Last month's rent can only pay the last rent of a tenancy, while a security deposit is a refundable fee to cover damages or lease violations. The latter charge might assist landlords in identifying tenants who are financially solid and add an extra layer of security.
Allowable fees that are not factored into the gross technology rent computation include refundable fee rental fees (like security deposits) and one-time penalty fees (like late payment fines and fines for early lease termination, provided that such fines are expressly stated in the lease).
Within 15 days of the eligible candidate submitting the formal written letter to the authority, the institute is required to return the refundable fee. By publishing the notification for the fee return, the UGC took a wise action.
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ECONOMICS
Determine whether each characteristic describes a sole proprietorship, a general partnership, or a corporation. Note that a characteristic may apply to more than one type of business structure.(2 points)
The characteristic that describes a sole proprietorship makes a corporation sole proprietor. Option B. This is further explained below.
What is a sole proprietorship?Generally, a sole proprietorship is simply defined as a kind of unincorporated firm in which the earnings are reported and taxed by the owner as a part of his or her personal income.
In conclusion, Individuals who hold single proprietorships are responsible for all financial obligations of the company.
When two or more individuals work together to run a company, they are said to be "in partnership."
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Answer: Stocks may be issued to generate income- Corporation
There are 1 or more owners-Sole Proprietorship, General Partnership, Corporation
Liability is unlimited or can be unlimited-Sole Proprietorship, General Partnership.
the fraud triangle contains three elements that must exist for accounting fraud to occur. the elements are: a. motive, opportunity, and means. b. greed, larceny, and access. c. fear, greed, and satisfaction. d. incentive, opportunity, and rationalization.
The fraud triangle contains three elements that must exist for accounting fraud to occur, the elements are: D. incentive, opportunity, and rationalization.
What is a skimming fraud?A skimming fraud can be defined as a type of fraud that involves a criminal (thief) illegally capturing the credit card information of a cardholder without the holder's knowledge, so as to perform unauthorized transactions with it in the future.
Under the fraud triangle, there are three (3) main elements that helps any accounting fraud to occur and these include the following:
IncentiveOpportunityRationalization.In this context, we can reasonably infer and logically deduce that incentive, opportunity, and rationalization are the three (3) main elements of the fraud triangle paradigm.
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Why do you think that people might treat a small purchase like a snack, differently from the way they would treat the purchase of something like a washing machine? Do you consider yourself a smart consumer? Why ?
50 pts! I really need help on this. Ignore the distribution part. Dont waste my points ;-; Will give Brainliest
Market Analysis: Research three countries you would like to distribute your game to and summarize the games, their prices, and how they are distributed in those markets (your competition). If you find that you might have chosen a market that is already too competitive, this is the time to identify another country and change your plan.
Countries I chose:
Japan
United States
Great Britain (UK)
Answer:
Japan 183-192billon dollars per year
USA 18.4 billion dollars
UK 5.05billion dollars
Lana applies for a firefighter’s job with Metro City, which responds with a letter setting an appointment for a medical exam. The letter also states that it is "an employment offer conditioned on the applicant passing the exam." This letter is​
Answer: a unilateral contract that Lana can accept by passing the exam.
Explanation:
A unilateral contract is a form of contract agreement whereby the offeror promises to do a particular thing or pay a certain amount after a specified action has occured.
In this scenario, Metro City would only give an employment offer to Lana if she passes her exam. This is a unilateral contract that Lana can accept by passing the exam.
Can someone help me with this?
You are responsible for an automobile accident. Use the information below to determine:
The total amount your liability insurance will pay for the accident
The total amount your collision insurance will pay for the accident
The number of additional damages you are responsible for as a result of the accident
You and the driver of the other car were the only people involved in the accident. There were no injuries from the accident.
You have a 50/100/50 liability insurance policy with no deductible
You have collision insurance with a deductible of $500
The other car was valued at $25,000 and requires $10,000 in repairs
Your car was valued at $20,000 and requires $15,000 in repairs
Answer:
omg you have any idea
Answer:
Based on the type of insurance you have and the people involved in the accident, the total amount of liability you will pay is $25,000.
The total amount that your collision insurance will pay is $24,500 and the amount of additional damages you will pay is $0.
What is the total amount you will pay?
The coverage is 50/100/50 means that the insurance company will pay up to $50,000 for damages.
This means that the cost to repair both cars will be covered as it is less than $50,000:
= 10,000 + 15,000
= $25,000
There will be no additional damages.
The amount you will pay personally will be the $500 deductible which means that insurance will pay:
= 25,000 - 500
= $24,500
ssume the reserve ratio is 25 percent and Federal Reserve Banks buy $4 million of U.S. securities from the public, which deposits this amount into checking accounts. As a result of these transactions, the supply of money is:
Answer:
The supply of money is directly increased by $4 million and the money-creating potential of the commercial banking system is increased by an additional $12 million.
Explanation:
Total Money supply increased in question = $4 million + $12 million
Total Money supply increased in question = $16 million
Multiplier = 1 / Reserve Ratio
Multiplier = 1 / 0.25 = 54
Once the money is deposited, Money supply is increased by $4 Million.
Total money supply to be increased = Deposits * Multiplier
= 4 million * 4
= $16 Million
Four year universities are the only type of school worth attending. True False
Answer:
false
Explanation:
Answer:
false
Explanation:
there are a number of other reliable schooling options
Given the following task time estimates (days) Task la m b Predecessor A 12 19 23 B 8 12 19 C 5 9 16 D 8 12 22 A E 11 20 29 B F 7 14 21 CDE G 15 28 35 חד F H 9 15 27 G a. What is the project variance and standard deviation? Select 1 (round to three decimal places) b. What is the project length? [Select] > c. What is the critical path? [Select] d. How much slack is in task A? Select] e. What is the early start early finish for task F? Select) f. What is the probability of completing the project in 85 days? [Select) g. What if task A increased by 2 days. What would be the project length and the critical path? [Select
a. The project variance is 6.431 and the standard deviation is 2.538. To compute the project variance and standard deviation, we'll use the formula for the Critical Path Method (CPM). σ2 = (∑(m – t)2) / (6)Where,σ2 = project variance,m = the most optimistic time,t = the most likely time.σ = standard deviation.
The values of t and m are the same in this instance.The calculations for the CPM are as follows:A: t = 19, m = 12, b = 23σ2 = ((23 - 12)2 + (19 - 12)2 + (12 - 12)2) / 6σ2 = 16 / 6σ2 = 2.6667σ = sqrt(2.6667)σ = 1.63299B: t = 12, m = 8, b = 19σ2 = ((19 - 8)2 + (12 - 8)2 + (8 - 12)2) / 6σ2 = 30 / 6σ2 = 5σ = sqrt(5)σ = 2.23607C: t = 9, m = 5, b = 16σ2 = ((16 - 5)2 + (9 - 5)2 + (5 - 5)2) / 6σ2 = 74 / 6σ2 = 12.3333σ = sqrt(12.3333)σ = 3.51188D: t = 12, m = 8, b = 22σ2 = ((22 - 12)2 + (12 - 8)2 + (8 - 12)2) / 6σ2 = 32 / 6σ2 = 5.3333σ = sqrt(5.3333)σ = 2.30940E: t = 20, m = 11, b = 29σ2 = ((29 - 11)2 + (20 - 11)2 + (11 - 20)2) / 6σ2 = 72 / 6σ2 = 12σ = sqrt(12)σ = 3.46410F.
t = 14, m = 7, b = 21σ2 = ((21 - 7)2 + (14 - 7)2 + (7 - 14)2) / 6σ2 = 52 / 6σ2 = 8.6667σ = sqrt(8.6667)σ = 2.94392G: t = 28, m = 15, b = 35σ2 = ((35 - 15)2 + (28 - 15)2 + (15 - 28)2) / 6σ2 = 152 / 6σ2 = 25.3333σ = sqrt(25.3333)σ = 5.03322H: t = 15, m = 9, b = 27σ2 = ((27 - 15)2 + (15 - 9)2 + (9 - 15)2) / 6σ2 = 48 / 6σ2 = 8σ = sqrt(8)σ = 2.82843Project Variance = (∑σ2)1/2 = (2.6667 + 5 + 12.3333 + 5.3333 + 12 + 8.6667 + 25.3333 + 8)1/2 = 6.431Project Standard Deviation = (Project Variance)1/2 = (6.431)1/2 = 2.538b. To determine the project length, we will compute the Early Start and Late Finish for each task, as well as the Late Start and Early Finish for the final task.Task ES EF LS LF FloatA 0 12 0 12 0B 12 20 12 20 0C 20 25 20 25 0D 12 20 25 33 5E 20 31 31 42 11F 31 38 38 45 7G 42 57 57 72 15H 45 54 57 66 12The project length is determined by the EF of the final task, which is 45.c. The critical path is A - D - G - H, with a length of 45 days. The tasks that fall along the critical path have no slack, which implies that any delay in these tasks will delay the project. The critical path tasks are those with the greatest EF-ES.d. The slack in task A is 0 days. It is critical because it is on the critical path.e. The Early Start and Early Finish for task F are 31 and 38, respectively.f. To determine the probability of completing the project in 85 days, we will calculate the Z score and look up the probability in the standard normal distribution table.85 - 45 / 2.538 = 15.7488P(Z ≤ 15.7488) = 1.0This implies there is a 100% chance that the project will be completed in 85 days.g. If task A increases by 2 days, the critical path will become A - B - C - F - H, with a length of 49 days. The original critical path tasks have been shifted by 2 days. Task A has slack of 2 days, while the tasks on the new critical path have no slack. The EF of the final task is 54.
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The new project length is 31 days and the critical path is ADEGHC.
Given task time estimates (days),Task la m b Predecessor A 12 19 23B 8 12 19C 5 9 16D 8 12 22 AE 11 20 29 BF 7 14 21 CDEG 15 28 35 חדFH 9 15 27 G1) Project Variance and Standard Deviation: Variance of project = ∑(Variance of activity path). Standard Deviation of project = √Variance of project. Variance of activity path = ((b - a) / 6)²,where a = optimistic time, b = pessimistic time. Variance of activity path for task A = ((23 - 12) / 6)² = 1.69.Variance of activity path for task B = ((19 - 8) / 6)² = 1.69.Variance of activity path for task C = ((16 - 5) / 6)² = 2.78.Variance of activity path for task D = ((22 - 12) / 6)² = 2.78.Variance of activity path for task E = ((29 - 11) / 6)² = 4.44.Variance of activity path for task F = ((21 - 7) / 6)² = 3.11.Variance of activity path for task G = ((35 - 15) / 6)² = 4.44.Variance of activity path for task H = ((27 - 9) / 6)² = 4.Standard Deviation of Project = √(1.69 + 1.69 + 2.78 + 2.78 + 4.44 + 3.11 + 4.44 + 4) = √(24.73) = 4.97.Project Variance = 24.73.2) Project Length: Project length = Earliest Finish of Last Activity. Earliest finish of last activity is H = 27 days. Project length = 27 days.3) Critical Path: Critical Path = ADEGHC.4) Slack in Task A:Slack of an activity is the time the activity can be delayed beyond its earliest start or earliest finish without delaying the project. Slack = Latest Start - Earliest Start = Latest Finish - Earliest Finish. Slack of task A = LS - ES = LF - EF = 23 - 12 = 11 days.5) Early Start and Early Finish of Task F:Early Start of Task F = Earliest Finish of Task E = 29 days. Early Finish of Task F = Early Start of Task F + Duration = 29 + 7 = 36 days.6) Probability of Completing Project in 85 Days: We know that Z = (X - µ) / σ,where X = time, µ = mean, σ = standard deviation. Z = (85 - 27) / 4.97 = 11.56.Using Z value table, we get that the probability is 1.0 (rounded to 1 decimal place) of completing the project in 85 days.7) Increase in Task A by 2 Days: Task A has 3 estimates, optimistic estimate, most likely estimate, and pessimistic estimate (a, m, b).By increasing Task A by 2 days, we have to adjust pessimistic estimate (b) by 2 days. The new time estimate for Task A is (12, 19, 25).New project completion time and critical path are calculated as follows: Variance of activity path for task A = ((25 - 12) / 6)² = 3.11.Standard Deviation of Project = √(3.11 + 1.69 + 2.78 + 2.78 + 4.44 + 3.11 + 4.44 + 4) = √(22.35) = 4.72. Project Variance = 22.35.Project length = Earliest Finish of Last Activity. Earliest finish of last activity is H = 31 days. Project length = 31 days. Critical Path = ADEGHC. The new project length is 31 days and the critical path is ADEGHC.
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When fire alarm sounds. Why should you evacuate children immediately even if you do not see flames?
Answer: because even if there is no fire there could be an explosion, fire and gasoline WILL make an explosion. So Basically it can start with fire but soon turn into an explosion. If it's a fire DRILL then it's for practice if that actually does happen.
Who are the majority of businesses in resort towns targeted to?
O
seniors
O
tourists
O
employees
investors
The majority of businesses in resort towns target tourists.
Who is the luxury hotel industry's target customer?As you can see, a wide range of people from across all walks of life who are prepared to pay a little extra for the luxury hotel experience makes up the target audience for luxury hotels.
What advantages come from forming and focusing on prospect groups?Overall, specialization is the main advantage of identifying and pursuing niche markets. Finding more wealthy guests who will gush about your hotel will be easier if you can be more precise with your market segmentation.
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In business markets, individuals or groups purchase products for one of three purposes. These purposes are
Resale, direct use in producing other products, and use in general daily operations are the purposes mentioned here.
What are Business Markets?A business market is a strategy a firm use to offer goods or services to a certain clientele. Firm marketplaces typically allow sales between businesses when one business intends to reuse or resell the goods or services of another company.
A firm that buys products and services on the open market may also utilize those things as raw materials to create new products of its own. There are company markets created to make sales to consumers directly as well, and they place more emphasis on reaching a broad audience than on marketing to other companies.
In business markets, individuals or groups purchase products for one of three purposes. These purposes are: Resale, direct use in producing other products, and use in general daily operations
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Name some areas where there’s an expected be an increased demand for workers
Answer:
Health care,Social assistance,Child care
Which statement best summarizes the law of demand ?
A. Sellers only supply goods that are in high demand from buyers.
B. Buyers are more likely to buy a products that is supplied in large quantities.
C. Sellers can easily substitute a product in high demand with another product.
S. Buyers are more interested in purchasing products as those products decline in price.
Thank you :)
Buyers are more likely to buy a product that is supplied in large quantities.
What is the law of demand?The law of demand states that the quantity purchased varies inversely with the price. In other phrases, the better the rate, the lower the quantity demanded.
What are the types of demand?Individual and Market DemandOrganization and Industry DemandAutonomous and Derived DemandDemand for Perishable and Durable GoodsShort-term and Long-term DemandLearn more about the law of demand here https://brainly.com/question/24019366
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What are the primary reasons people choose to invest and trade stocks?
(Select all that apply.)
to earn a dividend to earn a dividend , ,
to earn capital gains to earn capital gains , ,
to earn predictable quarterly interest to earn predictable quarterly interest , ,
to earn money that is liquid
Answer:
to earn a dividend
to earn capital gains
Explanation:
Stocks represent ownership in a corporation. Shareholders are entitled to share in the profits of the business. The portion of profits that shareholders get for contributing capital is the dividend.
Investing in stocks makes one a shareholder and gives them the right to dividends. Investors always select the stocks of companies likely to declare high dividends. Dividends is an important reason why investors opt for shares or stocks.
Stocks of corporations that are performing well financially are likely to increase in price. Investors buy stocks when prices are low and selling them when prices appreciate. That way, they can profit through capital gain.
Dividends and capital gains are the rewards that investors gain from stocks. Interest is earned on deposits and loans.
elle wolfe, owner of wolfe winery wrote a company check to pay her personal credit card bill. What accounting principle did she violate
By writing a company check to pay her personal credit card bill, Elle Wolf violated the accounting principle known as "separation of business and personal expenses". This principle states that business and personal finances should be kept separate to maintain the integrity of financial records and to accurately reflect the financial position of the company.
By using a company check to pay her personal credit card bill, Elle Wolfe mixed her personal expenses with those of the business, which can lead to inaccurate financial reporting, making tracking and analyzing business expenses difficult. It can also raise concerns about the misuse of company funds.
To adhere to the separation of business and personal expenses principle, Elle Wolfe should have used personal funds or a personal check to pay her personal credit card bill. This ensures that the company's financial statements accurately reflect the true financial performance and position of the business.
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what are some great questions to ask a district manager during an interview process in medical device
By asking these questions, you can gain a deeper understanding of the district manager's leadership style, goals, and strategies, as well as the overall culture and challenges within their district in the medical device industry.
It's essential to ask insightful questions during an interview process with a district manager in the medical device industry. Here are some great questions to consider:
1. Can you provide an overview of your district's current goals and priorities in the medical device market?
2. How does your district adapt to changes in healthcare regulations and medical device requirements?
3. What qualities and skills do you value most in a successful team member within your district?
4. How do you encourage collaboration and teamwork among employees in the district?
5. What are some specific challenges that your district has faced recently, and how did you address them?
6. Can you describe your district's approach to maintaining strong relationships with healthcare professionals and facilities?
7. How does your district stay informed about the latest medical device technology and advancements in the industry?
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Multiple Choice . Please place the letter of your choice in the blank space. 1. The A) income statement B) statement of cash flows C) balance sheet is the summary of revenues and expenses for a period. 2. A) Revenue B) Loss C) Owner's withdrawal does not decrease owner's equity. 3. A) Multi-step B) Single-step C) Reorganized income statements itemize operating expenses under selling and administrative expenses. 4. Inventory is recorded on the balance sheet and becomes A) Common Stock B) Cost of Goods Sold C) Long-term Debt when sold. Please fill in the blanks 5. is a liability account for goods received by a business but not paid for yet. 6. have been incurred (service used) in the period but cash has not been paid yet. 7. From the company buying inventory's perspective, accounts _reflects the amount owed to a vendor. 8. We use to recognize the cost of an intangible asset over the periods it is used 9. Net income kept in the business and not paid in dividends goes into the account on the balance sheet 10. In preparing a statement of cash flows, an increase in the Common Stock during a period would be acn) activity
1. The income statement summarizes revenues and expenses. 2. Revenue does not decrease owner's equity.3. Multi-step income statements itemize operating expenses. 4. Inventory becomes Cost of Goods Sold when sold. 5. Accounts Payable is a liability for unpaid goods.
6. Accrued expenses have been incurred (service used) in the period but cash has not been paid yet. 7. From the company buying inventory's perspective, accounts Accounts Payable reflects the amount owed to a vendor. Accounts Payable reflects the amount owed to a vendor. 8. Amortization is used to recognize the cost of intangible assets. 9. Net income not paid in dividends goes into Retained Earnings. 10.An increase in Common Stock is a financing activity in the statement of cash flows.
1.The A) income statement is the summary of revenues and expenses for a period.
2.A) Revenue does not decrease owner's equity.
3.A) Multi-step income statements itemize operating expenses under selling and administrative expenses.
4.Inventory is recorded on the balance sheet and becomes B) Cost of Goods Sold when sold.
5.Accounts Payable is a liability account for goods received by a business but not paid for yet.
6.Accrued expenses have been incurred (service used) in the period but cash has not been paid yet.
7.From the company buying inventory's perspective, accounts Payable reflects the amount owed to a vendor.
8.We use Amortization to recognize the cost of an intangible asset over the periods it is used.
9.Net income kept in the business and not paid in dividends goes into the Retained Earnings account on the balance sheet.
10.In preparing a statement of cash flows, an increase in the Common Stock during a period would be categorized as a financing activity.
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outline 2 advantages to H&H of using secondary market research
An architect’s functions may include which of the following? (SELECT ALL THAT APPLY.)
-planning and designing houses, commercial buildings, and other structures
-ensuring worksite safety
-collaborating with engineers
-acting as a construction manager and supervising contractors
Answer:
the answer is planning, ensuring, and acting
Countries trade with each other when they need goods they cannot produce
themselves. They also trade to take advantage of their own resources and surplus of
goods.
Check Your Understanding
Attempt 1 of 2
What are three reasons that might encourage a country to engage in trade?
A. The country lacks the ability to produce any goods.
B. The country has the natural resources to produce a specific good.
C. The country lacks an essential material.
D. The country can specialize in the production of a specific good.
E. The country can produce everything it needs.
Answer:
c
Explanation:
________ delivers business intelligence to users without any request from the users.
Without the users' involvement, business intelligence is sent to them via push publishing on a schedule, in response to an event, or in response to a specific data condition.
The owner of the business is responsible and liable for any debts incurred by the business since despite having a business name, they are one and the same. If the company accrues debts, the creditors may seize the business owner's personal property. Corporate tax rates cannot be applied to a firm structure. All profits earned by the business are subject to personal taxation by the owner.
The term is frequently used informally to refer to a business, such as a corporation or cooperative. However, lawyers and public officials do not business use it in this way.
Unlike sole proprietorships and partnerships, corporations are a distinct business legal entity that offers limited responsibility to its owners/members and is subject to corporate tax rates.
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How does the availability of economic resources in conjunction with the law of diminishing returns affect an entrepreneur's decisions?
Answer: A
Explanation:
According to the law of diminishing returns, the increase in output that results from adding a production factor is smaller. The law of diminishing returns aids the business in determining the ideal amount of output in production. This is so that the producer can determine whether or not the output has reached its maximum potential.
Why is the law of diminishing returns important?Because economists anticipate that a firm's short-run marginal cost curves would slope upward as the number of output units rises, the law of diminishing returns is significant because it forms part of the theoretical framework.
According to the economic theory known as the law of diminishing returns, as an investment in a certain area rises, the rate of profit from that investment can no longer rise if other factors remain constant after a certain point.
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Payout to shareholders could take several forms. Explain the
differences and similarities between cash dividend payments and
stock repurchases.
The differences and similarities between cash dividend payments and stock repurchases is that they are common methods through which companies distribute funds to their shareholders.
How do cash dividend payments and stock repurchases compare?Cash dividend payments involve directly providing cash to shareholders based on a predetermined amount per share. This payment represents a share of the company's profits or accumulated earnings that are distributed among shareholders.
On the other hand, stock repurchases, also known as share buybacks, involve the company buying back its own shares from existing shareholders.
Cash dividends result in the immediate transfer of cash to shareholders, providing them with instant access to funds. In contrast, stock repurchases do not involve direct cash distribution but instead involve the company buying back its own shares from the market, which leads to a reduction in outstanding shares.
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When using credit, the purchase amount becomes what once the payment agreement is made?.
Explanation:
Credit allows for purchases without cash. Credit agreements are not legally binding. Credit is free.
The American Labor movement was considered radical compared to what was happening in Europe. true or false
Answer:
true took the test brainliest please
What are the goals of government regulation?
low unemployment, price stability,
economic growth
O high unemployment, price instability,
economic growth
low unemployment, price stability,
economic steadiness
O high unemployment, price instability,
economic steadiness
Answer: A) low unemployment, price stability, economic growth
Explanation: Government regulation attempts to promote growth, full employment, and price stability for the well-being of the citizens
The goals of an ideal government while making regulations shall include the following purposes,
low unemployment, price stability,economic growth.Therefore, the option A holds true.
What is the significance of government goals?The goals of a government can be referred to or considered as the qualitative and quantitative targets set by the government in order to foresee better conditions in the future. These are backed by economic plans and regulations.
For a developing or a developed government, the goals must be economically based while being regulated. These goals must include reduced poverty and unemployment in order to achieve a healthy economic growth.
Therefore, the option A holds true and states regarding the significance of the goals of a government.
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Sen Corp., a publicly-traded, mid-cap company, wanted to obtain $30 million in new capital to expand its Iowa plant. Cost of capital was a factor in making the decision. Sen Corp. could either issue new preferred stock or new debentures. Sen Corp.'s underwriter estimated that preferred stock should have an annual dividend payout of $6 and an issue price of $103 per share. The debentures should have a coupon interest rate of 9% and an issue price of $101. Sen Corp.'s marginal income tax rate was 40%.
Required:
What approaches describes Sen Corp.'s best strategy?
Based on the information given, the approach that describes the strategy that was used by the company is that Sen Corp. should issue the debentures since the after-tax cost of debt (5.347%) would be less than the cost of equity (5.825%).
A debenture simply refers to the rule of bond that's unsecured by collateral. Debentures typically rely on the reputation of the issuer.
From the complete information, the company wants to obtain $30 million in new capital to expand its plant. Therefore, it's appropriate to issue the debentures since issue the cost of equity is more than the after-tax cost of debt.
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What is your opinion on the saying "If it doesn't challenge you, it doesn't change you"?
Answer:
I believe this saying refers to how we need challenges in our lives so that we can experience failure and learn from it.
Rishabh a brilliant student lives in a remote district of Orissa and has done mechanical engineering, He has won a lottery of Rs. 10 Lakhs. He wants to invest this money in some business opportunity, One of his friends suggested him to form a company. So he decided to manufacture tube lights and bulbs in his manufacturing unit and give jobs to unemployed youth in his village area. He has identified the business opportunity but is unaware about the other functions to be performed by him as a promoter of the company, Explain the other five steps to be performed by him as a promoter of the company, 2. Akriti, Manju and Sonali were friends who started a partnership business. They did not get their firm registered as it was optional. Soon, Manju and Sonali started having conflicts. Manju and Sonali wanted to approach a lawyer. If you were a lawyer than how would you guide them?
Answer:
hall
Explanation:
kk off Krishan Kala