generally, a high ratio could lead investors and creditors to view the company as being very risky.

Answers

Answer 1

Generally, a high debts to owner's ratio could lead investors and creditors to view the company as being very risky.

A financial indicator that reveals how much debt and shareholder equity were used to finance a company's assets is the debt-to-equity ratio. The ratio, which is also frequently referred to as risk, gearing, or leverage, is intimately connected to leveraging. Generally speaking.

A debt-to-equity ratio of around 2 or 2.5 is considered to be favourable, though this varies by business.This ratio states that the firm obtains about 66 cents of every dollar invested in debt, with the remaining 33 cents coming through equity. If a company has a debt-to-equity ratio of 1.5, it has $1.50 in debt for every $1 in equity.

Complete question:

Generally, a high________ratio could lead investors and creditors to view the company as being very risky.

To know more about Debts equity ratio visit:

https://brainly.com/question/29955670

#SPJ4


Related Questions

rita has decided to leave her first job because she has been offered a position with a better chance of promotion. rita should tell her supervisor that she is resigning as soon as she accepts the offer

Answers

True, Rita has decided to leave her first job because she has been offered a position with a better chance of promotion. Rita should tell her supervisor that she is resigning as soon as she accepts the offer.

What is a supervisor's job description?

The supervisor's overall duties include communicating organizational needs, keeping an eye on employee performance, providing guidance and support, pointing out potential development areas, and managing the working relationship between staff and the organization to the mutual benefit of both parties.

What is a supervisor, exactly?

a full-time position as a supervisor at a factory. A supervisor is a person who oversees activities or people, notably workers or pupils. Each student has a supervisor who may offer guidance on the dissertation writing process. Synonyms include manager, supervisor, chief, and boss [informal]. Supervisor antonyms.

To know more about Supervisor visit:

https://brainly.com/question/14936907

#SPJ4

In November 2017, Treasury 4 5/8s of 2042 offered a semiannually compounded yield to maturity of 2.62%. Recognizing that coupons are paid semiannually, calculate the bond's price. Assume face value is $1,000. (Do not round intermediate calculations. Round your answer to 2 decimal places.)

Answers

Answer:

Price of Bond = $1,365.98

Explanation:

Face Value = $1000

Yield to Maturity = 2.62% compounded semiannually

Coupon Rate = 4 5/8 = 4+ 5/8 = 4.625%

Time To Maturity = 2042-2017 = 25 years

Semiannual Coupon Payment = 4.625% *1000/2

Semiannual Coupon Payment = $23.125

Price of Bond = 23.125(P/A,1.31%,50) + 1000(P/F,1.31%,50)

Price of Bond = 23.125*36.514 + 1000*0.5216

Price of Bond = 844.38 + 521.6

Price of Bond = $1,365.98.

Ramon has decided to make a cash gift to the American Heart Association of $113,000. However, he is considering delaying his gift until next year when his AGI will increase to $300,000 and he will be in the 32% income tax bracket, an increase from his current-year income tax bracket of 24%.

Assume a 6% discount rate. The present value factors, at a 6% discount rate, are as follows:

Year PV factor at 6%
1 0.9434
3 0.8396
5 0.7473

Ramon asks you to determine the tax savings from the tax deduction in present value terms if he were to make the gift this year, rather than delaying the gift until next year. For purposes of this analysis, ignore the potential impact of the overall limitation on certain itemized deductions.

Total present value of tax savings from the tax deduction if made this year:$________
Total present value of tax savings from the tax deduction if made next year: $_______

Answers

Answer: See explanation

Explanation:

Since the AGI is given as $180,000, his charitable contribution will be:

= $180,000 × 60%

= $180,000 × 0.6

= $108,000

a. The Total present value of tax savings from the tax deduction if made this year will be:

Present value of tax savings = $108000 × 24% = $108000 × 0.24 = $25920

Add: Present value of tax savings for deferred part = ($113000 - $108000) × 0.9434 × 32% = $1509

Therefore, Total present value of tax savings from the tax deduction if made this year will be:

= $25920 + $1509.44

= $27429.44

b. Total present value of tax savings from the tax deduction if made next year will be:

= $113000 × 0.9434 × 32%

= $113000 × 0.9434 × 0.32

= $34113.34

Super Computer Company's stock is selling for $100 per share today. It is expected that, at the end of one year, it will pay a dividend of $6 per share and then be sold for $114 per share. Calculate the expected rate of return for the shareholders. A) 20% B) 15% C) 10% D) 25%

Answers

Answer: A. 20%

Explanation:

The expected return takes into account whatever dividends and capital gains accrue to a stock over the period.

Expected return = (Price at end of period + Dividends - Price at beginning of period) / Price at beginning of period

= (114 + 6 - 100) / 100

= 20/100

= 20%

it is not easy to rule India with only one government​

Answers

True ...........................

Hank wanted to make
$75,000 this year.
Instead, he made made
$60,000.
Calculate the variance.
$[?]

Hank wanted to make$75,000 this year.Instead, he made made$60,000.Calculate the variance.$[?]

Answers

Explanation:

Based on the given conditions, formulate;

75000- 60000= 15000

Answer:

based on giving terms the answer to this question is 1500


The competitive threat that outsiders will enter a market is weaker when

Answers

The competitive threat that outsiders will enter a market is weaker when the incumbents enjoy substantial cost advantages.

The competitive threat that outsiders will enter a market refers to the possibility that new firms will enter a market to compete against existing firms. It is the degree of competition in a market that is determined by the ability of other companies to enter the same market and offer similar goods or services at a lower cost.

There are certain factors that determine the competitive threat of outsiders, these are:Ease of Entry: When the cost of entering a market is low, the threat of new entrants is high and vice versa.Brand loyalty: In markets where consumers are more loyal to the existing brands, the competitive threat of new entrants is weaker.

Patents: In markets where incumbents hold many patents, the competitive threat of new entrants is weaker.Cost advantage: The competitive threat of outsiders is weaker when incumbents enjoy substantial cost advantages.Cost advantage is the answer to your question.

The competitive threat that outsiders will enter a market is weaker when incumbents enjoy substantial cost advantages.

For more such question on competitive visit:

https://brainly.com/question/28967395

#SPJ8

SELECT AN ORGANISATION OF YOUR CHIOCE.
1.1 SUMMARISE THE NATURE OF BUSINESS
1.2 SUMMARISE THE BUSINESS MODEL
1.3 WHAT ARE THE KEY BUSINESS DRIVERS
2.1 NATURE OF DECISION DESCRIBING WHAT DECISION NEEDED TO BE MADE AND WHY
2.2 SUMMARISE HOW WAS THE DECISION MADE
2.3 ANALYSE THE DECISION MADE AND DESCRIBE IF A QUALITATIVE OR QUANTITATIVE APPROACH WAS USED AND JUSTIFY YOUR RESPONSE
2.4CONFIRM WHY WAS THIS APPROACH TAKEN BY THE BUSINESS AND APPRAISE THIS APPROACH FROM RISK MODELLING PERSPECTIVE
3.1 USING THE SELECTED BUSINESS DECISION FROM ABOVE, IDENTIFY AT LEAST 5 RISKS THAT NEEDED TO BE CONSIDERED TO MAKE THE SAME
3.2 USING THE RISK REGISTER IN THE PREVIOUS SECTION, CONDUCT A QUALITATIVE RISK ANALYSIS FOR THESE 5 RISKS BY PROPOSING THE PROBABILITY OF OCCURRENCE AND IMPACT FOR EACH RISK
3.3 USING A MATRIX INCLUDED IN APPENDIX A, PLOT THE RISKS ON A HEAT MAP AND EXPLAIN WHAT THE MAP MEANS
4.1 USING THE REGISTER DERIVED IN QUESTION 3.1, CALCULATE THE AVERAGE IMPACT (EXPECTED MONETARY VALUE) USING AGGREGATION OF STATIC VALUES
4.2 SUMMARISE WHAT DOES THIS AVERAGE IMPACT VALUE MEANS FOR THE ORGANISATION
5.1 USING THE REGISTER FROM 3.1, CALCULATE THE 5 POSSIBLE EXPECTED MONETORY VALUES USING THE AGGREGATION OF THE RISK DRIVEN OCCURRENCES METHODOLOGY
5.2 DESCRIBE THE RESULT OF THIS METHODOLOGY USING AN APPROPRIATE DIAGRAM
5.3 SUMMARISE WHAT DOES THIS AVERAGE IMPACT VALUE MEANS FOR THE ORGANISATION

Answers

An organization that will be analyzed in this context is Coca-Cola.1.1 Summary of the nature of the business:Coca-Cola is one of the most well-known beverage manufacturers in the world. They create fizzy drinks, juices, and water for a variety of markets.

Their drink portfolio includes more than 200 brands sold in over 200 countries.1.2 Summary of the business model:Coca-Cola Company follows a business model based on creating strong brands that generate significant customer demand.

Their main goal is to build and enhance brand equity. They engage in extensive advertising and promotion campaigns to attract more consumers.1.3 What are the key business drivers:Coca-Cola's essential business drivers are its brand, extensive distribution network, market reach, product innovation, customer satisfaction, and product differentiation.2.1 Nature of decision describing what decision needed to be made and why:The business decision that was taken by Coca-Cola was regarding the selection of the right marketing mix, which is a critical decision.

This allowed them to gain valuable insights into how the consumers perceive their products, which they could use to develop targeted marketing strategies. From a risk modeling perspective, the approach is beneficial because it allows the company to minimize the risks by identifying the issues that consumers may face with their products.3.1 Using the selected business decision from above, identify at least 5 risks that needed to be considered to make the same:1. Competition from other beverage manufacturers2. Consumer preferences and behavior3. Changes in market trends4. Fluctuating economic conditions

5. Changing health and safety regulations3.2 Using the risk register in the previous section, conduct a qualitative risk analysis for these 5 risks by proposing the probability of occurrence and impact for each risk:The following table shows the qualitative risk analysis for the five risks that were identified:RiskProbabilityImpactCompetitionMediumHighConsumer preferences and behaviorHighHighChanges in market trendsLowHighFluctuating economic conditionsHighMediumChanging health and safety regulationsLowMedium3.3 Using a matrix included in Appendix A, plot the risks on a heat map and explain what the map means:The risks were plotted on a heat map, as shown below:The heat map shows that the competition and consumer preferences risks have a higher probability of occurrence and impact, while the changes in market trends and health and safety regulations have a lower probability of occurrence and impact.4.1 Using the register derived in question 3.1, calculate the average impact (expected monetary value) using aggregation of static values:

The five possible expected monetary values are calculated by multiplying the probability of each risk and the range of possible impacts.RiskProbabilityImpactRange of possible impactsExpected Monetary ValueCompetitionMedium$2,000,000-$4,000,000$1,200,000Consumer preferences and behaviorHigh$3,000,000-$5,000,000$3,000,000Changes in market trendsLow$1,000,000-$3,000,000$300,000Fluctuating economic conditionsHigh$1,000,000-$2,000,000$1,200,000Changing health and safety regulationsLow$500,000-$1,000,000$50,000Total Expected Monetary Value$5,750,0005.2 Describe the result of this methodology using an appropriate diagram:The following diagram shows the possible expected monetary values for the five risks:5.3 Summarize what does this average impact value mean for the organization:

The average impact value means that the Coca-Cola Company could potentially lose an estimated $5,750,000 due to the five risks that were identified. This value represents the range of possible impacts that the company may face, given the probability of occurrence of each risk. The company can use this information to identify the risk mitigation strategies that are required to minimize the impact of these risks.

For more such questions on Coca-Cola

https://brainly.com/question/30371353

#SPJ8

Problem-6; (chapter 3) SS Ltd. obtained significant influence over YY Ltd by buying 30% of Y's 100,000 outstanding ordinary shares at a cost of Br 18 per share on January 1, 2022. On May 15, YY declared and paid a cash dividend of Br 150,000. On December 31, YY reported net income of Br 270,000 for the year. (a) record acquisition of shares (a) record revenue and dividends​

Answers

(a) Record acquisition of shares: Investment in YY Ltd. Dr. Br 540,000, Cash Cr. Br 540,000.

(a) Record revenue and dividends: Dividend Receivable Dr. Br 45,000, Revenue from Investment in YY Ltd. Cr. Br 45,000; Investment in YY Ltd. Dr. Br 81,000, Revenue from Investment in YY Ltd. Cr. Br 81,000.

(a) To record the acquisition of shares by SS Ltd. on January 1, 2022:

Investment in YY Ltd. (30% of 100,000 shares * Br 18) Dr. Br 540,000

Cash Cr. Br 540,000

This journal entry records the purchase of 30% of YY Ltd.'s outstanding shares for a total cost of Br 540,000.

(b) To record revenue and dividends for the year:

On May 15, YY Ltd. declared and paid a cash dividend of Br 150,000. This dividend represents the portion of the company's earnings that will be distributed to its shareholders.

Dividend Receivable Dr. Br 45,000 (30% of Br 150,000)

Revenue from Investment in YY Ltd. Cr. Br 45,000

This entry recognizes the dividend revenue earned by SS Ltd. from its investment in YY Ltd.

On December 31, YY Ltd. reported net income of Br 270,000 for the year. As SS Ltd. has significant influence over YY Ltd., it needs to adjust its investment account for its share of the net income.

Investment in YY Ltd. Dr. Br 81,000 (30% of Br 270,000)

Revenue from Investment in YY Ltd. Cr. Br 81,000

This entry records the revenue earned by SS Ltd. from its share of YY Ltd.'s net income.

For more question on Investment visit:

https://brainly.com/question/29547577

#SPJ8

What economic concept is applied in this statement?
By earning higher levels of education, students learn skills and are more likely to be employed. in their jobs, they use their skills to provide goodsa
and services to others.
OA
equilibrium
O B. law of demand
O c. law of supply
O D.
negative externality
O E. positive externalit

Answers

Answer:

positive externality

Explanation:

positive externality is defined as benefitting a third party, so education helps the student and then others which would be a 3rd party

Fred is a car owner with automobile insurance with coverage only for accident liability. Choose the statements that accurately
describes the out-of-pocket costs to Fred for an accident that was determined to be Fred's fault.
A)
Fred must pay for the damages to the car with which he was in an accident
B)
Fred must pay for the damages done to his own car resulting from the
accident
Fred must pay for the bodily injuries to the other driver involved in the
accident
Fred must pay for any increases to his insurance premium occurring due to
the accident
D)
E)
Fred must pay for any of his own medical bills not covered by his own
health insurance resulting from the accident.

Answers

Answer:

B)  Fred must pay for the damages done to his own car resulting from the  accident.E)  Fred must pay for any of his own medical bills not covered by his own  health insurance resulting from the accident.

Explanation:

Fred has insurance coverage for only accident liability. This means that his insurance will only pay for damage to the other party in the accident if it was Fred's fault and they will not cover Fred's own expenses.

Fred must therefore pay for damages done to his own car because his insurance will not cover that. Any medical bills that he incurs as a result of the accident that his medical insurance does not pay for will also have to be paid by him.

Which of the following might be a duty of a noninstructional aide?

A. Grade homework
B. Teach calligraphy
C. Tutor a child
D. Accompany a child to and from the lavatory

Answers

Tutor a child might be a duty of a non instructional aide. The Non-Instructional Aide supports the administration and instructors duty in maintaining a secure and disciplined learning environment and enforcing school rules.

Respects non instructional information about children, employees, and other administrative issues impacting the district with absolute secrecy. helps the teacher prepare and be ready for each day's activities; duty supports the teacher's efforts in the classroom. helps the teacher create lesson plans, curriculum, and lesson outlines in the designated topics. A person who assists a teacher in a classroom but is not a certified teacher is known as a teacher's aide.

To learn more about  non instructional, click here.

https://brainly.com/question/20804537

#SPJ1


Entrepreneurs generally think differently about resources than do employee-managers in which of the following ways?

Answers

Managers want larger budgets; entrepreneurs work to do more with less.

How do entrepreneurs approach resources differently from employee-managers?

Entrepreneurs have a distinct mindset when it comes to resources compared to employee-managers. While managers often seek larger budgets to accomplish their goals, entrepreneurs tend to focus on doing more with less.

This difference in perspective stems from the inherent nature of entrepreneurship which involves taking calculated risks and maximizing efficiency in resource allocation.

Entrepreneurs understand that resources, such as capital, time, and manpower, are limited and valuable. They recognize that acquiring substantial budgets may not always be feasible, especially in the early stages of a venture.

Read more about Entrepreneurs

brainly.com/question/29733441

#SPJ1

What is the beta for a 2 stock portfolio with a 0.54 weight in Walmart stock and the remainder in Amazon

Answers

Answer: 0.73

Explanation:

Walmart Beta = 0.3616

Amazon's beta = 1.1634

The beta of the portfolio will be a weighted average of the portfolio beta;

= (Walmart beta * Walmart weight) + ( Amazon beta * Amazon weight)

= (0.3616 * 0.54) + ( 1.1634 * (1 - 0.54))

= 0.730428‬

= 0.73

What is the beta for a 2 stock portfolio with a 0.54 weight in Walmart stock and the remainder in Amazon

Todrick Company is a merchandiser that reported the following information based on 1,000 units sold: Sales $ 405,000 Beginning merchandise inventory $ 27,000 Purchases $ 270,000 Ending merchandise inventory $ 13,500 Fixed selling expense $

Answers

Missing information:

Fixed administrative expense $ 16,200 Variable selling expense $ 20,250 Variable administrative expense $ ? Contribution margin $ 81,000 Net operating income $ 24,300

1. Prepare a contribution format income statement.

2. Prepare a traditional format income statement.

3. Calculate the selling price per unit.

4. Calculate the variable cost per unit.

5. Calculate the contribution margin per unit.

Answer:

First we must determine cost of goods sold = $27,000 + $270,000 - $13,500 = $283,500

now we must find total variable costs = total sales - contribution margin = $405,00 - $81,000 = $324,000

variable administrative expenses = total variable costs - COGS - variable selling expense = $324,000 - $283,500 - $20,250 = $20,250

1. Prepare a contribution format income statement.

Total sales                                                              $405,000

Cost of goods sold                                                $283,500

Gross contribution margin                                      $121,500

Variable selling expense                                        $20,250

Variable adm. expense                                          $20,250

Contribution margin                                                $81,000

Fixed period expenses:

Fixed selling expense                                   $40,500Fixed administrative expense                       $16,200

Net operating income                                            $24,300

2. Prepare a traditional format income statement.

Total sales                                                              $405,000

Cost of goods sold                                                $283,500

Gross profit                                                              $121,500

Operating expenses:

Selling expenses                                                     $60,750

Adm. expenses                                                       $36,450

Net operating income                                            $24,300

3. Calculate the selling price per unit.

$405

4. Calculate the variable cost per unit.

$324

5. Calculate the contribution margin per unit.

$81

Interventions strategies to prevent restrictions or barrier in small businesses townships

Answers

To prevent restrictions or barriers in small businesses in townships, several intervention strategies can be implemented:

1. Business Development Support: Offer training programs, workshops, and mentorship opportunities to help small business owners develop essential skills such as financial management, marketing, and business planning.

2. Access to Capital: Establish microfinance programs or low-interest loan schemes to provide small businesses with the necessary funds to start or expand their operations. Additionally, create partnerships with financial institutions to streamline the loan application process.

3. Infrastructure Improvement: Invest in upgrading township infrastructure, including roads, electricity, and internet connectivity. This will enhance the business environment, attract investors, and facilitate smoother operations for small businesses.

4. Regulatory Simplification: Simplify and streamline licensing and permit procedures, reducing bureaucracy and paperwork burdens. This will make it easier for entrepreneurs to start and operate businesses, fostering a favorable environment for small enterprises.

5. Market Linkages: Facilitate connections between small businesses and larger supply chains, enabling them to access wider markets and secure stable customer bases. This can be achieved through networking events, trade fairs, and partnerships with established businesses.

6. Local Procurement Policies: Encourage local governments and institutions to adopt procurement policies that prioritize purchasing goods and services from small businesses in the townships, thereby boosting their economic growth and sustainability.

7. Collaborative Initiatives: Foster collaboration among small businesses by establishing business associations, cooperatives, or incubation centers. These platforms can provide shared resources, collective marketing efforts, and a supportive community.

By implementing these intervention strategies, the barriers and restrictions faced by small businesses in townships can be minimized, promoting their growth, sustainability, and contribution to the local economy.

For more questions on Capital, click on:

https://brainly.com/question/15300072

#SPJ8

The Domingos family bought a new refrigerator. How much more or less is the amount they spent than the amount they budgeted?Budgeted: $1,345.60 Spent: $1,354.66

Answers

Budget: 1,345.60$
Spent:1,355.66$
Subtract
=10.06$

Select all that apply Manufacturing overhead ___
a. is directly traceable to units produced b. is an indirect cost c. contains fixed costs d. consists of many different types of costs

Answers

Manufacturing overhead is an indirect cost. Hence, option B is correct.

What is Manufacturing?

Manufacturing overhead costs are the initial charges that a corporation incurs for things like the purchase of materials and indirect labeling. electricity, machinery, maintenance, factory supplies, insurance, etc.

This is often referred to as "factory overhead," and it refers to costs that are further recorded in the balance sheet or in the profit and loss statement and divided by the company's profit even if they have no direct bearing on manufacturing.

Thus, option B is correct.

For more information about Manufacturing, click here:

https://brainly.com/question/28361026

#SPJ1

If the price of an item decreases, producers will create fewer of the item. This is due to the

A.
Law of Demand

B.
Law of Supply

C.
Law of Price

D.
Consumer Choice

Answers

Answer:

the answer is B,law of supply

Select the correct answer.
At which point would you achieve maximum profit under the concept of economies of scale?
O A.
point of maximum production
OB.
point of minimum turnover
OC. point of maximum attendance
OD.
point of maximum efficiency

Answers

The point where one achieves maximum profit under economies of scale is D. point of maximum efficiency.

Where is maximum profit achieved?

Maximum profit when engages in economies of scale means that a company has reached its point of maximum efficiency. At this point, all the resources involved in production are being utilized effectively.

For many companies, this point is reached when the marginal cost of every additional unit of goods produced, is equal to the marginal revenue that a company gets from selling each additional unit.

Find out more on economies of scale at https://brainly.com/question/28026986

#SPJ1

If a firm's beta was calculated as 1.6 in a regression equation, a commonly-used adjustment technique incorporating a weighting on long-run beta of 1.0 would provide an adjusted beta of

Answers

Answer: between 1 and 1.6

Explanation:

The Market Beta is 1.0 which is why in the long run, betas will equal 1 and so will move steadily towards 1 overtime.

The adjustment technique will therefore show a beta between 1 and 1.6 because the 1.6 will move on to 1 overtime.

To explain, the adjustment technique is as follows;

Adjusted beta = 2/3(sample beta) + 1/3(1)

= 2/3(1.6) + 1/3

= 1.4

The adjusted beta of 1.4 is between 1 and 1.6.

TRUE OR FALSE - ACCOUNTING (70 POINTS) - IF FALSE EXPLAIN WHY

1. If the adjusting entry to recognize expired auto insurance at the end of the period is inadvertently omitted, insurance expense will be understated and net income overstated.
2. The book value of an asset is the difference between the cost of an asset and the accumulated depreciation.
3. Accumulated depreciation is reported on the income statement.
4. A company depreciates its equipment $600 a year. The adjusting entry on December 31 is a: debit to Depreciation Expense, $600, and a credit to Accumulated Depreciation, $600.
5. Cash and other assets that are reasonably expected to be realized in cash, sold, or consumed less than one year after the balance sheet date are called current assets.
6. Manufacturing equipment is an example of a current asset.
7. Rent Expense is a permanent account and it appears on the balance sheet.
8. Assets, liabilities, and stockholders' equity accounts are permanent accounts and do not get closed at the end of the period.

Answers

1. True
2. True
3. False - Accumulated depreciation is a “contra asset” account
4. True
5. True
6. False - More than 12 months is long term
7. False - Temporary and it appears on the income statement
8. True

Assume that one unit is sold on April 27 for $300.

Determine the gross profit for April and ending inventory on April 30 using the (a) first-in, first-out (FIFO); (b) last-in, first-out (LIFO); and (c) weighted average cost methods.

Answers

The determination of the gross profit for April and the ending Inventory on April 30 is as follows:

                                               Gross Profit              Ending Inventory

(a) First-in, First-out (FIFO)    $200 ($300 - $100)   $260 ($120 + $140)

(b) Last-in, First-out (LIFO)    $160 ($300 - $140)   $220 ($120 + $100)

(c) Weighted Average cost   $180 ($300 - $120)   $240 ($120 x 2)

What are the Cost Flow Methods?

The cost flow methods are FIFO, LIFO, Specific Identification, and Weighted-Average Cost methods of costing ending inventory and cost of goods sold based on assumptions.

Question Completion:

The following three identical units of Item P401C are purchased during April:

Cost information:

Item   Units  Cost

April 2 Purchase  1 $100

15 Purchase  1   120

20 Purchase  1   140

Total   3        $360

Average cost per unit = $120 ($360 ÷ 3)

Learn more about the cost flow methods at https://brainly.com/question/5976808

The 15-year average return for the S&P 500 from January 1973 to December 2016 (29 separate 15 year periods) was as high as a 20% average annual return and as low as a 3.7% average annual return. Additionally, the average dividend yield for the S&P is 4.11% and the average annual dividend growth rate is 6.11%.

Using this information, please compare the investment in the 5% 15-year corporate bond with a $100,000 investment in a stock with a 3.7% dividend yield (10 percent less than the S&P 500 average yield) and a 3% dividend growth rate (50 percent of the S&P 500 dividend growth rate).

The annual investment returns are as follows:
Year 1 (13.40%) Year 2 (23.37%) Year 3 26.38% Year 4 8.99%
Year 5 3.00% Year 6 13.62% Year 7 3.53% Year 8 (38.49%)
Year 9 23.45% Year 10 12.78% Year 11 0.00 Year 12 13.41%
Year 13 29.60% Year 14 11.39% Year 15 (0.73%)


The bond interest payment of 5 percent is paid annually and not reinvested. To compare accurately with the bond investment, the stock dividend will not be reinvested, but paid annually as well.


Please calculate the value of the stock account at the end of each year and the dividend income from the stock on an annual basis.


Once you have performed the calculations, please let me know if you prefer to invest in a 5% corporate bond for 15 years or the stock and why.


What is the value of the stock after year 2? Year 8? Year 11? When does the annual dividend income of the stock exceed the annual interest income of the bond?

Answers

1. The value of the stock account after Year 2 is $155,401.626.

2. The value of the stock account after Year 8 is $96,110.0674.

3. The value of the stock account after Year 11 is $96,110.0674.

4. The annual dividend income of the stock exceeds the annual interest income of the bond at the end of Year 15.

Bond interest rate: 5%

Stock dividend yield: 3.7% (10% less than S&P 500 average yield)

Stock dividend growth rate: 3% (50% of S&P 500 dividend growth rate)

We'll assume an initial investment of $100,000.

Year 1:

Bond interest income: $100,000 * 0.05 = $5,000

Stock dividend income: $100,000 * 0.037 = $3,700

Value of stock account: $100,000 + ($100,000 * 0.2337) = $123,370

1. Year 2:

Bond interest income: $100,000 * 0.05 = $5,000

Stock dividend income: $100,000 * 0.037 = $3,700

Value of stock account: $123,370 + ($123,370 * 0.2638) = $155,401.626

2. Year 8:

Bond interest income: $100,000 * 0.05 = $5,000

Stock dividend income: $100,000 * 0.037 = $3,700

Value of stock account: $155,401.626 + ($155,401.626 * (-0.3849)) = $96,110.0674

3. Year 11:

Bond interest income: $100,000 * 0.05 = $5,000

Stock dividend income: $100,000 * 0.037 = $3,700

Value of stock account: $96,110.0674 + ($96,110.0674 * 0) = $96,110.0674

4. At the end of Year 15, the dividend income of the stock exceeds the interest income of the bond.

Stock dividend income: $100,000 * 0.037 = $3,700

Bond interest income: $100,000 * 0.05 = $5,000

For such more question on account:

https://brainly.com/question/28326305

#SPJ8

B. Matching Type. Match Column B with Column A

B. Matching Type. Match Column B with Column A

Answers

Answer:

B. Matching Type. Match Column B with Column A

1. Safety equipment ⇒ C. Must be worn.

2. Danger signs ⇒ D. Inflammable

3. Safety information ⇒ E. Warning Do not touch.

4. Caution signs ⇒ B. No Smoking

5. Serious injuries ⇒ A. First Aid

This table can be used to organize Gigi’s credit card balances and payments over 6 months. The annual percentage rate on the credit card is 14%.

Gigi’s Credit Card Payments
Month
Balance
Payment
Interest Rate
Interest Charged
1
$650
$300
0.01167
$4.08
2
$354.08
$50
0.01167

3
$307.63
$50
0.01167

4
$260.64
$50
0.01167

5
$213.10
$50
0.01167

6
$165
$50
0.01167


What is the amount of interest charged for the first 6 months? (16.34)

Answers

The correct answer is the first option, or 16.34

Just got it right on the edge 2020 exam review, hope this helps!! :)

Which function of marketing stimulates sales, encourages customer loyalty, and communicates methods of payment?

Answers

One key function of marketing that stimulates sales, encourages customer loyalty, and communicates methods of payment is promotion.

Promotion is an integral part of the marketing mix and involves various activities aimed at creating awareness, generating interest, and influencing customers' purchasing decisions.

Through promotional strategies such as advertising, sales promotions, public relations, and direct marketing, businesses can effectively communicate the benefits and value of their products or services to the target audience. This creates a sense of urgency and drives sales by enticing customers to make a purchase.

Moreover, promotions can be designed to foster customer loyalty by offering exclusive discounts, rewards, or loyalty programs. These initiatives not only incentivize repeat purchases but also enhance the overall customer experience, fostering long-term relationships with the brand.

Additionally, promotions often include clear messaging about different methods of payment accepted by the business. By communicating convenient and flexible payment options, such as credit cards, online payments, or installment plans, customers feel empowered and informed about how to complete their transactions.

In summary, promotion plays a vital role in stimulating sales, cultivating customer loyalty, and effectively communicating methods of payment, thereby contributing to the overall success of a marketing strategy.

For more such questions on promotion

https://brainly.com/question/29802063

#SPJ11

Waterway Company acquired a plant asset at the beginning of Year 1. The asset has an estimated service life of 5 years. An employee has prepared depreciation schedules for this asset using three different methods to compare the results of using one method with the results of using other methods. You are to assume that the following schedules have been correctly prepared for this asset using (1) the straight-line method, (2) the sum-of-the-years'-digits method, and (3) the double-declining-balance method.

Year
Straight-Line
Sum-of-the-
Years'-Digits
Double-Declining-
Balance
1 $12,420 $20,700 $27,600
2 12,420 16,560 16,560
3 12,420 12,420 9,936
4 12,420 8,280 5,962
5 12,420 4,140 2,042
Total $62,100 $62,100 $62,100

Answer the following questions.
What is the cost of the asset being depreciated?

Cost of asset $

Waterway Company acquired a plant asset at the beginning of Year 1. The asset has an estimated service

Answers

Answer:

$69,000

Explanation:

The double-declining method uses twice the rate of the straight-line depreciation method.  

In this case, we need to determine the depreciation rate under the straight-line method. The asset has a useful life of 5 years.

the depreciation rate = 1/5 x 100

=0.2 x 100

=20%

The Depreciation rate for the double-declining method is 40%. The straight-line method considers salvage value at the beginning, but double-declining depreciates until the salvage value.

In the first year under the double-declining method, the depreciation amount was $27,600.

It means 40% of the asset cost is $27,600.

The asset cost is 100%

40%=$27,600

100% = 27,600/40 x 100

=$690 x 100

=$69,000

Asset cost = $69,000

how will you react to the following destroying or removing information that could hurt your company if it fell into the wrong hands.

Answers

I will say it is crucial to prioritize ethical behavior and transparency. Instead of destroying or removing information, we should focus on implementing robust security measures to safeguard sensitive data.

How can we protect sensitive information from unauthorized access?

Protecting sensitive information from unauthorized access is essential for companies to maintain trust with their stakeholders. Instead of resorting to destroying or removing information, it is more beneficial to invest in robust security measures.

By implementing strong encryption, access controls, and regular security audits, we will significantly reduce the risk of sensitive data falling into the wrong hands. Also, fostering a culture of responsible data handling and training employees on best security practices can further enhance the overall protection of company information.

Read more about Confidentiality

brainly.com/question/29417102

#SPJ1

Lucy's Music Emporium opened its doors on January 1, 2015, and it was granted permission to use the same depreciation calculations for shareholder reporting and income tax purposes. The company planned to depreciate its fixed assets over 20 years, but in December 2015 management realized that the assets would last for only 15 years. The firm's accountants plan to report the 2015 financial statements based on this new information. How would the new depreciation assumption affect the company's financial statements? a. The firm's reported 2015 earnings per share would increase. b. The firm's EBIT would increase. c. The firm's net liabilities would increase. d. The firm's reported net fixed assets would increase.

Answers

Answer:

The firm's cash position in 2015 and 2016 would increase.

Explanation:

In the case when the life of an asset would decrease that represents the depreciation would rise and if the depreciation rise so the EBIT and EPS would reduced and in the case when the EBIT reduced, so automatically the tax expense is also reduce

So, the cash position of the firm woud increase

Hence, the above represents the answer

Other Questions
Step by Step solution please. Thanks Two posssible lewis structures for the molecule hcn are given. Determine the formal charge on each atom in both structures. which property of water molecules explains the other properties listed belowA. AdhesionB.Cohesion C.Hydrogen BondsD. Polar Covalent bond Consider the d-Independent Set problem:Input: an undirected graph G = (V,E) such that every vertex has degree less or equal than d.Output: The largest Independent Set.Describe a polynomial time algorithm Athat approximates the optimal solution by a factor (d). Your mustwrite the explicit value of , which may depend on d. Describe your algorithm in words (no pseudocode) andprove the approximation ratio you are obtaining. Briefly explain why your algorithm runs in polytime. Answe the question given in the image We will now determine the indexes of refraction for two Mystery materials, A and B. These materials can be selected from the list of materials on the right. Be sure to set your laser pointer to a frequency of 589 nm. Questions:A. Devise an experiment for determining the indices of refraction for these. Explain your methodology. B. What are the indices of refraction for the two mystery materials, A and B? Which characteristic would you be more likely to find in a written text than in a speech and why? HElp pleaseee i NEED IT ASAPPPPPPP A movie theater sold 64 Hckets. of the tickets sold were adult tickets. How many adult tickets were sold? You have been supplied with a concentrated solution of calcium dihydrogen phosphate to be used in a hydroponic system to grow lettuce. The solution has a phosphorus concentration of 200 mg/ L, however, in a hydroponic nutrient solution, the common range of elemental phosphorus required is 30-50 mg/L. Explain how you would prepare a solution containing 35 mg/L phosphorus in a 500 mL volume? C. Completa el prrafo con los artculos apropiados entre parntesis Despus escribe la forma apropiada de los adjetivos entre parntesis. Por lo general 12__ (el/la) clima de aqu es 13. __ (moderado ) pero el ao pasado hubo 14.__ ( los/unos) cambios 15.__(climatolgico) que causaron 16.__ (unos/unas) problemas 17.__ (grave) por todo el estado. En San ngel, hubo 18.__ (un/una) da en que llovi tanto que 19.__ (los/las) inundaciones se llevaron algunos carros hasta el mar. Dos semanas despus, ocurri 20.__ (el/un) huracn que destruy cinco edificios 21. __(alto) en Punto Verde. Cerca de San Pedro se perdi (el/la) mitad de las cosechas a causa de 23. __(un/una) sequa 24 . (extraordinario ). La falta de agua y 25 .__ (el / la) calor 26__ (tremendo) dieron lugar a unos incendios 27.__ (incontrolable ). Mi nos envi 28__. (unos /unas) fotos 29.__ (asombroso ) de la destruccin. Nos dijo que hay voluntarios que ayudan a 30.__ (el/la) gente 31.__(herido)pero con tanto sufrimiento es imposible ayudarles a todos.Will give all my brainly points list the contributions that greece and rome brought to theperiod of thier supremacy in the bible Solve the system of equations graphed onthe coordinate axes below.y=-3x - 5y =4/3x-5 I NEED HELP PLEASE !!!! I WILL GIVE BRAINLEST IF CORRECT PPlease show the work!Find f such that the given conditions are satisfied. 1 2) f'(x)=x- x f(9) = 15 ethical wills are a twentieth century, new means to pass on wisdom, love, and personal values. T/F? read each statement carefully .write the true if the statements is correct.if the statements is incorrect .underlined ,the word/s that make it wrong and write the correct answer? Does the amount of mentos affect the height of the pop explosion Titles should be as short as possible. Select one: True False What are the differences between editing manually and editing digitally? What tools are used for each?