The most effective way to compare the financial performance of the two companies is to look at their earnings per share. This statement is false.
Since there are significant variations in the number of outstanding shares between firms, comparing profits per share is not a practical approach to assess how well one company's earnings have performed in comparison to another. Stocks that are highly valued in relation to their existing profits are known as value stocks.
Net income made available to common shareholders is divided by the weighted average number of outstanding common shares to calculate earnings per share. Since preferred dividends are not available to common shareholders, they must be subtracted from net income.
Because it does not take into account the opportunity cost of capital and is subject to manipulation by short-term decisions, EPS is not a good indicator of performance.
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a good entrepreneur needs to possess animal instincts. do you agree with this statement? yes or no
Answer:
no . I don't agree a good entrepreneur need to posses a animal because every bussiness isn't pet bussiness
yes, a good entrepreneur needs to possess animal instincts.
Who is entrepreneur?An entrepreneur is a person who starts business and is willing to bear all risk involved in business to gain profit. an entrepreneur runs business of its own and is considered as owner and employee both.
An entrepreneur bears all financial and other risks in order increase profit and grow its business. an entrepreneur is an individual who possess an unique idea and convert the same idea into business.
What is animal instincts?An animal's capacity to carry out an action the first time it is exposed to the particular environment is known as an instinct. various animals are said to possess survival instinct, migratory instinct, herding instinct etc. animal instincts are behaviors that are present in them from birth.
Animal instincts that a entrepreneur needs to possess to be successful in long term are :
While chasing the assignment, charge like a lion and give it your all. Half a job is not half a job, and neither is half a kill.Be brave : Be cautious but unafraid. Despite the fact that danger exists, choosing to be afraid is a choice Because fear weakens you, attackers can detect it.Bear strategy : understanding how you can accumulate your resources, and slow energy usage before getting hit by crisis, is crucial to surviving.seagull strategy: moving away from hostile environment to avoid threat to survive.shark strategy: continuously looking for an opportunities and threats at same time developing stamina to fight back competitors.Hence, an entrepreneur should have animal instincts to survive, grow and to manage different phases of business.
Supportive answer
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Assume that the reserve requirement is 20 percent. If a bank initially has no excess reserves and $10,000 cash is deposited in the bank, the maximum amount by which this bank may increase its loans is
Answer:
8,000
Explanation:
the maximum amount by which this bank may increase its loans is $8000.
What is a bank?Bank, a foundation that arrangements in cash and its substitutes and gives other cash-related administrations. In its job as a monetary delegate, a bank acknowledges stores and makes credits.
A bank is a monetary foundation authorized to get stores and make credits. There are a few kinds of banks including retail, business, and speculation banks. In many nations, banks are directed by the public government or national bank.
The reserve requirement is 20 percent.
deposited in the bank cash is $10000
The left out amount will be
= 100 - 20
=80%
Therefore the maximum amount that the bank would have at this point in time will be
= 10,000 * 80%
= $8000
The amount that can be loaned is $8000.
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explain how an account receivable can give rise to a bad debt deduction.
An account receivable can give rise to a bad debt deduction as it represents money owed to a company by a customer for goods or services provided. Sometimes, customers are unable or unwilling to pay their debts, resulting in the account receivable becoming a bad debt.
A bad debt deduction can then be claimed by the company on their taxes, reducing their taxable income. The deduction is allowed under the IRS guidelines when the debt is considered "worthless" or uncollectible. The company must have made a reasonable effort to collect the debt before claiming the deduction. Once the deduction is claimed, the account receivable is no longer considered an asset and is removed from the company's balance sheet.
The bad debt deduction is an expense that the business can claim as a tax deduction in the year in which the bad debt was written off. It reduces the amount of taxable income for the business, thereby reducing the amount of tax it has to pay. The amount of the bad debt deduction is the amount of the uncollectible account receivable, less any amounts that the business may have recovered or collected in the future.
In summary, an account receivable can give rise to a bad debt deduction when a business realizes that it is unlikely to collect the amount due from a customer and therefore writes it off as bad debt.
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can someone help . i know I'm dumb:) x-5=7
Answer:
Hey Army
Nice to meet you:)
your answer is 12
as x-5=7
so x=7+5
x is 12
Stream life goes on and Dynamite. :)
Answer:
x=12
Explanation:
x-5=7
x-5+5=7+5
x=12
A government acquires as an investment a 30-year U.S. Treasury bond having a face value of $10,000. At the end of year 20, with 10 years remaining until maturity, the bond had a fair value of $10,200. Taking into account the discount at which the government initially purchased the bond, its amortized cost was $9,760. Assuming that it held the bond in a governmental fund, the government should report the bond at a value of
Answer:
$10,200
Explanation:
Based on the information given Assume that it held the bond in a governmental fund, the GOVERNMENT SHOULD REPORT THE BOND AT A VALUE OF THE AMOUNT OF $10,200 reason been that we were told that the bond had a FAIR VALUE of the amount of $10,200.
Therefore the government should report the bond at a value of $10,200.
In business, a group of people who work together in an attempt to achieve some specific purpose is known as a(n) _____. Multiple choice question. cadre symposium cohort organization
There are different kinds of firms. In business, a group of people who work together in an attempt to achieve some specific purpose is known as an organization.
What is an organization?An organization is regarded as a combination or a group of people that are said to be working together such as an association, a charity, a union, etc.
The word organization also connote a group or business, or to the process establishing something.
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Aimee has an internal locus of control. Her manager should?
Aimee has an internal locus of control. Her manager should provide an incentive structure to pay Aimee.
What is the incentive structure?
The group of assured benefits and/or penalties that entice people to engage in a particular action or make a particular choice.
Why are incentives important?
Rewards and incentives at work provide advantages for both employees and employers when it comes to employees. Employee morale, work happiness, and motivation can all be enhanced when employers recognize employees for their performance and productivity.
What are the objectives of incentives?
Employees are rewarded through incentive schemes for accomplishing tasks or hitting goals. Benefits, which include items like health insurance or a 401(k) and are given to employees regardless of their performance, are not the same as incentives. In contrast, rewards must be earned.
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What are two major advantages and two major disadvantages of having unions in the United
States? Explain each advantage or disadvantage.
Answer:
two major advantages of unions:
1. we get more items from different countries
2. Unions promote higher wages and better benefits
two major disadvantages:
1. Labor unions discourage individuality
2. Unions can drive up costs as well as making it harder to promote and terminate workers.
Shirley and Vivian have been operating their advertising business as a general partnership.
Bolstered by their recent success, Shirley and Vivian intend to source aggressively for new clients and projects but are concerned that the rapid expansion of their business may give rise to risks. They propose to change the form of their business organisation so as to address this issue. Shirley and Vivian hope that the new business structure would also give them flexibility in raising finance, whether in the form of equity or debt from financial institutions or investors. At the same time, they are concerned whether the regulatory requirements of the new business form would be a burden.
Shirley and Vivian have spoken to potential investors. Most investors want to reap the benefits of the potential growth of the business but at the same time wish to retain the flexibility to exit their investment if the business turns south. Ideally, the investors should be given a consistent dividend distribution notwithstanding fluctuations in the performance of the business. Shirley and Vivian, on the other hand, want to restrict the voting rights of these investors.
(a) Define a general partnership. Identify the risks to Shirley and Vivian associated with a general partnership.
(b) Describe two alternative business forms that Shirley and Vivian can consider adopting to address the risks which you have identified in (a). Explain which alternative business form you would recommend to them, and the benefits and drawbacks of your recommendation. In your answer, you are expected to consider issues such as protection from personal liability, continuous regulatory compliance obligations, flexibility of fund raising, and taxes.
(c) If Shirley and Vivian were to incorporate a company, discuss the types of shares that may be issued which will address the above respective considerations of Shirley, Vivian and the investors.
It's important for Shirley and Vivian to consult legal and financial professionals to ensure they choose the most suitable business form and share structure for their specific needs and goals.
(a) A general partnership is a type of business organization where two or more individuals come together to carry out a business venture. In a general partnership, all partners have equal rights and responsibilities, and they share the profits, losses, and liabilities of the business.
The risks associated with a general partnership include unlimited personal liability. This means that each partner is personally responsible for the debts and obligations of the business. If the business cannot fulfill its financial obligations, the partners may have to use their personal assets to cover the debts. Additionally, each partner is also liable for the actions and decisions made by the other partners, which can lead to conflicts and disagreements.
(b) Two alternative business forms that Shirley and Vivian can consider to address the risks associated with a general partnership are a limited partnership (LP) and a limited liability company (LLC).
I would recommend an LLC for Shirley and Vivian as it provides protection from personal liability, allowing their personal assets to be separate from the business's debts and obligations. This means that their personal assets are not at risk if the business fails. An LLC also offers flexibility in raising funds as it can issue equity or debt to investors. However, it does require continuous regulatory compliance obligations and may have higher taxes compared to a general partnership.
(c) If Shirley and Vivian were to incorporate a company, they could issue different types of shares to address the respective considerations of Shirley, Vivian, and the investors. They could issue common shares to Shirley and Vivian, which would give them voting rights and ownership in the company. These shares would allow Shirley and Vivian to maintain control and restrict the voting rights of other shareholders.
For the investors, Shirley and Vivian could issue preferred shares. Preferred shares usually offer a consistent dividend distribution regardless of the business's performance, which would address the investors' desire for a steady return. These shares may also provide investors with the option to exit their investment by allowing them to sell their shares to other parties.
It's important for Shirley and Vivian to consult legal and financial professionals to ensure they choose the most suitable business form and share structure for their specific needs and goals.
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It's important for Shirley and Vivian to consult legal and financial professionals to ensure they choose the most suitable business form and share structure for their specific needs and goals.
(a) A general partnership is a type of business organization where two or more individuals come together to carry out a business venture. In a general partnership, all partners have equal rights and responsibilities, and they share the profits, losses, and liabilities of the business.
The risks associated with a general partnership include unlimited personal liability. This means that each partner is personally responsible for the debts and obligations of the business. If the business cannot fulfill its financial obligations, the partners may have to use their personal assets to cover the debts. Additionally, each partner is also liable for the actions and decisions made by the other partners, which can lead to conflicts and disagreements.
(b) Two alternative business forms that Shirley and Vivian can consider to address the risks associated with a general partnership are a limited partnership (LP) and a limited liability company (LLC).
I would recommend an LLC for Shirley and Vivian as it provides protection from personal liability, allowing their personal assets to be separate from the business's debts and obligations. This means that their personal assets are not at risk if the business fails.
An LLC also offers flexibility in raising funds as it can issue equity or debt to investors. However, it does require continuous regulatory compliance obligations and may have higher taxes compared to a general partnership.
(c) If Shirley and Vivian were to incorporate a company, they could issue different types of shares to address the respective considerations of Shirley, Vivian, and the investors. They could issue common shares to Shirley and Vivian, which would give them voting rights and ownership in the company. These shares would allow Shirley and Vivian to maintain control and restrict the voting rights of other shareholders.
For the investors, Shirley and Vivian could issue preferred shares. Preferred shares usually offer a consistent dividend distribution regardless of the business's performance, which would address the investors' desire for a steady return. These shares may also provide investors with the option to exit their investment by allowing them to sell their shares to other parties.
It's important for Shirley and Vivian to consult legal and financial professionals to ensure they choose the most suitable business form and share structure for their specific needs and goals.
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If you pick up a rider for an Uber X trip, how
do you determine the route?
Answer: Go into the app, then there should be a map button or route button. Click on it and then press route.
Explanation:
1. Which is an example of fiscal policy?
A. preventing unions from going on strike
B. raising taxes in order to cover a budge deficit
C. Restricting the amount of money that banks can lend
D. increasing the level of minimum wage
2. Which is an example of fiscal policy?
A. decreasing the interest rates on loans charged to car companies
B. deploying troops to help citizens cope with natural disaster
C. going into debt to buy a large number of vehicles
D. limiting the number of foreign cars that can be sold in the United Stats
Answer:
A. decreasing the interest rates on loans charged to car companies
F is considered as an _____________ factorand q is considered an ___________ factorGroup of answer choicesinternal, externalinternal; internalexternal; internalnone of the choicesexternal; exte
Internal factors are those which are within the control of a company and can be changed by the organization. These factors include strategies, organizational structure, leadership and culture, employee productivity, and marketing and sales initiatives.
External factors are anything outside of the company's control and can include the economy, competition, technology, political environment, and social and demographic changes. These factors can have an impact on the success of the organization, but the organization cannot directly control them.
For example, an organization may be able to control its internal factors, such as its marketing and sales initiatives, but it cannot control external factors such as the economy or competition.
The organization may be able to make changes to its pricing, product offerings, and marketing strategies in response to changes in the external environment, but it cannot control the overall economic conditions or the actions of its competitors. Therefore, internal factors are the primary determinant of a company's success or failure, while external factors are often secondary.
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true or false: to find the discharge summary note from a patient's past hospital stay (not the current stay), open the chart review activity and select the notes tab.
True or False: To find the discharge summary note from a patient's past hospital stay (not the current stay), open the chart review activity and select the notes tab.The given statement is true and it states the method to find the discharge summary note from a patient's past hospital stay.
The discharge summary is a medical report that contains information about the patient's hospital stay. It is usually completed at the end of the stay by the attending physician. A discharge summary contains a detailed description of the diagnosis, procedures, treatment plans, and medications.The discharge summary provides an overview of the patient's medical history and treatment. It is a crucial document that helps healthcare providers understand the patient's medical history and provide better care.
To find the discharge summary note from a patient's past hospital stay (not the current stay), open the chart review activity and select the notes tab.The notes tab in the chart review activity provides access to the notes section of the patient's medical record. Here, you can find all the notes related to the patient's medical history.
To find the discharge summary note from a patient's past hospital stay, you need to select the notes tab and then search for the note that corresponds to the patient's past hospital stay. In this way, you can access the discharge summary note from the patient's past hospital stay.
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If you have an orientation where you are taught by a corporate trainer and do team activities, it is probably a _____. A. New hire orientation b. Interactive orientation c. Reorientation d. Mentorship.
The new hire orientation is probably the term used in the orientation an individual are taught by a corporate trainer and do team activities.
What is new hire orientation?It is basically the process of presenting new hires to their jobs, colleagues, and the organization. New employee orientation is applied in order to welcome newly employed workers to the organization, and this is done in order to integrate the new workers into the system.
This helps to increase the confidence of the employees, conducts to increase in the ownership of employees, and also boost employees morale.
Here, it includes:
Introduction to the company, its mission, and culture.Revaluation of company organizational chart.Employee handbook revaluation.Therefore, the correct option is A.
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Answer:
B
Explanation:
interactive orientation
Which conditions contribute to engine deposits ?
Answer: oxidation
combustion byproduct
road dust and dirt
moisture and acid.
Explanation:
One of the main cause of engine deposit is when one drives in areas whereby there are usually high temperature. In such scenarios, the excessive heat can lead to breakdown in the oil which results into engine deposits.
Other causes of engine deposit are oxidation, dust and dirts, the byproducts gotten from combustion etc.
how are you avalon23413?
Answer:
im great
Explanation:
What do havens and lotz call the primary goal or reason for being of the media industries?
The primary goal or reason for being of the media industries is often referred to as the "public interest" or "public service." Havens and Lotz, in their book "Critical Media Studies," discuss this concept in relation to the media industries.
The media industries have a responsibility to serve the public interest by providing information, entertainment, and education that is relevant, accurate, and accessible to a diverse audience. The public interest encompasses a range of objectives, including promoting democratic discourse, fostering social cohesion, and providing a platform for diverse voices and perspectives. It also involves ensuring the media industries operate in an ethical and responsible manner, adhering to journalistic standards and avoiding undue influence from political or commercial interests.
In summary, Havens and Lotz refer to the primary goal or reason for being of the media industries as the public interest or public service. This involves serving the needs of the public by providing relevant, accurate, and ethical content that informs, entertains, and educates while reflecting the cultural and social values of society.
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Thinking about your office or college, what types of
information are conveyed through the grapevine? How
often is the information accurate?
Answer: I would experience a lot of cluster chains speaking on if someone was in trouble. An employee would be called to the back office if they were either in trouble or getting a promotion.
Explanation:
you pay $1,092 for a 10yr bond today with a semi-annual coupon of 6%. you re-invest all coupon payments at an annual rate of 5%. after a period of 5 years you have a sudden need for cash and are forced to sell the bond. the 5-yr market rate at that point is equal to 4%. what was the effective annual yield that you have earned over the holding period of 5 years? (note semi annual coupon pmts)
The effective annual yield that you have earned over the holding period of 5 years is 4.04%.
The bond has a face value of $1000 and a semi-annual coupon rate of 6%, which means it pays $30 every six months. The bond is held for 5 years, which means there are 10 coupon payments in total.
The present value of the bond can be calculated as follows:
PV = 30/(1+0.05/2) + 30/(1+0.05/2)^2 + ... + 30/(1+0.05/2)^10 + 1000/(1+0.05/2)^10
PV = $1,092
This means the bond is purchased for $1,092.
Over the holding period of 5 years, there are 10 coupon payments of $30 each, which total $300. These coupon payments are reinvested at an annual rate of 5%, which means the future value of the reinvested coupons after 5 years is:
FV = 300 x (1+0.05/2)^10
FV = $349.29
At the end of 5 years, the bond is sold for its market value, which is calculated as follows:
MV = 1000/(1+0.04/2)^10
MV = $822.43
The total cash inflows over the holding period are:
Coupon payments = $300
Reinvested coupons = $349.29
Market value of bond = $822.43
The total cash outflow is:
Purchase price of bond = $1,092
EAY = [(1 + total cash inflows/total cash outflows)^(1/5) - 1] x 100%
EAY = [(1 + (300+349.29+822.43)/1092)^(1/5) - 1] x 100%
EAY = 4.04%
Therefore, the effective annual yield earned over the holding period of 5 years is approximately 4.04%.
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Explain why the linear model can provide approximate estimates of VaR for a portfolio containing options
Because the change in the value of an option is not proportional to the percentage change in the underlying variable, the linear model can yield approximate estimates of VaR for a portfolio incorporating options.
The direct model posits that changes in the value of a portfolio are commensurable to changes in the underpinning variables. As a result, it's simply an approximation for a portfolio incorporating options.
A nonstop response variable is described as a function of one or further predictor variables in a direct model. They can help you in comprehending and vaticinating the geste of complicated systems, as well as assaying experimental, fiscal, and natural data.
The word direct model is used else in statistics depending on the environment. The most common operation is in relation to retrogression models, and the expression is constantly used interchangeably with direct retrogression models. still, the expression is also used with a different connotation in time series analysis.
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Calculate the break-even point for a new toy that costs $12 to make and market and that will be sold for $15. The total quantity that will be sold at that price is 200,000.
try to solve for the break Based on the lesson example there were 2 steps. First, they determined the total cost of making the toys. After doing that, they were able to calculate the break - even point.
The company will need to sell at least 400,000 toys at $15 each to break even on their costs. Since they plan to sell 200,000 toys, they will not reach break-even point and will incur losses.
What is break-even point?The break-even point is a term used in finance and accounting to describe the point at which a business or investment venture reaches a point where the total revenue generated by sales or investments equals the total costs involved in producing or managing them. This is the point at which there is no profit or loss, and the investment or business is said to be "breaking even". The break-even point is a useful tool for investors and business owners to determine the minimum level of sales or returns needed to make a profit or recover their investment, and to make strategic decisions about pricing, production costs, and other factors that affect their profitability. In summary, the break-even point is the minimum level of sales or returns necessary to cover all costs and reach a point of no profit or loss.
The total cost of making and marketing one toy is $12.
Variable cost = $15-$12 = $3
Break-even point = total fixed costs / (price - variable cost)
Break-even point = $12 / ($15 - $12) = 400,000 toys
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Protecting intellectual property rights is important to a free enterprise system because:
A. it gives the government the ability to regulate businesses.
B. it allows entrepreneurs to profit from their ideas.
C. it ensures that businesses sell products at fair prices.
D. it makes more money available for starting new companies
Answer:
B. it allows entrepreneurs to profit from their ideas.
Explanation:
Intellectual properties are valuable ideas, innovations, and creations to a business. They are intangible assets that give a business its competitive advantage. Protecting intellectual properties ensure an individual or entity reaps the full benefits of the inventions and creations.
Protecting intellectual properties safeguards a company's ideas from being exploited by its competitors for commercial gains. It gives a business the right to exclusively profits from its innovations. Protecting intellectual properties encourages research and development as entrepreneurs are guaranteed to benefit from their creations.
Candidate Experience Survey
4. What are your reasons for recommending Target?
Target market provide excellent offers and discounts on high-quality products for men, women, and children, as well as home and personal accessories.
What has made Target so successful?More than half of the company's online sales come from its same-day services, which include Drive Up, a curbside pickup option; Order Pickup, which allows customers to retrieve online purchases in-store; and Shipt, a home delivery service.Target market provide excellent offers and discounts on high-quality products for men, women, and children, as well as home and personal accessories.Our guests' affordability is our priority. Our owned brands and handpicked collection of major national brands set us apart from the competition. Investing in creating a compelling and distinct shopping experience.To learn more about Target Market refer,
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Which step of the market research process involves specifying the research objectives and identifying the consumer population of interest?
The step of the market research process which involves specifying the research objectives and identifying the consumer population of interest is defining the research problem.
What is Consumer?A consumer is referred to as an end user of any product. He is the person who utilized or consumes the goods. For example, when parents purchase baby food, they will be considered customers, not consumers the consumer is a kid.
The first stage of the market research process includes the definition of the research problem which includes which the problem faced by the organization is identified and defined to seek a solution and perform the research.
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Mary accepts Joe's offer to buy 100 comic books. She sends her acceptance via fax. Mary and Joe live in a jurisdiction that applies the majority rule. When does her fax become effective?
Mary's acceptance of Joe's offer to buy 100 comic books becomes effective when it is received by Joe via fax. Under the majority rule, the acceptance is considered effective upon dispatch only if it is properly addressed, packaged, and has the necessary postage.
However, in this case, Mary's acceptance was sent via fax, and therefore, it becomes effective upon receipt by Joe. This means that Joe must have received Mary's acceptance for the offer to be considered legally binding.
It is essential to note that the majority rule is not applicable in all jurisdictions. Some jurisdictions follow the minority rule, which requires that the acceptance is effective upon receipt, regardless of how it is sent. Therefore, it is crucial to understand the applicable rule in your jurisdiction to ensure that your acceptance is legally binding.
In conclusion, Mary's acceptance of Joe's offer to buy 100 comic books becomes effective when it is received by Joe via fax. It is essential to understand the applicable rule in your jurisdiction to ensure that your acceptance is legally binding.
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What is significance of evaluating PeCS of a successfull entrepreneur? What insights can you draw from this activity?
Answer:
It is very important to assess one's personal entrepreneurial competencies (PECs) in order to know the strengths and weaknesses of the entrepreneur. In that manner, the entrepreneur can design a plan to compensate for his weaknesses and develop his strength in order to deliver the excellency that was expected of him.
On January 1, 2022, Ruiz Corporation issued $2,000,000 of 8% nonconvertible bonds at 98, which are due on December 31, 2041. In addition, each $1,000 bond was issued with 30 detachable stock warrants, each of which entitled the bondholder to purchase for $100 one share of Ruiz common stock, par value $5. The bonds without the warrants would normally sell at 91. On January 1, 2022, the fair value of Ruiz’s common stock was $90 per share and the fair value of the warrants was $3. What amount should Ruiz record on January 1, 2022 as paid-in capital from stock warrants?
On January 1, 2022, Ruiz Corporation should record $3,000 as paid-in capital from stock warrants. This is calculated by multiplying the number of stock warrants (30) by the fair value of each warrant ($3).
On January 1, 2022, Ruiz Corporation issued $2,000,000 of 8% nonconvertible bonds at 98, which means they were sold for 98% of their face value. The bonds are due on December 31, 2041. In addition to the bonds, each $1,000 bond was issued with 30 detachable stock warrants. Each warrant entitled the bondholder to purchase one share of Ruiz common stock for $100, and the par value of the common stock was $5.
To determine the amount of paid-in capital from stock warrants that Ruiz should record on January 1, 2022, we need to calculate the fair value of the warrants and then multiply it by the number of detachable stock warrants issued.
Given that the fair value of Ruiz's common stock on January 1, 2022, was $90 per share and the fair value of the warrants was $3, we calculate the total fair value of the detachable stock warrants:
Fair value of the warrants = Fair value of each warrant * Number of warrants per bond
= $3 * 30
= $90
Next, we need to determine the total number of detachable stock warrants issued. Each bond had 30 warrants, and $2,000,000 of bonds were issued at $1,000 per bond, so the total number of detachable stock warrants is:
Total number of detachable stock warrants = Number of warrants per bond * Number of bonds
= 30 * ($2,000,000 / $1,000)
= 30 * 2,000
= 60,000
Now we can calculate the amount of paid-in capital from stock warrants:
Amount of paid-in capital from stock warrants = Fair value of the warrants * Total number of detachable stock warrants
= $90 * 60,000
= $5,400,000
Therefore, Ruiz Corporation should record $5,400,000 as paid-in capital from stock warrants on January 1, 2022.
This amount represents the value attributed to the detachable stock warrants that were issued along with the bonds. It reflects the additional value that investors are willing to pay for the opportunity to purchase shares of Ruiz's common stock at a discounted price in the future. By recording this amount as paid-in capital from stock warrants, Ruiz properly reflects the equity value associated with the issuance of these warrants to its bondholders.
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An important textile industry developed across the islamic world propelled by the staple crop of?
The important textile industry grew up, propelled by the staple crop of cotton.
The textile industry in the Islamic world rose after the time of Prophet Mohammad in the year 632 A.D.
Islamic robes were considered to be of very high quality, and they were made in both caliphal and public-run industries. These robes were presented to higher people to honor and respect them.
With the propelling of the cotton crop, the Islamic textile factory flourished as they got beautiful cotton fabrics to create more amount of products. With cotton, they could also produce canvases for the sails of the ships.
Another fabric that was used by the Islamic textile industries was linen.
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Explain how and why a manufacturer of ice cream products should be ‘market orientated ’.
Answer:
A market-oriented ice cream manufacturer focuses on meeting customer needs and preferences. This involves conducting market research to determine what flavors, packaging, pricing, and features are appealing to their target audience. Regularly seeking feedback from customers helps them make necessary changes. Being market-oriented helps manufacturers stay competitive, build brand loyalty, and ensure customer satisfaction.
Smoothies Unlimited is considering opening a smoothie bar in Mandeville. The first expenditure is the $25,000,000 investment required to retrofit the location. Based on the analysis, the probabilities are 0.25 that it will be extremely popular, 0.60 that it will be moderately successful and 0.15 that it will not perform well. If the smoothie bar is extremely popular, operating cash flows of $10 million at the end of years 1, 2 and 3 will be expected. In that case, the company will expand the business at the end of year 3 at a cost of $8,000,000. After the expansion, the probabilities are 0.75 that the subsequent operating cash flows at the end of year 3 will be $16,000,000 , 0.25 that they will be $10,000,000. Each of these cash flow streams would continue in years 4 to 8. If the smoothie bar is moderately successful, operating cash flows of $6 million per year at the end of years 1 through 8 are expected. If the smoothie bar is does not perform well, cash flows are expected to be $2,000,000 per year over the 8-year life of the project. If this is the case, Raw Foods will close the smoothie bar at the end of the second year. $8 million of the original investment would be recovered.
Smoothies Unlimited has to invest $25,000,000 to retrofit the location. The probabilities are 0.25 that the smoothie bar will be extremely popular, 0.60 that it will be moderately successful, and 0.15 that it will not perform well.
The operating cash flows are:If the smoothie bar is extremely popular, operating cash flows of $10 million at the end of years 1, 2, and 3 will be expected. In that case, the company will expand the business at the end of year 3 at a cost of $8,000,000. After the expansion, the probabilities are 0.75 that the subsequent operating cash flows at the end of year 3 will be $16,000,000, and 0.25 that they will be $10,000,000. Each of these cash flow streams would continue in years 4 to 8.If the smoothie bar is moderately successful, operating cash flows of $6 million per year at the end of years 1 through 8 are expected.If the smoothie bar does not perform well, cash flows are expected to be $2,000,000 per year over the 8-year life of the project. If this is the case, Raw Foods will close the smoothie bar at the end of the second year. $8 million of the original investment would be recovered.From this analysis, the following table can be drawn:Explanation:The NPV analysis requires the calculation of the present value of future cash flows discounted at the company’s cost of capital. It is an investment appraisal technique that helps to decide whether a project is worth investing in or not.To calculate the NPV of the project, the expected cash flows must be determined. Then the cost of capital, which is the required rate of return, is used to discount them back to the present value. Finally, all the present values are summed up to give the NPV of the project.
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