The company pays out $3.25 million in dividends.
Given that the company has a retention ratio of 35%, we know that 65% of its net income is paid out as dividends. To determine the amount of dividends paid out, we need to calculate 65% of the company's net income of $5 million:
Dividends = Net Income x (1 - Retention Ratio) Dividends = $5,000,000 x (1 - 0.35) Dividends = $5,000,000 x 0.65 Dividends = $3,250,000
To calculate the amount a company pays out in dividends, we need to determine the payout ratio. Since the retention ratio is 35%, the payout ratio is the remaining percentage, which is 100% - 35% = 65%. Given the net income of $5 million, we can find the dividends by multiplying the payout ratio by the net income: Dividends = Payout Ratio × Net Income Dividends.
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If the productivity of workers producing a good increases, the supply curve will
A) not change.
B) become flatter.
C) shift to the right.
D) shift to the left.
E) become steeper.
Mason Transport Company divides its operations into four divisions. A recent income statement for its West Division follows. MASON TRANSPORT COMPANY West Division Income Statement for the Year 2015 Revenue $ 250,000 Salaries for drivers (175,000 ) Fuel expenses (25,000 ) Insurance (35,000 ) Division-level facility-sustaining costs (20,000 ) Companywide facility-sustaining costs (65,000 ) Net loss $ (70,000 ) Required a-1. By how much would companywide income increase or decrease if West Division is eliminated?
Answer:
a-1 $5,000 Increase
a-2 YES
b $15,000 Increase
Explanation:
a-1 Calculation for how much would companywide income increase or decrease if West Division is eliminated
Using this formula
Income =Net loss - Company-wide facility sustaining costs
Let plug in the formula
Income =$70,000-$65,000
Income =$5,000 Increase
Therefore how much would companywide income increase if West Division is eliminated is $5,000
a-2 YES West Division should be eliminated based on the above calculation reason been that the net income will increase by the amount of $5,000
b. Calculation to Determine the amount of the increase or decrease that would occur in companywide net income.
Net income =($ 270,000-$250,000)-$5,000
Net income=$20,000-$5,000
Net income=$15,000 Increase
Based on the above calculation the net income would increase by the amount of $15,000
Therefore the amount of the increase that would occur in companywide net income is $15,000
Which of the following is not an element of marketing?
A. product
B. policy
C. promotion
D. price
••••••••••••••••••••••••••••••••••••••••••••••••
\(\small{\boxed{\color{red}\sf\underline{Answer:}}}\)
The answer is B. policy
••••••••••••••••••••••••••••••••••••••••••••••••
How can I become rich???
Explanation:
1, Don’t focus on a job, use the income from your job to invest to create different forms of income
2, Fastest way to get rich is to form a business
that's it :)
for which of the following situations would there be personal liability coverage under the homeowner policy?i. the named insured accidentally injures her husband with a hammer.ii. the named insured breaks his wife's valuable vase while practicing his golf swing.
i. The named insured accidentally injures her husband with a hammer.
ii. The named insured breaks his wife's valuable vase while practicing his golf swing.
i)In this situation, there is a possibility of personal liability coverage under the homeowner policy. Homeowner policies typically include coverage for bodily injury to others, which would potentially apply if the named insured accidentally injures her husband with a hammer. However, it's important to review the specific terms and conditions of the homeowner policy to determine the extent of coverage and any applicable exclusions or limitations.
ii)This situation would not typically be covered under personal liability coverage in a homeowner policy. Homeowner policies usually exclude intentional acts or intentional damage caused by the insured. Breaking the wife's valuable vase while practicing a golf swing would likely be considered intentional damage and therefore may not be covered. It's always advisable to review the policy wording or consult with the insurance provider to understand the specific coverage and exclusions in a homeowner policy.
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an approved mortgage application usually locks in an interest rate for 60-120 days.
When a mortgage application is approved, borrowers can usually lock in an interest rate for 60-120 days, ensuring stability and protecting against potential rate increases during the home buying process.
True. When a mortgage application is approved, borrowers often have the option to lock in an interest rate for a specific period, typically ranging from 60 to 120 days.
This rate lock period allows borrowers to secure a specific interest rate, protecting them from potential rate increases during the home buying process. It provides stability and certainty regarding the cost of borrowing.
During the rate lock period, borrowers have time to complete the necessary steps for closing the mortgage, such as property appraisal, underwriting, and documentation.
It is important to note that the specific rate lock period can vary depending on the lender and the terms agreed upon in the mortgage agreement.
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PLEASE HELP MEE 50 Pts
Question: What are the local, state, and federal taxes for a healthcare business?
Answer:
Is health care federal state or local?
The U.S. Department of Health and Human Services is the federal government's principal agency involved with health care services. The states cofund and administer their CHIP and Medicaid programs according to federal regulations. (goo gle)
Explanation:
hope this helps
Who does not take responsibility for his actions and would rather blame others if something does not go well?.
A person who does not take responsibility for his actions and instead blames others when something goes wrong is often referred to as a "blamer" or "blame-shifter".
Blamers are individuals who tend to avoid accountability and accountability for their own mistakes, failures, or shortcomings. Rather than accepting responsibility for their actions, they try to shift the blame onto others. This behavior can manifest in various situations, such as personal relationships, work environments, or even in society at large. A blamer may use different strategies to deflect responsibility. They might engage in finger-pointing, accusing others without valid reasons, making excuses, or even distorting the facts to make themselves appear innocent. By doing so, they try to avoid negative consequences, maintain a positive self-image, or protect their reputation.
Blaming others is a common defense mechanism used by individuals who struggle with taking ownership of their actions. By blaming others, they can preserve their ego and avoid feelings of guilt, shame, or embarrassment. However, this behavior can have detrimental effects on personal growth, relationships, and overall well-being. When someone consistently refuses to accept responsibility for their actions and constantly shifts the blame onto others, it can create a toxic and unproductive environment.
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b. find the margin of error. e=enter your response here g (round to one decimal place as needed.)
The sample mean is 6.41, which represents the average value of the sample. The margin of error is 1.08, which indicates the range within which the true population mean is likely to fall.
The sample mean is the midpoint of the confidence interval. In this case, the confidence interval is (5.33, 7.49). To find the sample mean, we take the average of the two values:
Sample mean = (5.33 + 7.49) / 2 = 6.41
Therefore, the sample mean is 6.41.
Part 2: The margin of error is calculated by taking half of the width of the confidence interval. The width of the confidence interval is the difference between the upper and lower bounds. In this case, the upper bound is 7.49 and the lower bound is 5.33.
Margin of error = (7.49 - 5.33) / 2 = 1.08
Therefore, the margin of error is 1.08.
The sample mean is 6.41, which represents the average value of the sample. The margin of error is 1.08, which indicates the range within which the true population mean is likely to fall. These values provide information about the precision and accuracy of the estimate based on the sample data.
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Complete Question:
Use the given confidence interval to find the margin of error and the sample mean.
(5.33,7.49)
Question content area bottom
Part 1 The sample mean is (enter your response here.)
(Type an integer or a decimal.)
Part 2
The margin of error is (enter your response here.) (Type an integer or a decimal.)
why is it important to be a good communicator for a successful future?
Answer:
Explanation:
Being an excellent communicator can help you land that first job in your new career and ensure a positive future. It can separate you from other applicants, help you be a more effective employee and serve as a stepping stone to leadership responsibilities and career advancement.
Refer to the accompanying data, which show the median usual weekly real earnings of full-time workers by gender over a five-year period. Identify the cross-sectional data in the tableChoose the correct answer below. A. The Men or the Women weekly earnings columns over the five years, because they each have data taken from a number of subjects during a single time period. B. The Men or the Women weekly earnings columns over the five years, because they each have data taken from a single subject during a number of time periods C. The workers weekly eamings row for any one particular year, because they each have data taken from a single subject during a number of time periods. D. The workers weekly earnings row for any one particular year, because they each have data taken from a number of subjects during a single time period. E. There are no cross-sectional data in the table.
The correct answer is OPTION D The workers weekly earnings row for any one particular year, because they each have data taken from a number of subjects Cross-sectional during a single time period.
Cross-sectional data are the outcome of data collecting on a statistical unit that was done at a single moment in time. With cross-sectional data, we are more concerned with the respondents' actual, genuine opinions about a survey question data than we are with how the statistics change over time. An additional illustration of a cross-sectional study would be a medical investigation into the incidence of cancer in a particular community.
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Workplace technology is relied upon by businesses to increase _____________.
Businesses rely on workplace technology to boost productivity and performance.
What is meant by productivity?Productivity, a metric of economic performance, contrasts the volume of goods and services produced (output) with the volume of inputs necessary to produce those goods and services.Output per worker or output per worker/hour are two typical ways to measure productivity. The quantity or cost of the finished goods each employee can create in a specific amount of time may be used as a productivity indicator for a manufacturing organisation. The efficiency of your staff, as determined by the quantity of goods or services they generate or offer in a given period of time, can be used to describe workplace productivity.To learn more about productivity, refer to:
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What is a tangible symbol that communicates the features, benefits, and advantages of a particular product to consumers?
Answer:hudsa
Explanation:uhsha
Countries trade with each other when they need goods they cannot produce
themselves. They also trade to take advantage of their own resources and surplus of
goods.
Check Your Understanding
Attempt 1 of 2
What are three reasons that might encourage a country to engage in trade?
A. The country lacks the ability to produce any goods.
B. The country has the natural resources to produce a specific good.
C. The country lacks an essential material.
D. The country can specialize in the production of a specific good.
E. The country can produce everything it needs.
Answer:
c
Explanation:
The bullwhip effect causesA) maximization of supply chain surplus.B) improved accuracy of demand information within the supply chain.C) different stages of the supply chain to have a very different estimate of what demand looks like.D) less need for aggregate planning.
Different stages of the supply chain to have a very different estimate of what demand looks like.
In economics, call for is the quantity of a very good that clients are willing and capable of purchase at various fees all through a given time.[1] the connection among rate and quantity call for is likewise referred to as the demand curve. demand for a selected object is a feature of an item's perceived necessity, charge, perceived quality, convenience, to be had options, purchasers' disposable earnings and tastes, and plenty of other alternatives.
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Which of the following is true of resources and wants?
Both are unlimited.
Both are limited.
Resources are limited and wants are unlimited.
Resources are unlimited and wants are limited.
Answer:
the third one.............
Of all the given statements, the statement that is true in the context of resources and wants is “Resources are limited and wants are unlimited.” Hence, Option C is correct.
What are the resources?
A resource is a physical good that people appreciate and need, including air, water, and land. A resource can be classified as renewable or nonrenewable based on whether it can replace itself at the rate it is used up or whether it has a finite supply.
Natural resources, human resources, environmental resources, and many more are examples of various types of resources. In essence, wants are things that members of society aspire to possess. However, the term "resources" refers to the earth's natural resources that can be used by humans.
Thus, if there are lack of the necessary resources, one cannot satisfy wants. Option C is correct.
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a is a group of consumers with similar needs and a group of retailers that satisfy those needs using a similar retail channel and format. a. wholesale market segment b. target market segment c. trading area d. retail market segment
A retail market segment is a group of consumers with similar needs and a group of retailers that satisfy those needs using a similar retail channel and format. Hence, option D is correct.
Retail market segment describes a set of buyers with comparable wants and a group of sellers who meet those needs through comparable retail channels and business models. The primary distinction between the wholesale and retail market segments is the establishment of a relationship between the wholesaler and the client in the former case and the manufacturer and retailer in the latter.
A given commodity's wholesale and retail prices diverge significantly, so that the wholesale price is always lower than the retail price. In the wholesale industry, the art of product sales, which is crucial in the retail sector, is not required. A wholesale firm is bigger than a retail one in size.
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Correct question is:
A ______ is a group of consumers with similar needs and a group of retailers that satisfy those needs using a similar retail channel and format.
a. wholesale market segment
b. target market segment
c. trading area
d. retail market segment
One to two sentences, explain what happens to a production possibilities curve if a natural disaster creates a scarcity of a key resource needed to make a product. Explain why this happens.
A natural disaster causing a scarcity of a key resource necessary for production will result in a shift inward or to the left of the production possibilities curve.
This occurs because the reduced availability of the key resource limits the economy's ability to produce the affected product, leading to a decrease in overall production capacity.
As a result, the economy's production possibilities are constrained, and it is forced to operate at a suboptimal level.
The scarcity of the key resource disrupts the balance between the production of different goods, leading to a decrease in potential output.
The economy will need to allocate its limited resources and adjust its production mix accordingly, potentially focusing on alternative products or finding substitutes for the scarce resource in order to maximize production under the new constraints imposed by natural disaster-induced scarcity.
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What amount would the insurance company pay for vandalism that does $425 of damage to a home if the insured homeowner has a $500 deductible?
ZERO amount would the insurance company pay for vandalism that does $425 of damage to a home if the insured homeowner has a $500 deductible.
( Because the deductible exceeds the loss or the damage. The loss is $425 and the deductible is $ 500, so here the deductible exceeds the loss hence the insurance company will not pay anything).
People like you pay premiums to insurance companies to cover potential losses related to their property. Insurance companies receive these premiums and aggregate them into money pools. These funds are available to cover losses incurred by pool members.
When you report a car accident to the insurance company, the insurance company will send an adjuster to assess the damage. The expert's first task is to decide whether to classify the vehicle as a total loss. Assuming the vehicle is a total loss, the expert performs a valuation and assigns a value to the vehicle.
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harmful substances which contaminate water are collectively called
Answer:
Ground Water Contamination
Explanation:
I'll be honest I'm not 100% sure.
which of the following variables does the federal reserve bank target when regulating commercial banks?
The Federal Reserve Bank targets several variables when regulating commercial banks. These include the reserve requirement, the federal funds rate, and the discount rate. The reserve requirement is the percentage of deposits that banks are required to hold in reserve and not lend out.
The Federal Reserve Bank sets this requirement as a means of controlling the amount of money that banks have available to lend. By increasing the reserve requirement, the Federal Reserve can limit the amount of money that banks have to lend, which can help to prevent inflation. The federal funds rate is the interest rate that banks charge each other for overnight loans of reserve balances. This rate is set by the Federal Open Market Committee (FOMC), which is responsible for implementing monetary policy in the United States. By adjusting the federal funds rate, the FOMC can influence the overall level of interest rates in the economy, which can affect borrowing and spending by consumers and businesses.
Finally, the discount rate is the interest rate that the Federal Reserve charges banks for loans from its discount window. By changing the discount rate, the Federal Reserve can encourage or discourage banks from borrowing from it, which can affect the overall level of reserves in the banking system. In summary, the Federal Reserve Bank targets several variables when regulating commercial banks, including the reserve requirement, the federal funds rate, and the discount rate. By adjusting these variables, the Federal Reserve can influence the overall level of lending and borrowing in the economy, which can have a significant impact on economic growth and inflation.
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Please select the steps involved in GOMS. (Multiple answers possible) Measures. Selections. Operators. Goals. Methods. Options. What are some of the advantages of a Heuristic Evaluation? (Multiple answers possible) Combines well with other evaluations methods. Can be cheap. Simple to perform. Generates quantitative insights. Requires in-person user testing. Can be done by anyone. Why is it important to keep your audience in mind when you communicate research results? (Multiple answers possible) You need to make sure to tell everybody what they want to hear. It doesn't matter how great of an insight you have if no one understands it. Knowing what main takeaways and insights to communicate to the individual audience can increase stakeholder buy-in. It doesn't matter.
GOMS steps: Goals, Operators, Methods, Selections.
Advantages of Heuristic Evaluation: Can be cheap, Simple to perform, Combines well with other evaluation methods. Importance of audience in communicating research results: Knowing what main takeaways and insights to communicate to the individual audience can increase stakeholder buy-in.
GOMS (Goals, Operators, Methods, Selections) is a cognitive modeling technique used to analyze human-computer interaction. It involves breaking down tasks into these components to estimate task completion time and identify potential usability issues. Heuristic Evaluation is a usability inspection method where evaluators assess a system's user interface against a set of usability principles or heuristics. Advantages of heuristic evaluation include its cost-effectiveness, simplicity in execution, and compatibility with other evaluation methods, allowing for comprehensive usability assessments.
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On 31 January 2017, you bought 200 shares of a company for $422.84 a share and on 31 January 2021 you sold them for $862.14 a share. In January 2021, you also received a cash dividend of $11.64 per share. Calculate the annual holding period yield (in percentage) on your investment.
The annual holding period yield (in percentage) on the investment of 200 shares purchased
at $422.84 a share and sold at $862.14 a share and a cash dividend of $11.24 per share is 14.27%.
Number of shares = 200
Cost per share = $422.84
Selling price per share = $862.14
Dividend per share = $11.24
To calculate the annual holding period yield of the investment, we need to determine
the holding period, the dividend, and the return on investment.
Holding period = (2021 - 2017) = 4 years
Dividend income = $11.24 x 200 = $2,248
Total revenue from selling shares = Selling price per share x Number of shares= $862.14 x 200 = $172,428
Total Cost of 200 shares = Cost per share x Number of shares= $422.84 x 200 = $84,568
Total Return on Investment = Dividend income + Total Revenue from Selling Shares - Total Cost of shares= $2,248 + $172,428 - $84,568= $90,108
Annual Holding Period Yield = ((Total Return on Investment / Total Cost of shares)^(1/number of years)) - 1= (($90,108/$84,568)^(1/4)) - 1= (1.06769^(1/4)) - 1= 0.135 = 13.5% (rounded to one decimal place)Therefore, the annual holding period yield (in percentage) on the investment of 200 shares purchased at $422.84 a share and sold at $862.14 a share and a cash dividend of $11.24 per share is 14.27%. (rounded to two decimal places).
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influences of Business environment,
Factors that Influence the business environment are :
Economic environmentSocial environmentTechnological environmentPolitical environmentLegal environment
The business environment means the total of all the individuals, and institutions that could affect the working of the business firm.
Importance of business environment:
Business environments help the firm to prepare itself for every possible obstruction or hindrance that can affect the functioning of the firm.It also helps the firm to adjust to frequent changes.The economic environment is all the things that create an economic impact on the firm.
The social environment is all the traditions and customs of the society that creates an impact on the firm.
The technological environment is all the impact on the firm caused due to new technology and upgradations.
The political environment is the conditions and behavior that the elected representatives hold toward the business
The legal environment is entirely based on the rules and legislation of the authorities.
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how to get stimulus check 2021 if you didn t file taxes
Answer:
you may need to file a 2020 tax return even if you don’t traditionally file.
Explanation:
This FAQ can help you understand how the system works and what you can do to claim any stimulus that you may be eligible to receive.
Write one paragraph about SOMEONE YOU LOVE SPENDING TIME WITH.
MUMY GIVE ME FIVE SARS
Compare and contrast the elements of centralization and formalization within the Arab Alliance and the IDF. Explain how those inherent differences may have affected the outcome of the war.
The correct answer to this open question is the following.
The elements of centralization and formalization within the Arab Alliance and the IDF were key to understand the Israeli victory over the Arab army. Without a doubt, those inherent differences affected the outcome of the war.
The Arab Alliance was formed by soldiers from different Arab states such as Jordan, Syria, Saudi Arabia, Tunisia, Algeria, Morocco, and Egypt. The alliance had strong numbers, good supplies and weapons, machines, tanks, and the support of the Soviet Union.
However, the Israeli al Defense Force (IDF) won the war by capturing the Gaza Strip, the West Bank, and the Sinai Peninsula. And the Israelis could do that because they had better training, a different mentality, and a modern strategic approach.
Israel not only recruited loyal soldiers, as was the main cause for the Arabs. Israel recruited the best talent for each military position and trained until they became the best. Lack of this kind of recruiting and training was notorious in the Arab alliance.
Another factor that favored Israel was the Structure of Command and Control, emphasizing combat aspects such as strategy, swiftness, agility, improvisation, flexibility, and decision making on the move. Totally different from the bureaucratic Arab approach in the line of command.
That is why Israel won the Six-Day War that was fought from June 5-10, 1967.
Cycle Wholesaling sold merchandise on account, with terms n/60, to Sarah's Cycles on February 1 for $1,250 (cost of goods sold of $725). On February 9, Sarah's Cycles returned to Cycle Wholesaling one-quarter of the merchandise from February 1 (cost of goods returned was $195). Cycle Wholesaling uses a perpetual inventory system, and it allows returns only within 15 days of initial sale. Required:
Answer:
1. 1-Feb
Dr Accounts receivable 1,250
Cr Sales revenue 1,250
2 . 1-Feb
Dr Cost of goods sold 725
Cr Inventory 725
3. 9-Feb
Dr Sales revenue 312.50
Cr Accounts Receivable 312.50
4. 9-Feb
Dr inventory 195
Cr Cost of goods sold 195
5. 2-Mar
Dr Cash 937.50
Cr Accounts receivable 937.50
B. Gross profit percentage=43.47%
Explanation:
A. Preparation of the journal entries to record sales , goods return on February 9 and Cash collected on March 2
1 to 3 Preparation of the journal entries to record sales
1. 1-Feb
Dr Accounts receivable 1,250
Cr Sales revenue 1,250
2 . 1-Feb
Dr Cost of goods sold 725
Cr Inventory 725
3. 9-Feb
Dr Sales revenue 312.50
Cr Accounts Receivable 312.50
(1/4*1,250)
4. Preparation of the journal entry to record goods return on February 9
9-Feb
Dr inventory 195
Cr Cost of goods sold 195
5. Preparation of the journal entry to record collected on March 2
2-Mar
Dr Cash 937.50
Cr Accounts receivable 937.50
(1,250-312.50)
B. Calculation for the gross profit percentage for sales to Sarah's Cycles
First step is to find the gross profit
Net sales 937.50
Less Cost of goods sold (530)
(725-195 )
Gross profit 407.50
Now let calculate the Gross profit percentage using this formula
Gross profit percentage = Gross profit/Sales
Let plug in the formula
Gross profit percentage=407.50/937.50
Gross profit percentage=0.4347*100
Gross profit percentage=43.47%
Cash inflows and outflows related to bonds payable and long-term notes payable are reported on which section of the statement of cash flows?.
Cash inflows and outflows related to bonds payable, and notes payable are reported in the financing activities section of the statement of cash flows.
What are financial activity?Financial activities are series of events a company or firm undertakes.
This events helps to achieve a particular goal and objective.
Activities include cash inflow and outflow and also expenses.
Therefore, Cash inflows and outflows related to bonds payable, and notes payable are reported in the financing activities section of the statement her of cash flows.
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people who perform task and jobs are part of which factor of production
Answer:
The factors of production in an economy are its labor, capital, and natural resources. Labor is the human effort that can be applied to the production of goods and services. People who are employed or would like to be are considered part of the labor available to the economy.
Explanation: