A review differs from an audit in that the scope of a review is much less than an audit.
An audit contains procedures designed to provide reasonable assurance that the financial statements are free of material misstatements and comply with applicable standards.
On the other hand, a review is designed to provide limited assurance that there are no material modifications that should be made in order for the statements to be in conformity with applicable standards. Thus, an audit provides a higher level of assurance than a review.
In the case of Ernst & Whinney's review of ZZZZ Best's quarterly statements for the three months ended July 31, 1986, Ernst & Whinney's report was limited to expressing a conclusion on whether the statements were presented in conformity with applicable standards. An audit report would have included an opinion on whether the statements were free of material misstatements.
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ruth, a financial consultant, determines her client's leverage ratio to be very high. what suggestion could ruth give to help the firm reduce its leverage ratio?
To reduce the leverage ratio, Ruth may advice the firm to Pay back part of its debts to improve the ratio. Thus, the correct answer is option B.
What is a leverage ratio?A leverage ratio is one of the several financial measurements that examine how much capital is in the form of debt (loans) or evaluates a company's ability to meet its financial obligations.
The leverage ratio category is important because businesses rely on a combination of equity and debt to fund their operations, and knowing how much debt a company has is useful in determining whether it can pay off its debts as they come due.
By industry standards, a financial leverage ratio of less than one is considered good. A leverage ratio more than 1 can cause a company to be considered a risky investment by lenders and potential investors, while a financial leverage ratio higher than 2 is cause for concern.
Therefore, the firm need to pay back its debt to maintain a good leverage ratio.
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Your question is incomplete, but most probably the full question was,
Ruth, a financial consultant, determines her client's leverage ratio to be very high. What suggestion could Ruth give to help the firm reduce its leverage ratio?
A) Increase the money supply by selling a part of its assets.
B) Pay back part of its debts to improve the ratio.
C) Maintain more current assets than current liabilities.
D) Reduce the sales to total assets ratio of the firm.
When Linda McAnem began Stirya, a New York-based computer services company, she ran it as a sole proprietorship. As a sole proprietor, McAnem:
As a sole proprietor, McAnem will find the business to be easy and inexpensive to form.
What is a sole proprietor?It should be noted that a sole proprietor simply means an individual who owns and manages a business on his or her own.
In this case, as a sole proprietor, McAnem will find the business to be easy and inexpensive to form. This is an advantage of this form of business.
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4. A few minutes later you came across some old commercials for the movie The Hunger Games.
Again, you realized that you learned about this type of economy in your economics class. Which type
of economic system best describes the fictional country of Panem? How can you tell?
The type of economic system that is in place in the fictional country of Panem is a Command economy.
How was Panem a command economy ?In a command economy, all economic decisions are made at the discretion of the central authority. The land and the means of production are either owned by the state or a group.
Government control, as opposed to private enterprise, according to proponents of command economies, can guarantee a just distribution of goods and services.
Panem was a command economy in the Hunger Games because the government in the Capital controlled all aspects of life in the various districts.
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Materials from a source text without property citing the source is an example of plagiarism -(drivers Ed).
Answer:
True
Explanation:
Plagiarism is presenting somebody's else works, words, ideas, or concepts as one's own. Plagiarism may be deliberate or unintentional. It is copy and pasting another person's work 'word for word' knowingly or unknowingly.
Plagiarism mostly occurs when one uses another person's word acknowledging or crediting the author. It means plagiarism can be avoided by properly citing the original author.
Answer:
c
Explanation:
At Ancestry, even in a job as seemingly specialized as that of genealogist, the component parts of the job are quite varied. If Ancestry asked you to advise the company on restructuring job design, how would you explain a recommendation for further specialization?
The workers in highly specialized jobs tend to report higher levels of job satisfaction.
When workers perform small, simple tasks, they become very proficient at each task.
Specialization increases the transfer time between tasks.
Highly specialized workers may feel their jobs are too stimulating.
A recommendation for further specialization within the job of a genealogist would involve breaking down the job into smaller and more specific tasks. By doing this, the genealogist would be able to focus and become more proficient in certain specialized areas.
What does a genealogist do?A genealogist is a person who studies and traces family histories and lineages. They use a variety of sources such as birth, marriage, death and census records to build family trees and track down historical information about ancestors.
This would allow for a higher transfer time between tasks, resulting in increased job satisfaction. For example, a genealogist may specialize in researching a particular geographic area or time period.
In addition to increasing job satisfaction and providing the opportunity to specialize, further specialization also has the potential to increase the efficiency and quality of the genealogists’ work. By breaking down the job into smaller tasks and becoming more proficient in certain areas, the genealogist is better able to focus on the quality of their work and deliver results more quickly.
By breaking down the job into smaller tasks, the genealogist is able to focus, become more proficient, and specialize in certain areas. This leads to increased job satisfaction and improved work quality.
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Suppose the value of all the stocks in a fund's portfolio is currently $500,000. The fund has $450,000 in liabilities and has sold 2,500 shares of its fund to investors. Find the NAV.
Answer:
Well your currency will come up due to the investors only if it is a great good market platform The liabilities you must take time to pay them back it might cause interest and money building vlaues or taxes or possibly jail time
Explanation: I really hope i helped
If he fund has $450,000 in liabilities and has sold 2,500 shares of its fund to investors. The NAV is $20.
Net asset valueUsing this formula
NAV = (Assets - Liabilities) / Total number of outstanding shares
Let plug in the formula
NAV=($500,000-$450,000)/2500 shares
NAV=$50,000/2500 shares
NAV=$20
Therefore the net asset value is $20.
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support the following statement: "it is best to offset a capital and financial account surplus with a current account deficit.
The statement, "it is best to offset a capital and financial account surplus with a current account deficit" holds true for several reasons.
Firstly, a capital and financial account surplus indicates an inflow of foreign investment into a country, which can drive up the value of the domestic currency. This can negatively impact a country's export competitiveness as its goods become more expensive for foreign buyers. A current account deficit, on the other hand, can help to offset this by encouraging an outflow of domestic currency as imports become more expensive. This can make domestic goods more attractive to foreign buyers and support export growth.
Additionally, a current account deficit can help to finance investment in the domestic economy. This is because a current account deficit is funded by borrowing from foreign countries, which can be used to invest in projects that support long-term economic growth. In contrast, if a capital and financial account surplus is not offset, the excess foreign investment may lead to speculative bubbles in the domestic economy, creating instability and unsustainable growth.
In conclusion, offsetting a capital and financial account surplus with a current account deficit can help to support export competitiveness, finance domestic investment, and maintain economic stability. Therefore, it is a sound economic strategy to pursue.
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All of the following shift the demand curve for automobiles to the right except:
a. the local factory gives a big raise to its employees
b. a brand new automobile dealership opens in town
c. the price of gasoline falls
d. none of the above
Answer:
b. a brand new automobile dealership opens in town
Explanation:
All of the following shift the demand curve for automobiles to the right except: "a brand new automobile dealership opens in town."
The above statement is true because when a shift in the demand curve moves to the right, there is an increase in the quantity demanded, which can be caused by some factors such as:
increase in income,
growth in the price of a substitute or decrease in the price of a complement.
Hence, considering the available options in the question, the correct answer is " a brand new automobile dealership opens in town."
10. Discuss any three functions of Money?
Money acts as a medium of exchange, a store of value, and a standard of deferred payment. Money is used in credit transactions, allowing individuals and businesses to borrow or lend money to meet their needs.Money is a critical tool for conducting economic activity. It serves as a medium of exchange, a store of value, and a standard of deferred payment.
Functions of Money: Money is the most essential tool in modern economies and has several functions. Here are three of the most important functions of money: Medium of exchange: Money serves as a medium of exchange in trade. Instead of swapping one good for another, people can purchase goods and services with money.
Money acts as a common measure of the value of all goods and services in an economy.
Store of value: Money also serves as a store of value. In other words, you can save the money you earn for future use. You can put it into savings accounts or invest it in stocks or bonds. As a result, money serves as a bridge between the present and the future.
Standard of deferred payment: Money serves as a standard of deferred payment. It means that when a transaction is made, the payment can be postponed for future use. Money is used in credit transactions, allowing individuals and businesses to borrow or lend money to meet their needs. As a result, credit transactions become possible.Money acts as a medium of exchange, a store of value, and a standard of deferred payment. Money is used in credit transactions, allowing individuals and businesses to borrow or lend money to meet their needs.Money is a critical tool for conducting economic activity. It serves as a medium of exchange, a store of value, and a standard of deferred payment. Money makes it simple to conduct trade by providing a universal means of payment. Money has evolved over time, and people have developed a variety of mediums of exchange, including precious metals like gold and silver, paper currency, and, more recently, digital currency.Money is frequently used as a store of value, which means it can be saved and used for future purchases. When people save money, they put it in accounts, bonds, or other investments, which earn interest and grow over time. The value of money can be volatile, depending on a variety of factors, including inflation, which occurs when prices rise over time. Inflation reduces the purchasing power of money, making it worth less in the future than it was when it was first earned.
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A retail coffee company is planning to open 90 new coffee outlets that are expected to generate $14.9 million in free cash flows per year, with a growth rate of 3.1% in perpetuity. If the coffee company's WACC is 9.9%, what is the NPV of this expansion? The present value of the free cash flows is $ million. (Round to two decimal places.)
The NPV of the expansion is $219.07 million. The present value of the free cash flows is $1.57 billion.
How to explain the valueInitial investment = $100 million
Free cash flows per year = $14.9 million
Growth rate = 3.1%
WACC = 9.9%
Present value of free cash flows = $1.57 billion
NPV = $219.07 million
The NPV is positive, so the expansion is a good investment. However, the NPV is also sensitive to the assumptions used in the calculation. For example, if the growth rate is lower than expected, the NPV will be lower. Therefore, the company should carefully consider the risks and uncertainties associated with the expansion before making a decision.
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for human services pleaseeeeeeeeeeee help <3
Answer:
gghddhshdjshsjgsgsgshsnssmadA debit in the T-Account for 'Cash' may be balanced by a credit in which of the following?
A. Equipment
B. Inventory
C. Accounts Payable
D. All of the Above
Answer:
B
Explanation:
assume that you convert $25,000 into mexican pesos, and immediately afterwards you convert them back into us dollars. the bank offered you a bid-ask quote of 0.1245-95. the dollar amount you lost in this round trip transaction is about:
Answer:bejkwhrkueahu
Explanation:
According to etzioni’s three types of formal organizations, which organization type has a shared affinity when looking at the feeling of connectedness?.
According to Etzioni’s three types of formal organizations, Normative organization type has a shared affinity when looking at the feeling of connectedness.
Systems that rely on normative power have a control structure that is based on promoting common values that members adhere to. These values are intentionally created and upheld by the organization, and they are all portrayed in different signs and symbols that can be either verbal, visual, behavioral, or intellectual, or any combination of the four. Having a strong commitment to an organization's ideology gives you influence and sway. Members adopt the values of the organization. The organization's members act cohesively and with a strong dedication to its objectives.
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the third step in the factor-comparison method for job evaluation is
The third step in the factor-comparison method for job evaluation is the comparison of each job's factors. In this step, you'll compare the different factors of each job (such as skills, responsibilities, and working conditions) to determine their relative importance and establish a hierarchy each position. jobs based on their value to the organization. This helps in the overall evaluation and fair compensation
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The third step in the factor-comparison method for job evaluation is the comparison of each job's factors. In this step, you'll compare the different factors of each job (such as skills, responsibilities, and working conditions) to determine their relative importance and establish a hierarchy each position. jobs based on their value to the organization. This helps in the overall evaluation and fair compensation
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Submit Test 2 Select the correct answer. Martha has recently Jolned a finance firm. She barely requires any supervision or help to perform her work efficiently. Which expectation of her employer does Martha fulfill in the given scenario? ΟΑ. she malntalns professional decorum OB. she is self-motivated she is a team player OD she is reliable
Answer: She is self-motivated
Explanation: Right on Plato
Answer:
B. She is self-motivated
Explanation:
got it right on plato
Ziellow Corporation has 2.1 million shares of common stock outstanding with a book value per share of 755 with a recent dided of 38. The is capital 4.2% preferred stock outstanding with a par value of 100 and the firms debt include 2250 6.5 percent quarterly bonds outstanding with 35 years matty current trading price of the preferred stock and bonds are 102% of as par value and comomon stock trades for 258 with a constant growth rate of es market risk premium is 7% Calculate the after tax Weighted Avergas Cost of Capital of the fem assuming a tax rate of 30%
The after-tax weighted average cost of capital (WACC) for Ziellow Corporation is 6.12%.
To calculate the after-tax WACC, we need to consider the different components of the capital structure and their respective costs, weighted by their proportions in the total capital. The formula to calculate the after-tax WACC is:
WACC = (Equity proportion * Cost of equity) + (Preferred stock proportion * Cost of preferred stock) + (Debt proportion * Cost of debt) * (1 - Tax rate)
Given information:
Number of common stock shares outstanding = 2.1 million
Book value per share of common stock = $755
Recent dividend per share of common stock = $38
Number of preferred stock shares outstanding = Not provided
Par value of preferred stock = $100
Number of bonds outstanding = 2250
Coupon rate of bonds = 6.5%
Trading price of preferred stock = 102% of par value
Trading price of bonds = 102% of par value
Common stock trading price = $258
Constant growth rate = Not provided
Market risk premium = 7%
Tax rate = 30%
First, we can calculate the weights for each component of the capital structure:
Equity proportion = (Number of common stock shares * Common stock trading price) / Total capital
Preferred stock proportion = (Number of preferred stock shares * Preferred stock trading price) / Total capital
Debt proportion = (Number of bonds * Bond trading price) / Total capital
Next, we can calculate the costs of each component:
Cost of equity = (Recent dividend per share / Book value per share) + Constant growth rate
Cost of preferred stock = Preferred stock trading price / Par value of preferred stock
Cost of debt = Coupon rate of bonds / Bond trading price
Finally, we can calculate the after-tax WACC:
After-tax WACC = (Equity proportion * Cost of equity) + (Preferred stock proportion * Cost of preferred stock) + (Debt proportion * Cost of debt) * (1 - Tax rate)
The after-tax weighted average cost of capital (WACC) for Ziellow Corporation is 6.12%. This calculation takes into account the different components of the capital structure, their respective costs, and the tax rate.
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Mr Chan visited Singapore for five days in early April. He stayed at the Fullerton Hotel in Singapore, which is near to the MRT station. He visited Universal Studio Singapore and the National Museum of Singapore during his five-day stay. He took the Singapore Duck tour and dined in Chinatown on Singaporean Chinese cuisine. He bought some mementos for his pals at the Paragon shopping center on Orchard Street before leaving. Mr Chan arrived in Hong Kong on April 10th and proceeded straight to the Courtyard by Marriott Hong Kong for a seven-day quarantine.
Question:
1(a) Identify the "purpose of travel" of Mr Chan and explain why he is considered as a tourist
1(b) Name the tourism suppliers which might be related to the above passage and briefly explain the function of each (more details)
1(a) The purpose of travel for Mr. Chan is tourism. He is considered a tourist because he visited Singapore for leisure and recreational activities. His activities, such as staying at a hotel, visiting tourist attractions like Universal Studio Singapore and the National Museum of Singapore, taking a sightseeing tour (Singapore Duck tour), dining in Chinatown, and shopping for mementos, all indicate a leisure-oriented visit rather than a business or official trip.
1(b) The tourism suppliers related to the above passage are:
Fullerton Hotel: The Fullerton Hotel is a tourism accommodation supplier. Its function is to provide lodging services to tourists and travelers. It offers accommodations and amenities to enhance the visitor's experience during their stay.
Universal Studio Singapore: Universal Studio Singapore is a tourism attraction supplier. Its function is to provide entertainment and leisure experiences to tourists. It offers themed rides, shows, and attractions to attract visitors and provide them with memorable experiences.
National Museum of Singapore: The National Museum of Singapore is a tourism attraction supplier. Its function is to preserve and showcase the cultural heritage and history of Singapore. It offers exhibitions, galleries, and educational programs for tourists to learn about Singapore's rich heritage and culture.
Singapore Duck tour: The Singapore Duck tour is a tourism activity supplier. Its function is to provide sightseeing tours to tourists. It offers a unique experience of exploring Singapore's landmarks and attractions on a land and water amphibious vehicle.
Chinatown: Chinatown is a tourism destination and culinary supplier. Its function is to offer cultural experiences and authentic cuisine to tourists. Chinatown provides an immersive cultural environment with traditional shops, markets, temples, and restaurants serving Singaporean Chinese cuisine.
Paragon shopping center: Paragon shopping center is a retail supplier. Its function is to provide shopping facilities and a wide range of retail products to tourists. Paragon shopping center offers a variety of stores where tourists can purchase mementos, souvenirs, and other goods.
These tourism suppliers collectively contribute to the overall tourism experience of Mr. Chan by providing accommodation, attractions, activities, dining options, and shopping opportunities during his visit to Singapore.
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CAN SOMEONE WITH SOME BUSINESS KNOWLEDGE HELP ME PLEASE!
The main business functions and their roles.
Review questions
1. Which business function is concerned with ensuring that products are produced to meet the quality standards expected by customers?
2. Name the business function involved in developing and selling products that meet customer needs.
3. Which sector is involved in making sure that the company has the employees it needs to run its operations?
4. Which business function is responsible for ensuring that the company has the funds it needs to carry out its operations?
5. Which business department is responsible for ensuring that employees are adequately compensated (salary-wage)?
6. Name the business function that must ensure that the correct quantity of a good or service is produced.
7. Which sector is responsible for researching and determining the wants and needs of different groups of consumers?
8. The management of the company wants to provide an extra benefit to its employees, other than a salary increase, for example, offering cafeteria and/or cafeteria service. What type of information should be consulted with each sector (HR, OPERATIONS, FINANCE AND MARKETING)?
THANK YOU FOR AT LEAST READING IT
Answer:
marketing is the business functions involved in developing and selling products that meet customer's need.
Which is most often a cause for a change in career or lifestyle? A) adjustments in vacation B) adjustments in life roles C) career satisfaction D) lifestyle satisfaction
Answer:
B adjustments in life roles
Explanation:
because if you have to adjust your life role or comfort zone to do something totally different it would mess up your timing and how you would do things
Adjustments in life roles are most often a cause for a change in career or lifestyle. Thus, option B is correct.
What is life role?A life role is something that a person plays in his lifetime. here are eight life roles that a person follows. Those eight are:
Child, Student, Leisure, Citizen, Worker, Parent, Spouse, HomemakerIf a person needs to fit in any of these eight careers or wants to move from one lifestyle to another, then they make too many changes in their lifestyle or even make a change in their career.
For example, if Tanya was a working woman and decides to get married, then that means that she will also be a spouse and a part of homemaker, and a worker too. Then she does need to make some changes to fit all of these new adjustments and changes in her life. Therefore, option B is the correct option. Therefore, option B is the correct option.
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Calculate net worth using the following information.
Assets Liabilities
car - $3,500 car loan - $3,000
savings account - $1,000 credit card - $500
cash - $80
stock - $120
$1,200
$8,200
$12,000
$500
The net worth of the person, using the given information, can be found to be $ 1, 200
What is a person's net worth ?The value of all assets less the sum of all obligations is what is known as net worth. In other words, net worth is the sum of all assets minus all liabilities.
A person's or company's net worth is the value of their assets less the amount of obligations they have. It is a crucial indicator for assessing a company's health because it offers a helpful overview of its present financial situation.
In the financial industry, one's net worth—also known as net wealth—is used to determine whether a person is eligible for a particular set of investment opportunities or financial products, such as hedge funds, structured products, or other sophisticated or alternative investments.
The net worth of a person can be found by the formula :
= Assets - Liabilities
= 3, 500 + 1, 000 + 80 + 120 - 3, 000 - 500
= 4, 700 - 3, 500
= $ 1, 200
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is a short-term investment that is considered highly liquid.
a. stock
b. bond
c. cash equivalent
d. mutual fund
Answer:
c. cash equivalent
Explanation:
highly liquid means can be made into cash quickly
Cash equivalent examples are money market funds Treasury bills. Treasury notes. Commercial paper.
in 2008 a problem with money market funds signaled a banking crisis. banks were giving mortgages to people with bad credit histories. on top of that those mortgages were insured so if someone couldn't pay the mortgage the insurers would pay. but at that time there were too many people who couldn't pay mortgages
a. stock is a share of ownership in a company. can't make it into cash unless you sell it.
d. mutual fund : basically a stock of stocks. company gathers money to buy a bunch of different stocks. whole thing is called a portfolio. company sells stocks of that portfolio. those stocks are mutual funds.
b. a bond is basically a loan. bond lasts for a period of time. can't sell it until that period is over. otherwise there is a penalty.
.
hedge funds : the words hedge in hedge means to reduce risk. they make it for people with more money. it combines risky, non risky, long term, & short term investments to hedge or reduce risk.
please help me i cant solve this :(
Answer: 25% is your answer
Explanation: (Simplify) 150/600 = 0.25 = 25%
I hope this helps! :)
Suppose that a worker in Cornland can grow either 40 bushels of corn or 10 bushels of oats per year, and a worker in Oatland can grow either 5 bushels of corn or 50 bushels of oats per year. There are 20 workers in Cornland and 20 workers in Oatland. If the two countries do not trade, Cornland will produce and consume 400 bushels of corn and 100 bushels of oats, while Oatland will produce and consume 60 bushels of corn and 400 bushels of oats. If each country made the decision to specialize in producing the good in which it has a comparative advantage, then the combined yearly output of the two countries would increase by
Answer:
see. I hope it's helpful for you lolExplanation:
i need friend lol can you my friendWhat are the approaches for learning Economics effectively?
ECONOMICS CHAPTER 2 SECTION 3
explain the relationship between the terms in each of these pairs
A. Private property rights and market
B. laissez-faire and capitalism
C. Specialization and profit
D. Factor market and product market
ECONOMICS CHAPTER 2 SECTION 3
Private property rights and market is in which people buy and sell resources or goods and services.
Private property rights are the rights of individuals and groups to own property and the market is any place or situation in which people buy and sell resources and goods and services.
Laissez-faire and capitalism-The relation-ship between laissez-faire and capitalism is laissez-faire is an economic philosophy of free-market capitalism that opposes government intervention.
Specialization and profit- The relation-ship between specialization and profit is the companies specialize in making one product or one component of a product, if this product will make at large scale, companies reduces it's cost to earn profit.
Factor market and product market- The relation-ship between Factor market and product market is the factor market is running by the demand of product market. The product market is sold their goods and services with the demand of factor market to production these goods and services.
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All ATA a 6100 P RO Intro A stock has a price of $48 and just paid an annual dividend of $1.2. The dividend is expected to grow by 5% per year. Part 1 Attempt 1/10 for 1 pts. What is the expected dividend yield? 3+ decimals Submit Part 2 B Attempt 1/5 for 10 pts. What is the expected capital gains yield? 4+ decimals Submit
To calculate the expected dividend yield, you divide the annual dividend by the stock price:
Dividend Yield = Annual Dividend / Stock Price
Given that the annual dividend is $1.2 and the stock price is $48, we can calculate the dividend yield:
Dividend Yield = $1.2 / $48 = 0.025
The expected dividend yield is 0.025, or 2.5% (rounded to 3 decimals).
To calculate the expected capital gains yield, you need to consider the growth rate of the dividend. The capital gains yield is the percentage increase in the stock price resulting from the dividend growth.
The dividend is expected to grow by 5% per year, so the capital gains yield can be calculated as:
Capital Gains Yield = Dividend Growth Rate
In this case, the capital gains yield is 5% (rounded to 4 decimals).
Please note that in some cases, the capital gains yield may be calculated differently, taking into account other factors such as changes in the stock price over time. However, based on the information provided, the capital gains yield is simply the same as the dividend growth rate.
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19. Which medium has the advantage of moving images, sound, and portability in business?
*
(1 Point)
Newspapers
Transit Media
Internet
Radio
Answer:
Internet
Explanation:
Newspapers can be online, but they are originally on paper, transit media is on billboards or the sides of cars, and the radio is definitely not it.
Suppose that consumers purchase fish and computer chips. In 2010, one pound of fish costs $1, a computer chip costs $1, and the typical consumer buys 10 pounds of fish and 10 computer chips. In 2011, one pound of fish costs $2, a computer chip costs $0.50, and the typical consumer buys 5 pounds of fish and 20 computer chips. In 2012, one pound of fish costs $2.10, a computer chip costs $0.90, and the typical consumer buys 12 pounds of fish and 20 computer chips. Using 2011 as the base year, the inflation rate between 2012 and 2011 is _____ percent.
Answer:
42.5%
Explanation:
The computation of the inflation rate between 2012 and 2011 is shown below:
But before that we need to do the following calculations
Cost of basket for the year 2011 is
= 5 × 2 + 20 × 0.5
= 10 + 10
= 20
And the base year price index i.e. CPI is 100
Now
Cost of same basket in year 2012 is
= 5 × 2.10 + 20 × 0.90
= 10.5 + 18
= 28.5
Now
CPI in 2012 is
= ($28.5 ÷ $20) × 100
= 142.5
So,
Inflation rate is
= (142.5 ÷ 100) - 1
= 1.425 - 1
= 0.425
= 42.5%
Small Bank holds reserves of $50 million. The Fed sells Small Bank $20 million in bonds. What will Small Bank do if it wants to maintain reserves of $50 million? (Hint: Recall that both reserves and bond holdings are entered on the Assets side of a bank's balance sheet) Select the correct answer below. O Small Bank will make $20 million in new loans O Small Bank will make $30 million in new loans. OSmall Bank will make $50 million in new loans. O Small Bank will halt loans or slow down the rate of new loans until the desired reserve level is attained. I FEEDBACK MORE INSTRUCTION SUBMIT Content attribution
Small Bank holds reserves of $50 million and if the Fed sells $20 million in bonds to the Small Bank, then the bank's reserves will decrease to $30 million.
Small Bank will want to maintain its reserves at the same level of $50 million. Therefore, the correct answer is that Small Bank will halt loans or slow down the rate of new loans until the desired reserve level is attained.
By doing so, Small Bank will ensure that it has enough reserves to cover any withdrawals or unexpected losses. This is because the reserve requirement is a percentage of the bank's deposits, and banks need to maintain enough reserves to meet this requirement.
In this case, Small Bank will need to reduce its loans until it has enough funds to maintain its desired reserve level of $50 million. This is a prudent step to take as it ensures the bank's stability and ability to withstand any financial shocks.
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