option D is correct.
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Assume that the skills required of a sales clerk at a retail store are similar to those required of workers at a fast-food restaurant. If workers are completely indifferent between fast-food jobs and retail-sales jobs, in what way would the wages of sales clerks change, if at all?.
There will be a rise in wages of sales clerks due to the fact that sales clerk workers will go over to working at fast foods, thereby leading to a rise in demand for sales clerks.
What is demand for labor?Businesses need labor and capital as inputs to their production process in order to produce goods and services. An economics principle called the demand for labor is derived from the demand for a firm's product. In other words, if there is a greater demand for a company's output, the company will need more workers and hire more people. Additionally, if there is a decline in demand for the firm's output of products and services, it will need less workers, have a lower demand for labor, and retain fewer employees.
Labor supply and demand are influenced by labor market conditions. Those looking for work will provide their labor in exchange for compensation. Employers who demand labor from employees will compensate them for their time and expertise.
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Is South Korea one of the fastest-growing Asian country
Answer:
yes, it is
Explanation:
It has one of the largest economies in the world
If an entrepreneur can establish a strong and trustworthy management team, then the
risk might be avoided.
O compliance
O financial
strategic
operational
Mark this and return
Ne
Answer:
operational
Explanation:
bc it is
If an entrepreneur can establish a strong and trustworthy management team, then the operational risk might be avoided. Thus option D is correct.
What is Team?When a group of people come together in an official setting and in a disciplined manner to achieve the common objective of business with individual roles and shared responsibilities representing teams.
A strong and trustworthy management team helps in better controlling and coordinating events which help to avoid operational risk and helps in producing efficient results with productivity.
The enforcement of laws safeguarding the environment and employees helps to reduce compliance risk, and building a stable number of clients helps in reducing financial risk.
Therefore, option D operational is appropriate.
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i failed on edg course bc of yall
What do local and state governments do to attract local businesses and stimulate the local economy?.
Local and state governments have a direct impact on the local economy by encouraging business registration and job creation, encouraging sustainable growth by providing work opportunities to private businesses like construction contractors and IT workers, and providing modern internet access.
The federal government provide grants, contracts, and small business loans to aid small businesses to get initiated. Grants are financial aid that doesn't need to be paid back, while loans need repayment with interest.
Several federal agencies aid small businesses. Entrepreneurs might constantly question where they can try or the application guidelines. Federal contracting is a rigorous process that requires large-scale planning and preparation.
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Cain Company reports net cash provided by operating activities of $35,000. It also reports the following information under “Adjustments to reconcile net income to net cash provided by operating activities” on its statement of cash flows (using the indirect method).
It can be seen from the solutions given that Cain's net income is $24,000.
Here is the solution:Net income = Net cash provided by operating activities - Adjustments
= $35,000 - $6,000 - $10,000 + $4,000 + $7,000 + $4,000
= $24,000
Therefore, Cain's net income is $24,000.
Here is a breakdown of the adjustments:
To determine cash flow from operations, it is necessary to include the gain on equipment sales in the net income as it is a non-cash entry.
A rise in accounts receivable implies that customers are prolonging payment of their invoices, resulting in decreased cash flow from the company's activities.
The depreciation expense is classified as a non-cash expense, hence it must be included in the calculation of cash from operations by adding it back to the net income.
A decrease in inventory indicates that the company is experiencing faster turnover of its inventory, leading to increased cash flow generated by its operations.
A rise in prepaid expenses denotes that the company is channeling more funds towards prepaid expenditures like insurance and rent, implying a reduced cash inflow from its operational activities.
A decline in the amount of wages that the company owes indicates that it is not promptly compensating its workforce. Consequently, this implies that the company's operational cash flow is reduced.
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What is the present value of an annual payment of $10,000 that is received in perpetuity if the discount rate is 13%?
The present value of an annual payment of $10,000 that is received in perpetuity if the discount rate is 13% is $76,923.08.
Present value is the current value of future payments. It's calculated by reducing the future payment amounts by an appropriate discount rate.
Given the annual payment of $10,000 that is received in perpetuity, and the discount rate of 13%, the present value is given by the formula:
P = PMT / r
where P is the present value,
PMT is the annual payment, and
r is the discount rate.
Substituting the given values in the formula, we get:
P = $10,000 / 0.13
P = $76,923.08
Therefore, the present value of an annual payment of $10,000 that is received in perpetuity if the discount rate is 13% is $76,923.08.
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(PLEASE ANSWER FAST!!) (13 POINTS)
If you’re going to school full time, it will usually take you at least _________ to earn 120 hours of study (or around 40 classes that meet three times a week).
A. two years
B. six years
C. four years
D. five years
Answer:
C. four years
Explanation:
hope this helps
Answer:
The answer is C. four years.
Explanation:
Bachelor’s degree: Approximately 4 years of full-time study (120 credit hours)
When making decisions, managers often must decide between doing what is beneficial for the firm in the short term, and what is beneficial for both the firm and society in the long term. To address this conflict, a firm must
When making decisions, managers are often faced with a conflict between what is beneficial for the firm in the short-term and what is beneficial for both the firm and society in the long-term.
This conflict arises because the actions that benefit the firm in the short-term may not necessarily align with the interests of society as a whole, which can lead to negative consequences for both the company and society in the long-term.
To address this conflict, a firm must adopt a long-term orientation and consider the broader social and environmental impacts of its decisions. This means looking beyond immediate financial gains and recognizing that actions taken today can have far-reaching implications for the company's reputation, customer loyalty, employee morale, and overall sustainability.
Firms that prioritize social responsibility and sustainable business practices are more likely to build strong relationships with stakeholders, including customers, employees, investors, and regulators. They are also better equipped to weather economic downturns and other disruptions, as they have diversified their risk and invested in building resilient supply chains and communities.
Ultimately, the key to addressing the conflict between short-term gains and long-term benefits is a commitment to corporate social responsibility (CSR) and sustainable business practices. By prioritizing the needs of society and the environment alongside those of shareholders, firms can create value for all stakeholders over the long-term, ensuring their continued success and impact.
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what is the differende between wants and needs?
Explanation:
Want — have a desire to possess or do (something); wish for. Need — require (something) because it is essential or very important rather than just desirable.
which three are approaches to setting an advertising schedule? a. flexible, seasonal, and continuous. b. sweeping, bursting, and pulsing. c. flighting, pulse, and continuous. d. continuous, seasonal, and sweeping. e. incessant, intermittent, and infrequently.
Option C is correct. The three approaches to setting an advertising schedule are Flighting, Pulse, and Continuous.
The three types of advertising schedules are as follows -
Flighting advertising involves intermittent bursts of advertising, followed by periods of no advertising at all. This approach is often used for products or services that have seasonal demand or when budgets are limited.Pulse advertising is a hybrid of flighting and continuous advertising. It involves a burst of advertising during a specific period, followed by a period of reduced advertising, then another burst of advertising, and so on. This approach is often used for products or services that have both seasonal and ongoing demand.Continuous advertising involves advertising all year round, with no breaks. This approach is often used for products or services that have steady demand and require constant marketing efforts.Know more about advertising schedules - https://brainly.com/question/29631715
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Chick-Fil-A bonds currently sells for $1,025. They have a 9 year maturity, an 8% annual coupon, and a par value of $1,000. What is its yield to maturity?
The yield to maturity of Chick-Fil-A bonds is 7.29%.
The yield to maturity (YTM) is the total amount earned by an investor on a bond if it is held until maturity. It is the expected annual return on an investment, considering the bond's coupon, price, and time to maturity. In the given problem, the bond has a face value of $1,000, a 9-year maturity, and an 8% coupon rate.Chick-Fil-A bonds are currently trading for $1,025, which is above the face value of the bond. This means that the bond is selling at a premium, since the price of the bond is higher than its par value. By using the YTM formula and solving for YTM, we can find that the yield to maturity of Chick-Fil-A bonds is 7.29%.
This bond's approximate yield to maturity is 11.25 percent, which is 1.25 percent higher than the annual coupon rate of 10 percent. This value can then be used in the following formula as the rate (r): C = future incomes/coupon installments. The yield to maturity, or r, is the discount rate.
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pathi Choose the only one false statement o no answer) . Goals are what you would like to have happen Quantitative forecasting techniques are subjective, based on the opinion and judgment of consumers and experts Forecasting is about predicting the future as accurately as possible given all of the information available Planning is a response to forecasts and goals
The false statement is "Quantitative forecasting techniques are subjective, based on the opinion and judgment of consumers and experts" because quantitative forecasting techniques are objective, based on mathematical and statistical models and analysis of historical data.
Quantitative forecasting techniques are actually objective, as they rely on historical data and mathematical models to make predictions about future events, rather than being based on opinions or judgments.
Quantitative methods of forecasting are widely used in businesses to make predictions about future trends. These methods rely on mathematical models and historical data to make informed predictions. Quantitative forecasting methods are best used when historical data is available, and the relationships between variables are clearly defined. There are various types of quantitative methods of forecasting, including time-series analysis, regression analysis, and econometric modeling.
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what's the present value of a perpetuity that pays $3,800 per year if the appropriate interest rate is 5%?
The answer is $76,000.00, the present value of a perpetuity that pays $3,800 per year if the appropriate interest rate is 5% is 76,000.00$.
A perpetuity has what function?Companies frequently use perpetuality to accurately value a variety of investments, including stocks, bonds, real estate, and particularly annuities. Perpetuity is a stream of cash flow that never ends because, theoretically, payments from these assets never stop with perpetuity.
Perpetuity formula: what is it?Following are the steps in the perpetuity formula: Cash Flow (CF)/Interest Rate equals Present Value (PV), or (IR). It serves as a built-in perpetuality calculator that can calculate all current and future cash flows for investments of this kind.
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9. The financial aid you receive is called
1) an award
2) a grace period
3) a renewable award
4) non-renewable award
What is a mutual fund
Answer: A mutal fund is a professionally managed investment fund that pools money from many investors to purchase securities. the term is typically used in the United States, Canada, and India while simular structures across the globe include the SICAV in Europe and open-ended investment company in the UK.
Explanation:
Economic growth is an increase in a nation's output of goods and services over time. answer choices. True. False.
The statement is True. Economic growth is an increase in a nation's output of goods and services over time.
A financial boom may be defined because the increase or improvement within the inflation-adjusted marketplace value of the products and services produced by using an economic system in a financial year. Statisticians conventionally measure such increase as the percent charge of growth in the actual gross home product, or real GDP.
The increase is usually calculated in real phrases – i.e., inflation-adjusted terms – to put off the distorting impact of inflation at the costs of products produced. dimension of monetary boom uses countrywide earnings accounting. in view that economic increase is measured as the annual percent exchange of gross domestic product (GDP), it has all the advantages and downsides of that degree. The monetary boom costs of countries are commonly compared to the use of the ratio of GDP to population (in keeping with capita per income).
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