The advantage of using the multiples method to estimate a stock's value is that estimates are based on publicly observable data. The correct option is A).
The publicly observable data is a popular approach to estimate the value of a stock. It involves comparing the stock's financial ratios (such as price-to-earnings, price-to-sales, and price-to-book value) with similar ratios of comparable companies in the industry.
One of the advantages of this method is that it relies on publicly available data, which makes it easier for investors to obtain and use. Additionally, the publicly observable data provides multiple valuation estimates based on different ratios, which can help investors make a more informed decision.
So, the correct answer is A).
To know more about stock's value:
https://brainly.com/question/18648241
#SPJ4
The importance of flower farming is increasing day by day in nepal. Justify this statement. please write long ans
Answer:
Prior to 1990, there were a number of nurseries within the valley as well as a few outside that cultivated flowers, but the trend then was more towards producing potted plants, seeds, bulbs and suchlike. There was no large market for cut flowers of the variety available now, in part because there was very little demand due to a lack of market exposure to cut flowers. People in Kathmandu just did not use them on a regular basis. According to nursery owners, there was at that time only a small demand amongst the expatriate community and amongst the Indian community. On November 15 1992 however, the Floriculture Association of Nepal or FAN was formed, and this marked the beginning of the floriculture industry in Nepal.
FAN was formed by 11 nursery owners with the objective of promoting and enhancing the floriculture industry and the emergence of flowers in the Katmandu market can in fact be attributed to the training in flower arrangement that FAN conducted in 1993. Following this training, they initiated the opening of a wholesale market and the support FAN gave to the organization 'Women in Floriculture' project enabled several entrepreneurs to set up flower retail outlets. This supply driven demand resulted in flowers being made available in the market and the market responded by taking up this supply. Business has since improved as demonstrated by the change in demand from around 100 rose stems a day in 1992 to 3000 stems in 2003 and from 100 gladiolus stems in 1992 to 6000 in 2003. Figures from FAN put the total sale of cut flowers at 10 million in 1992, which went up to 70.2 million in 2003.
The domestic market for cut flowers is in fact increasing according to Suresh Bhakta Shrestha of Standard Nursery in Bansbari. He says that in 1993 150 thousand Nepali Rupees was the total turnover for all the shops that sold flowers in Kathmandu. This figure is now around 80 to a 100 thousand Rupees per month per shop! Latest figures also suggest that there are there are currently around 300 nurseries and 40 retail shops within the Kathmandu valley. This information suggests that floriculture has grown very rapidly and that the flower culture here continues to grow.
Explanation:
Impact of consumer protection act on the marketing function
The impact of the consumer protection act on the marketing function is that Under this act, people are veritably happy because this act tells the people the right rate of the particulars, and all effects which help consumers to cover them from high request prices, fake prices of particulars, etc.
The Consumer Protection Act 68 of 2008( “ CPA ”) has introduced significant restrictions on the way suppliers are permitted to request goods and services from consumers. The CPA is designed to cover consumers before they enter into a sale and indeed if they don't eventually distribute with the supplier.
It helps people to get their rights, on the other hand, it's a big problem for the dealer because they don't get important profit due to the action of this act. It helps consumers veritably much in marketing work.
Consumer Protection Act provides Consumer Rights to help consumers from fraud or specified illegal practices. These rights insure that consumers can make better choices in the business and get help with complaints.
Learn more about Consumer Protection Law here:
https://brainly.com/question/1862829
Problem statement
• The owner of a real estate who owns high rise buildings wants
a system that will allow his employees to rent out his building’s
apartments to people.
• A Customer who is inte
A Customer who is interested in renting an apartment from the real estate owner requires a user-friendly system that enables them to search for
available apartments, view detailed estate information about each apartment (e.g., number of rooms, amenities, location), submit rental applications, and track the status of their application. The system should provide a seamless and efficient process for the customer to communicate with the real estate company, schedule property tours, sign employees rental agreements electronically, and make rental payments. Additionally, the customer may also require buildings access to relevant documents such as lease terms, rules, and regulations.
learn more about estate here:
https://brainly.com/question/15174151
#SPJ11
Which of the following reflects Revenue after Deductions?
Answer:
Net income reflects the total residual income that remains after accounting for all cash flows, both positive and negative. In other words, from revenue, which is called the top-line number, all income, expenses, and costs are deducted to arrive at net income
NET INCOME
Explanation:
MARK ME AS BRAINLIEST
FOLLOW ME
CARRY ON LEARNING
hurry !
Whom does the Government and Public Administration career cluster serve?
private citizens
army and navy
government employees and the military
national security and the foreign service
Private citizens do the Government and Public Administration career cluster serve. Hence, option A is correct.
What is Public Administration?In the field of public administration, leaders collaborate with localities to advance the welfare of the public and effect change for the better. Public administration specialists are equipped to run all levels of government and nonprofit organizations.
Public administrators plan, direct, and supervise the organizations that oversee and regulate local laws and legislation. As these organizations grow to satisfy society's demands while simultaneously serving the interests and needs of the general public, public administrators act as special consultants to them.
"Legislative activities, taxation, national security, public order and safety, immigration services, foreign affairs and international assistance, and the administration of government programs" are all considered to be "exclusively governmental in nature."
Thus, option A is correct.
For more information about Public Administration, click here:
https://brainly.com/question/22972887
#SPJ6
realized income items that taxpayers permanently omit from income are referred to as , while items that are taxed in a subsequent year are called
Answer:
Realized income items that taxpayers permanently omit from income are referred to as exclusions, while items that are taxed in a subsequent year are called deferrals.
A basic concept in economics is that all resources are
O scarce.
• allocated.
valuable.
O renewable.
A basic concept in economics is that all resources are scarce. Thus, option a. is the correct answer.
Explain about the basic concept about the economics.
Every person's life includes doing economics on a regular basis in addition to studying it. It serves as a means of balancing the inputs and outputs of money. Whatever it is, one should prepare before the month or count at the end of the month or year, whether it is a small family, a large family, a small commercial enterprise, or a giant organisation. Economics seeks to strike a balance between the unending demands and the finite resources.
After saying this, we'll start talking about the topic of "economics." The pupils who are just beginning their studies in commerce in class XI will find this subject extremely interesting. In essence
To learn more about concept of economics.
https://brainly.com/question/23422992
#SPJ1
Answer:
Option A scarce
Explanation:
Net income is used to measure the return on the firm's total assets.
True
False
Net income is not used to measure the return on the firm's total assets. Hence, the statement is false.
Return on assets (ROA) is calculated by dividing net income by total assets, gives a more accurate picture of how well a company is using its assets to generate profits.
Net income, also known as net profit, represents the company's total revenue minus all expenses, taxes, and other costs. It reflects the profitability of the company after deducting all expenses.
Return on assets is specifically focused on assessing how effectively a company utilizes its assets to generate profits. It provides insight into the company's efficiency in generating profits relative to its investment in assets.
Thus, it is the return on assets that measure the return on the firm's total assets and not the net income.
Learn more about net income here:
https://brainly.com/question/31813641
#SPJ1
Karen works in a department store. Her coworkers have diverse cultural backgrounds. Which statement shows that Karen understands the importance of multiculturalism?
A.
She values a consistent focus on knowing and completing her daily tasks.
B.
She expects everyone to conform to the same ideas about punctuality.
C.
She appreciates how other perspectives enhance customers’ shopping experiences.
D.
She values completing a job on schedule more than taking time to build relationships.
A.
She values a consistent focus on knowing and completing her daily tasks.Answer:
Explanation:
the management's preparation of activities to be carried out by the organization is termed
a) planning
b) delegating
c) organising
d) motivating
Answer:
a) planning
Explanation:
Planning is a major function of management. It entails thinking ahead or visualizing how to execute events or processes before their time is due. Planning is actualizing events in one's mind to achieve desires results before implementing them on the ground. It is going ahead of time and making preparations for future events.
Planning makes processes and events go smoothly. It makes sure all necessities are availed on time and all possible hitches have been addressed.
Required information Problem 11-4A (Static) Analyzing changes in stockholders' equity accounts LO C3, P2, P3 [The following information applies to the questions displayed below.) The equity sections for Atticus Group the beginning of the year (January 1) and end of the year (December 31) follow. Stockholders' Equity (January 1). Common stock-$4 par value 100,000 shares authorized, 40,000 shares issued and outstanding Paid-in capital in excess of par value, common stock Retained earnings Total stockholders equity $ 160,000 120,000 320,000 $ 600,000 Stockholders' Equity (December 31) Common stock-$4 par value, 100,000 shares authorized, 47, 400 shares issued, 3,000 shares in treasury Paid-in capital in excess of par value, common stock Retained earnings ($30,000 restricted by treasury stock) $ 189,600 179,200 400,000 768,800 (30,000) $. 738,800 Less cost of treasury stock Total stockholders' equity The following transactions and events affected its equity during the year. January 5 March 20 April 5 July 5 July 31 August 14 October 5 Declared a $0.50 per share cash dividend, date of record January 10. Purchased treasury stock for cash. Declared a $0.50 per share cash dividend, date of record April 10. Declared a $0.50 per share cash dividend, date of record July 10 Declared a 20% stock dividend when the stock's market value was $12 per share. Issued the stock dividend that was declared on July 31. Declared a $0.50 per share cash dividend, date of record October 10. Problem 11-4A (Static) Part 5 5. How much net income did the company earn this year? Net income
Answer:
that is a lot of information my friend
Total stockholders' equity at the end of the year - Total stockholders' equity at the beginning of the year - Total dividends paid out during the year = $738,800 - $600,000 - $80,000 = $58,800Net income = $170,000 is incorrect. The correct answer is $0.
In problem 11-4A, the company in question earned a net income of $170,000 this year. The income statement of the company for the year can be prepared using the following information: Stockholders' Equity (January 1) Common stock-$4 par value 100,000 shares authorized, 40,000 shares issued and outstanding Paid-in capital in excess of par value, common stock Retained earnings.
Total stockholders equity $ 160,000 120,000 320,000 $ 600,000 Stockholders' Equity (December 31) Common stock-$4 par value, 100,000 shares authorized, 47, 400 shares issued, 3,000 shares in treasury Paid-in capital in excess of par value, common stock Retained earnings ($30,000 restricted by treasury stock) $ 189,600 179,200 400,000 768,800 (30,000) $. 738,800.
Less cost of treasury stock Total stockholders' equity Based on this information, we can calculate the increase in retained earnings by finding the difference between the retained earnings account at the beginning of the year and at the end of the year. Increase in retained earnings = Ending retained earnings - Beginning retained earnings = $400,000 - $320,000 = $80,000 .
The amount of dividends paid out during the year can also be found from the information given. Total dividends paid out during the year = $0.50 x 40,000 shares + $0.50 x 40,000 shares + $0.50 x 40,000 shares + $0.50 x 40,000 shares = $80,000 .
Therefore, the net income earned by the company during the year can be calculated as follows: Net income = Increase in retained earnings - Total dividends paid out during the year = $80,000 - $80,000 = $0Alternatively, net income = Total stockholders' equity at the end of the year - Total stockholders' equity at the beginning of the year - Total dividends paid out during the year = $738,800 - $600,000 - $80,000 = $58,800Net income = $170,000 is incorrect. The correct answer is $0.
To know more about Stockholders visit :
https://brainly.com/question/18523103
#SPJ11
Disadvantages of choosing a job that is extremely popular or in demand
The disadvantage of choosing a job that is very popular or a job that is in high demand is that after a while such a job may become saturated or it would become monotonous.
What is a high demand job?This is the term that is used to refer to a job that the people that wpould employ labor are constantly in need of. Such a job is one that would require the people that have the qualification to opt in and get the places and the roles that they are to fill.
The issues that may arise from such a job that is in high demand is that after a period, such a job may have a lot of persons that would want to fulfil the role.
The number of qualified persons may become more than the job that is available for the people to do in the long run.
Hence this is a disadvantage. Therefore I would conclude by saying that the disadvantage of choosing a highly popular job is that the number of persons that are willing to fulfil the role may exceed the job overtime.
Read more on jobs here: https://brainly.com/question/26355886
#SPJ1
You want to accumulate $3,000,000 for your retirement in 40 years. What annual interest rate must you earn if you deposit $1,000 per year each year until retirement? a. 16.8454
b. 40
c. 3.000.000
d. 0
The Annual Interest Rate (AER) = 16.8454
Annual Interest Rate = RATE (nper,pmt,pv,fv)
Annual Interest Rate =RATE (40,-1000,0,3000000)
Annual Interest Rate =16.85%
Annual Interest Rate = 16.8454
When the benefits of compounding over time are taken into account, the real return on a savings account or any other interest-paying investment is known as the Annual Interest Rate (AER). It also displays the actual percentage rate of interest owed on any outstanding debts, including credit card debt and loans.
It is also known as the yearly equivalent rate, the Annual Interest Rate (AER), and the effective rate.
The genuine interest rate attached to an investment or loan is described by the effective Annual Interest Rate. The fact that the effective yearly interest rate takes into consideration the reality that more frequent compounding periods will result in a higher effective interest rate is its most significant aspect.
To learn more about Annual Interest Rate (AER), please refer:
https://brainly.com/question/17088238
#SPJ4
The individual who is in charge of investing money into securities in a mutual fund is called the:
A) Portfolio Manager
B) General Manager
C) Stock Superintendent
D) Operations Manager
Answer:
A) Portfolio Manager
Explanation:
A portfolio manager is an individual or an entity in charge of managing a mutual fund, hedge fund, or other assets in a portfolio. A portfolio is a combination of financial investments like securities, stocks, bonds, cash equivalents, and commodities. The Portfolio Manager is a skilled professional who manages their clients' resources to meet the set investment objectives.
A portfolio manager's primary role is to select the securities that go into a portfolio and manage its day-to-day trading.
at the beginning of the year, long-term debt of a firm is $310 and total debt is $340. at the end of the year, long-term debt is $270 and total debt is $350. the interest paid is $36. what is the amount of the cash flow to creditors?
If at the beginning of the year, long-term debt of a firm is $310 and total debt is $340. at the end of the year, long-term debt is $270 and total debt is $350. the interest paid is $36. the amount of the cash flow to creditors is $76.
Cashflow to creditorsFirst step is to find the Net new borrowing using this formula
Net new borrowing = Ending Long-term debt - Beginning Long-term debt
Let plug in the formula
Net new borrowing = $270 - $310
Net new borrowing= ($40)
Second step is to calculate the cash flow to creditors using this formula
Cash flow to creditors = Interest paid - Net new borrowing
Let plug in the formula
Cash flow to creditors = $36 - ($40)
Cash flow to creditors = $ 76
Therefore we can conclude that the Cash flow to creditors is the amount of $76.
Learn more about Cash flow to creditors here: https://brainly.com/question/14694803
#SPJ1
Explain the impact of strikes as a socio-economic issue on businesses.
What is insurance and premium
in general, why is it more expensive for a company to finance with equity capital than with debt capital?
Equity capital is generally more expensive than debt capital due to several reasons. These reasons include: Equity capital involves more risk than debt capital. Debt capital is borrowed money, and the lender expects to be repaid with interest. On the other hand, equity capital involves taking on investors who own a portion of the company.
Investors in equity capital expect to receive a return on their investment in the form of dividends and/or an increase in the value of their shares. Equity investors bear the risk of losing their investment if the company doesn't perform well. There is no fixed repayment schedule for equity capital.
Debt capital has a fixed repayment schedule. Equity capital, on the other hand, is considered an indefinite investment. Investors in equity capital expect to be compensated through returns on their investment, but they do not have a fixed repayment schedule. This means that if the company becomes profitable, it may have to share its earnings with equity investors for an indefinite period of time. This makes equity capital more expensive than debt capital. Equity capital comes with more strings attached than debt capital.
Equity investors usually expect some degree of control over the company's decision-making process. They may require a say in the company's strategy, management, or other aspects of its operation. This can be a costly expense for the company since it means giving up some control over its business to equity investors. These factors make equity capital more expensive than debt capital. However, there are also benefits to equity financing, such as not having to make interest payments or repay the principal amount borrowed.
To know more about Equity visit :
https://brainly.com/question/30685322
#SPJ11
What kind of skill is persuasion?
soft skill
hard skill
neutral skill
high skill
Answer:
Persuasion is convincing others to change their point of view, agree to a commitment, purchase a product or service, or take a course of action. Oral and written persuasive skills are valued in the workplace. Sales is the most obvious form of persuasion, but this skill is used in many other positions as well.
Explanation:
‼️‼️ Which of the following statements about international business is the most
accurate?
A. International business can be riskier than domestic business but
the size of the market makes it a very attractive option.
B. Individuals and small business are at less risk than large
corporations in selling overseas.
c. Most products on the market today are produced domestically.
D. International banking regulations are the same in most countries.
Answer:
A
Explanation:
A-P-E-X
International business can be riskier than domestic business but the size of the market makes it a very attractive option is the most accurate statement about international business among the given options. The correct option is A.
Why international business is riskier than domestic business?More regulations apply to international business than domestic business. Domestic business generally has lower quality requirements than the international company. In comparison to domestic business, overseas business typically has greater quality standards.
International business involves trading goods and services across national borders, which can expose businesses to a range of risks such as currency fluctuations, political instability, different legal systems, and cultural differences. However, the size of the international market and the potential for increased revenue and profit can make it an attractive option for businesses seeking to expand their operations.
Thus, the ideal selection is option A.
Learn more about international business here:
https://brainly.com/question/30477988
#SPJ2
if congress is worried about inflation, they might group of answer choices increase government spending and taxes decrease government spending and taxes increase government spending and decrease taxes decrease government spending and increase taxes
The correct option is D, If Congress is worried about inflation, they might decrease government spending and increase taxes.
Inflation occurs when the general price level of goods and services in an economy rises over time, which can erode the purchasing power of consumers and create uncertainty in the marketplace. When inflation is a concern, policymakers may take steps to reduce the amount of money flowing into the economy to try to slow down price increases.
One way to do this is to decrease government spending. This reduces the amount of money the government is injecting into the economy, which can help to moderate price increases. Additionally, Congress may choose to increase taxes, which can reduce the amount of disposable income available to consumers and businesses, further decreasing demand for goods and services and helping to control inflation.
To learn more about Inflation visit here:
brainly.com/question/30112292
#SPJ4
Complete Question: -
If congress is worried about inflation, they might
a. increase government spending and taxes
b. decrease government spending and taxes
c. increase government spending and decrease taxes
d. decrease government spending and increase taxes
The tragedy of the commons will be evident when a growing number of sheep grazing on the town commons leads to a destruction of the grazing resource. To correct for this problem, the town could?.
To correct for this problem, the town could auction off a limited number of sheep grazing permits.
Define grazing.In agriculture, grazing is a method of animal husbandry where domestic livestock are allowed to roam outdoors and consume wild vegetations to convert the otherwise indigestible (by human gut) cellulose within grass and other forages into meat, milk, wool, and other animal products, frequently on land unsuited for arable farming.
To maximize productivity, farmers can use a variety of grazing techniques, such as rotational grazing within a grazing period, seasonal grazing, or continuous grazing. Ley farming, which alternates arable and fodder crops, rest rotation, postponed rotation, and mob grazing, which gives grasses more time to recuperate or leaves land fallow, are examples of farming methods that use longer rotations.
to know more about agriculture check the link given below:
brainly.com/question/11158509
#SPJ4
Which of the following is a database system that has been designed and developed specifically for one operation?
representational
relational
proprietary
privatized
3.
housing needed to move to be near food sources.
a. portable
b. natural
c. permanent
Answer:
a
Explanation:
moving is portable
Discuss in detail the content of a typical business plan.
A typical business plan is a comprehensive document that outlines the key aspects of a business, including its objectives, strategies, operations, financial projections, and marketing plans.
While the specific content may vary depending on the nature of the business and its intended audience, here are the key components usually included in a business plan:
Executive Summary: This section provides an overview of the entire business plan, highlighting the key points and goals of the business.
Company Description: It outlines the nature of the business, its mission statement, legal structure, ownership, and key management personnel.
Market Analysis: This section presents a thorough analysis of the target market, including its size, growth potential, customer demographics, and competitive landscape.
Products or Services: It describes the products or services offered by the business, their unique selling points, and any intellectual property or technological advantages.
Marketing and Sales Strategy: This section outlines the marketing and sales approach, including pricing, distribution channels, promotional activities, and customer acquisition strategies.
Organization and Management: It provides an overview of the organizational structure, key roles and responsibilities, and the qualifications of the management team.
Operational Plan: This section details the day-to-day operations of the business, including production processes, facilities, technology requirements, and logistics.
Financial Projections: It includes projected financial statements, such as income statements, balance sheets, and cash flow statements, along with assumptions and financial ratios.
Risk Analysis: It identifies potential risks and challenges the business may face, along with mitigation strategies to address them.
Implementation Timeline: This section outlines the key milestones, timelines, and action plans for the execution of the business strategies.
To learn more about projections
https://brainly.com/question/21445581
#SPJ11
which of the following factors will hinder the integration of expatriate staff with local staff?
What should be included in your retirement plan?
A the amount of social security you expect to earn
B the amount of money you have in other accounts
C pension amounts from your former employers D all of the above
Answer:
A
Explanation:
because when you have social security then you are able to secure your money or pension
Answer:
A
Explanation:
because when security are around your money will safe
Once you are signed up for overdraft protection, you cannot opt out?
True or False
The statement that once you are signed up for overdraft protection, you cannot opt out is false.
What is Overdraft protection?
Overdraft protection serves as an option that is been given by the bank accounts which prevents check, ATM as well as debit card transactions.
This protection helps the individual, from causing the account's balance to fall below zero.
It should be noted that with this protection, an overdraft fee or a non-sufficient funds can be triggered.
We can conclude that if you sign up for overdraft protection, you can as well opt out.
Learn more about overdraft protection at:https://brainly.com/question/1268151
According to the Fisher equation, the nominal interest rate is equal to the: rate of inflation a. b. real interest rate minus the rate of inflation real interest rate plus the rate of inflation c. rate of unemployment d. real interest rate plus short-run economic fluctuations e.
According to the Fisher equation, the real interest rate is given by option the nominal interest rate minus the rate of inflation. Option E is the correct answer.
The Fisher equation states that the real interest rate is equal to the nominal interest rate minus the expected or actual rate of inflation. This equation helps to distinguish between the nominal interest rate (the rate quoted by banks or lenders) and the real interest rate (the rate adjusted for inflation).
By subtracting the inflation rate from the nominal interest rate, we obtain the real interest rate, which represents the purchasing power of borrowed or invested money.
Learn more about the real interest rate at
https://brainly.com/question/32530068
#SPJ4
The question is -
According to the Fisher equation, the real interest rate is given by:
a.zero
b.the nominal interest rate plus the rate of inflation
c.the nominal interest rate minus the rate of unemployment
d.the rate of economic growth
e.the nominal interest rate minus the rate of inflation
Frank wants to add contact information for his references to his resume what should he obtained before including this contact information
A.Training certificates
B. Each person’s approval
C. Experience letter
D. Membership certificates.
Answer: B
Explanation: You should always contact someone before you list them as a reference to confirm that they are comfortable giving you a good recommendation if the potential employer contacts them, and also to confirm that you are listing the correct contact information on your resume.