Twain is subject to a 40% tax rate. Twain Inc. had $500 million in taxable income in the current year. Twain recognized Income Tax Expense of $90 million, with its Deferred Tax Liabilities increasing by $40 million. The change in Deferred Tax Assets was:

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Answer 1

The change in Deferred Tax Assets for Twain Inc. was $150 million.

The change in Deferred Tax Assets for Twain Inc., can be determined as follows:

1. Calculate the Income Tax Payable:

Income Tax Payable = Taxable Income * Tax Rate

Income Tax Payable = $500 million * 40%

Income Tax Payable = $200 million.

2. Calculate the change in Total Tax Liabilities:

Total Tax Liabilities = Income Tax Expense - Income Tax Payable

Total Tax Liabilities = $90 million - $200 million

Total Tax Liabilities = -$110 million.

3. Determine the change in Deferred Tax Assets:

Deferred Tax Assets = Change in Deferred Tax Liabilities - Change in Total Tax Liabilities

Deferred Tax Assets = $40 million - (-$110 million)

Deferred Tax Assets = $40 million + $110 million

Deferred Tax Assets = $150 million.

Therefore, the  change in Deferred Tax Assets was $150 million.

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Related Questions

Nations usually __________ industries and activities in which they have a comparative advantage over other nations.

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Nations usually specialize in industries and activities in which they have a comparative advantage over other nations.

When is about production and national economy, Nations most of the time specialize in industries that are advantageous for them. For example, if the country is rich in oil, it will specialize in oil, if the country is rich in silver, it will specialize around it. This is a strategy to ensure economic stability in the country.

Imagine that a nation specializes in copper, and its main source is from another country, they will depend on them always, because they don't have copper mines at all.

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When Schultz says, "I can tell you the organization is not thrilled when I walk into a room and say we're now going to take on [a particular issue]," who is he specifically referring to as "the organization"?

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An organization is a group of individuals who work together to achieve a common goal or objective. Organizations can take many forms, including businesses, non-profits, governments, and educational institutions.

In this context, Schultz is likely referring to the executives or upper management of the company or organization he is a part of. These individuals may have a more conservative approach to decision-making and may be resistant to change or taking on new challenges.

Schultz's statement suggests that he may face pushback or skepticism from this group when proposing new initiatives or ideas.
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A yogurt company wants to expand its line of food products. The company conducted surveys to discover what food items would appeal to customer. The company is currently in the ___________ phase of new-product development.

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The yogurt company is currently in the product development phase of the new-product development process. This is the phase in which the company takes the results of their surveys and starts to develop the new product.

In this case, the company is looking to expand its line of food products based on customer feedback. The product development phase involves a series of steps, starting with ideation and concept development, followed by prototype development, testing and refinement, and finally, commercialization. In this phase, the company will need to consider various factors such as production costs, packaging, marketing, and distribution. The ultimate goal of the product development phase is to create a product that meets the needs and wants of the target market while also generating profits for the company. It is important for the company to carefully consider all aspects of the new product, from the design and development stage to the launch and post-launch evaluation, in order to ensure its success in the market. Overall, the product development phase is a critical stage in the new-product development process and requires careful planning, execution, and evaluation to bring a successful product to market.

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Financial profits and specific financial goals are one kind of _____control and measurement used by global businesses.

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Financial profits and specific financial goals are one kind of financial control and measurement used by global businesses.

Financial control and measurement are essential for global businesses to ensure their financial stability and growth. Financial profits, which are the excess of revenues over expenses, serve as one form of control and measurement. By tracking profits, global businesses can assess their performance, identify areas for improvement, and make informed decisions to achieve their objectives.

Specific financial goals, such as revenue targets or cost reduction, are another type of control and measurement used by global businesses. These goals help companies focus their efforts, allocate resources efficiently, and monitor progress toward desired outcomes. When a business sets financial goals, it establishes clear expectations for its team members and holds them accountable for their contributions to the company's success.

In conclusion, financial profits and specific financial goals are vital control and measurement tools for global businesses. By using these methods, companies can effectively track their performance, set targets for growth, and make strategic decisions to achieve their desired financial outcomes.

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A customer sells short 1,000 shares of PDQ stock at $55 in a margin account. The stock starts to drift lower in price and 15 months later, the customer covers the short positions by purchasing the shares at $30. The customer will have a:

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The customer will have a net profit of $23,800 from the short sale of 1,000 shares of PDQ stock, assuming a borrowing cost of 2% per year and commission charges of $50 for each transaction.

Short selling is a trading strategy in which an investor borrows shares from a broker and sells them in the open market, hoping that the price of the stock will decline, and they can buy back the shares at a lower price to realize a profit. However, short selling also involves significant risks as the potential losses are unlimited if the stock price rises instead of falling.

In this scenario, the customer sells short 1,000 shares of PDQ stock at $55 in a margin account. This means that the customer has borrowed the shares from the broker and sold them in the market, with the expectation that the price of PDQ stock will decline. However, if the price of the stock rises, the customer will face margin calls and may have to deposit additional funds to cover the losses.

After 15 months, the price of PDQ stock has fallen to $30, and the customer decides to cover the short positions by purchasing the shares. To calculate the profit or loss from the short sale, we need to consider the cost of borrowing the shares, commissions, and interest charges.

Assuming that the borrowing cost is 2% per year, the customer would have to pay $1,100 ($55 * 1,000 shares * 2% * 15/12) in interest charges. If the commission charges are $50 for each transaction, the total commission charges would be $100 ($50 to sell and $50 to buy).

The initial sale of 1,000 shares at $55 generated $55,000 in revenue. The purchase of 1,000 shares at $30 costs $30,000, and the interest and commission charges amount to $1,200. Therefore, the customer's net profit from the short sale would be $23,800 ($55,000 - $30,000 - $1,100 - $100).

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Article 2A of the Uniform Commercial Code (UCC) applies to: a. the sales of goods. b. the import of goods. c. the leases of goods. d. the export of goods.

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Article 2A of the Uniform Commercial Code (UCC) is a set of guidelines that governs  C. the lease of goods between two parties.

The UCC is a set of laws that provides a uniform set of rules for commercial transactions in the United States. Article 2A applies specifically to the lease of goods and not to the sale or import/export of goods.

The lease of goods refers to an agreement in which one party (the lessor) agrees to rent or lease out goods to another party (the lessee) for a specified period of time. The goods can range from equipment and machinery to vehicles and furniture.

The terms and conditions of the lease are outlined in a lease agreement, which is a legally binding contract between the lessor and the lessee. Article 2A provides a framework for the parties involved in a lease agreement to understand their rights and responsibilities.

It covers various aspects of the lease agreement such as warranties, remedies, default, and termination. The guidelines aim to ensure that both parties are protected in case of a dispute or breach of the lease agreement.

In conclusion, Article 2A of the UCC applies to the lease of goods and not to the sale or import/export of goods. The guidelines provide a set of rules and regulations for the parties involved in a lease agreement to follow, ensuring that both parties are protected in case of any disputes or breaches of the agreement. Therefore the correct option is C

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Professional service firms, such as PriceWaterhouseCooper, often enter large international markets through FDI but usually use ________ to enter small markets. Group of answer choices equity-based collaborative ventures affiliates BOT arrangement turnkey contracting

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Professional service firms such as PricewaterhouseCoopers typically use collaborative ventures to enter small markets.

This approach allows them to share resources and expertise with local partners while reducing the risks and costs associated with foreign direct investment (FDI). Collaborative ventures can take different forms, including joint ventures, strategic alliances, and partnerships, and they can help firms gain access to new markets, customers, and knowledge while minimizing their exposure to political, legal, and economic risks.By partnering with local firms, professional service firms can also tap into their networks, relationships, and cultural insights, which can be critical for building trust and credibility with clients and stakeholders.

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Texaco and Shell are located directly across the street from one another. Texaco lowers its price for regular unleaded by 5 cents, and Shell quickly follows suit. What pricing objective is Shell using

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The pricing objective that Shell is using in this scenario is price competition. By lowering their price in response to Texaco's price reduction, Shell is attempting to remain competitive and maintain their market share.

This strategy is often employed by companies in highly competitive markets where price is a key factor in consumer decision-making. However, it's worth noting that this strategy can also lead to a price war between the two companies, which can ultimately harm profits for both parties in the long run.

Shell is using the "competitive pricing objective" when they lower their prices by 5 cents to match Texaco's price reduction for regular unleaded gasoline. This is because they are adjusting their prices in response to the actions of their direct competitor, Texaco, to maintain their market position and attract customers who might otherwise choose to purchase from Texaco due to the lower price.

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The aggregate expenditure model focuses on the ________ relationship between real spending and ________. Group of answer choices short-run; real GDP short-run; inflation long-run; real GDP long-run; inflation

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The aggregate expenditure model focuses on the short-run relationship between real spending and real GDP. This model is based on the assumption that in the short-run, prices are fixed and that changes in spending will result in changes in real GDP.

The model suggests that there are four components of aggregate spending, including consumption, investment, government spending, and net exports. These components are added together to determine the level of aggregate expenditure in the economy. The aggregate expenditure model is useful for predicting changes in real GDP in the short-run and for understanding the factors that contribute to economic growth or contraction. It can also be used to analyze the impact of fiscal and monetary policies on the economy. However, it is important to note that this model only applies to the short-run and that in the long-run, prices are flexible and changes in spending will result in changes in inflation rather than real GDP. Therefore, for long-run analysis, the aggregate expenditure model is not as useful as the aggregate supply and demand model.

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What is the most attractive target for pirates because of high development cost and low reproducibility costs

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The most attractive target for pirates would be intellectual property, such as software, music, and movies. These types of products have high development costs, but once they are created, it is relatively easy to reproduce and distribute them digitally.

This makes them very valuable to pirates, as they can profit from selling or sharing these products without having to incur the high development costs themselves.

For example, creating a new software program may require significant investment in research and development, but once the program is created, it can be easily copied and distributed online at little or no cost. Similarly, producing a high-quality movie may require millions of dollars in production costs, but once the movie is made, it can be easily copied and shared online without incurring significant additional costs.

Therefore, pirates tend to target digital goods because they can make unauthorized copies and distribute them to a large audience without incurring the same development costs as the original creators.

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Alina has decided to follow her passion opening a dance studio to teach ballet lessons. She will be taking a pay cut to follow her dream. She makes an annual salary of

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Alina's decision to follow her passion and open a dance studio is a courageous one. While she may be taking a pay cut initially, she will have the opportunity to pursue something that truly makes her happy.

As the saying goes, "Choose a job you love, and you will never have to work a day in your life." It's important for Alina to plan carefully before making the transition to opening her own dance studio. She will need to create a business plan, figure out financing, and determine a marketing strategy to attract students. It's also a good idea for her to connect with other dance studio owners and seek advice from them. While Alina may not make as much money initially, she will have the potential to earn more as her business grows. She can also find ways to supplement her income, such as teaching additional classes or offering private lessons. In addition, the personal satisfaction and joy that comes from doing what she loves may be priceless. In the end, following your passion and doing what you love is often more fulfilling than just making a lot of money. Alina's decision to pursue her dream of opening a dance studio is commendable and she should be proud of herself for taking that leap of faith.

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Individuals or groups hired to administer the property or resources of principals are called __________.

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Individuals or groups hired to administer the property or resources of principals are called agents.

An agent can be a person or an organization authorized to act on behalf of the principal. They are responsible for managing and protecting the principal's assets, making decisions, and carrying out instructions. In some cases, an agent may also have the authority to make legal and financial decisions on behalf of the principal. The relationship between the principal and the agent is based on trust and mutual understanding, and the agent is held accountable for their actions. Overall, the role of an agent is crucial in ensuring the efficient and effective management of the principal's property and resources.

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Given fixed exchange rates, assume Mexico initiates contractionary monetary and fiscal policies to combat inflation. Other things equal, these policies will also

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If Mexico initiates contractionary monetary and fiscal policies to combat inflation, it will lead to a decrease in the supply of money and credit in the economy.

This, in turn, will increase interest rates in the country, making it more attractive for foreign investors to invest in Mexico. Consequently, the demand for Mexican currency will increase, causing an appreciation in the value of the Mexican peso. The appreciation of the peso will make imports cheaper and exports more expensive, resulting in a decrease in the demand for Mexican goods and an increase in the demand for foreign goods. As a result, the country's trade deficit will increase, and the economy may face other economic challenges such as a decline in economic growth and a rise in unemployment.

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You would like to combine a risky stock with a beta of 2.28 with U.S. Treasury bills in such a way that the risk level of the portfolio is equivalent to the risk level of the overall market. What percentage of the portfolio should be invested in the risky stock

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To create a portfolio with the same risk level as the market, we should invest 44% of the portfolio in the risky stock with a beta of 2.28 and the remaining 56% in U.S. Treasury bills.

To determine the percentage of the portfolio that should be invested in the risky stock with a beta of 2.28, we first need to understand the concept of beta. Beta measures the volatility or risk of a stock in comparison to the overall market. The overall market has a beta of 1.0, so a stock with a beta of 2.28 is more volatile than the market.
To create a portfolio with the same risk level as the market, we need to use the market's beta as a benchmark. Therefore, we need to calculate the proportion of the portfolio that should be invested in the risky stock by comparing its beta to the market's beta.
Assuming we are investing only in the risky stock and U.S. Treasury bills, we can use the following formula:
Portfolio beta = (% invested in risky stock x risky stock beta) + (% invested in T-bills x T-bills beta)
Since the beta of T-bills is zero, we can simplify the formula:
Portfolio beta = (% invested in risky stock x risky stock beta)
We want the portfolio beta to be equivalent to the market's beta, which is 1.0. So we can set up the following equation:
1.0 = (% invested in risky stock x 2.28)
Solving for the percentage of the portfolio that should be invested in the risky stock, we get:
% invested in risky stock = 1.0 / 2.28 = 0.44 or 44%
Therefore, to create a portfolio with the same risk level as the market, we should invest 44% of the portfolio in the risky stock with a beta of 2.28 and the remaining 56% in U.S. Treasury bills.

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which of the five sources of organizational power - legitimate, reward, expert, referent, or information - is the easiest to deal/work with as an employee

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As an employee, the easiest source of organizational power to deal with is typically expert power. Expert power stems from an individual's knowledge, skills, and expertise, which makes it easier to trust and collaborate with them, as they have a deep understanding of their field or subject matter.

Organizational power refers to the ability of individuals or groups within an organization to influence others and achieve their goals. Power can be formal or informal, and it can be based on various sources, such as position, expertise, charisma, or access to information. Formal power is derived from a person's position or title within an organization, such as a manager or CEO, while informal power comes from personal characteristics or relationships, such as being well-liked or respected by others. Organizational power dynamics can have a significant impact on decision-making, communication, and collaboration within an organization, and understanding and managing these dynamics is crucial for effective leadership and organizational success.

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On January 1, 2014, Carla Vista World issued bonds with a face value of $236,000. The bonds carry a stated interest of 6% payable each January 1. Prepare the journal entry for the issuance of the bonds if the bonds are issued at 98.5.

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On January 1, 2014, Carla Vista World issued bonds with a face value of $236,000 at 98.5. The bonds carry a stated interest of 6% payable each January 1. To prepare the journal entry for the issuance of the bonds, we need to first calculate the cash proceeds from the bond issuance and then record the entry.

The bonds are issued at 98.5, which means they are issued at 98.5% of their face value. To calculate the cash proceeds, we multiply the face value by the percentage:
$236,000 x 98.5% = $232,260
Now, we can record the journal entry for the issuance of the bonds:
Date: January 1, 2014
Account Titles: Debit | Credit
Cash: $232,260 (Debit)
Bonds Payable: $236,000 (Credit)
Discount on Bonds Payable: $3,740 (Debit)

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Money is Group of answer choices backed by gold in the Federal Reserve Bank. the same as wealth. the value of all coins and currency in circulation at any time. anything that is generally accepted as a medium of exchange.

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Money can be defined as anything that is generally accepted as a medium of exchange. It can be coins, currency, checks, or digital forms of payment. Money is used in almost every economic transaction and has a significant impact on the overall economy. The correct answer is  generally accepted as a medium of exchange.

The Federal Reserve Bank plays a crucial role in the management of money in the United States. While the Federal Reserve Bank does hold a significant amount of gold, this gold is not what backs the value of money in circulation. Instead, the value of money is based on the confidence that people have in it. People trust that the money they have in their possession will be accepted by others in exchange for goods and services.  The value of all coins and currency in circulation at any given time is known as the money supply.

The money supply can increase or decrease depending on the actions of the Federal Reserve Bank. The Federal Reserve Bank can influence the money supply by adjusting interest rates and implementing other monetary policies. In conclusion, money is not the same as wealth and is not backed by gold in the Federal Reserve Bank. Money is anything that is generally accepted as a medium of exchange, and its value is based on people's confidence in it. The Federal Reserve Bank plays a crucial role in managing the money supply, which is the total value of all coins and currency in circulation at any given time. The correct answer is  generally accepted as a medium of exchange.

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In 1911, the U.S. government sued Standard Oil, a U.S. company, for violation of antitrust laws. The company broke up into 34 smaller companies. This is an example of

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In 1911, the U.S. government sued Standard Oil for violation of antitrust laws. This is an example of government intervention to break up a monopoly and promote fair competition.

The U.S. government took legal action against Standard Oil, a powerful company that dominated the oil industry at the time, because it violated antitrust laws. These laws aim to prevent business practices that hinder fair competition, create monopolies, and ultimately harm consumers. In this case, Standard Oil was accused of using anti-competitive tactics, such as price fixing and predatory pricing, to maintain its monopoly in the oil market.

To address this issue, the U.S. government filed a lawsuit under the Sherman Antitrust Act, which is a federal law enacted in 1890 to prevent and break up monopolies that restrict trade and limit competition. The lawsuit resulted in the breakup of Standard Oil into 34 smaller, independent companies. This decision was intended to increase competition in the oil industry and protect consumers from unfair business practices.

The breakup of Standard Oil serves as a prominent example of government intervention to promote fair competition and prevent monopolies. It highlights the importance of antitrust laws in regulating businesses and maintaining a healthy, competitive market for the benefit of both consumers and the economy as a whole.

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What organization was founded in 1926 and is made up of companies that manufacture equipment used for generation, transmission, distribution, control, and utilization of electric power

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The organization that was founded in 1926 and is made up of companies that manufacture equipment used for generation, transmission, distribution, control, and utilization of electric power is called the National Electrical Manufacturers Association (NEMA).

It is a trade association for companies that design and manufacture electrical equipment, including lighting systems, motors, transformers, switchgear, and other related products. NEMA has been instrumental in shaping the electrical industry and promoting the development of new technologies. Its members represent a wide range of industries, from power generation to healthcare to consumer electronics. By working together, these companies are able to develop and promote new products and technologies that improve the efficiency, reliability, and safety of electrical systems.

One of the primary goals of NEMA is to promote standards and regulations that ensure the safe and effective use of electrical equipment. This includes developing guidelines for the installation, maintenance, and operation of electrical systems, as well as establishing standards for the design and manufacture of electrical equipment. NEMA also works closely with government agencies and other organizations to promote the use of energy-efficient technologies and to encourage the development of new and innovative products.

In summary, NEMA is a vital organization in the electrical industry, bringing together companies from across the sector to promote innovation, safety, and sustainability. Through its efforts, NEMA helps to ensure that the world has access to safe, reliable, and efficient electrical systems that power our homes, businesses, and communities.

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On a particular date, Office Depot has a stock price of $8.66 and an EPS of $0.84. Its competitor, Staples, had an EPS of $1.65. What would be the expected price of Staples stock on this date, if estimated using the method of multiples

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The expected price of Staples stock on this date, estimated using the method of multiples, would be $16.98.

To estimate the expected price of Staples stock using the method of multiples, we need to first determine the P/E ratio for Office Depot and then apply that same ratio to the EPS of Staples.

The P/E ratio for Office Depot can be calculated as:

P/E ratio = Stock price / EPS

P/E ratio = $8.66 / $0.84

P/E ratio = 10.31

We can then apply this P/E ratio to the EPS of Staples to estimate its stock price:

We can do this by looking at the P/E ratio of Office Depot on the given date:

P/E ratio of Office Depot = Stock price / EPS = $8.66 / $0.84 = 10.31

We can assume that Staples and Office Depot are comparable companies, so we can use the same P/E ratio for both companies.

Stock price of Staples = P/E ratio x EPS of Staples

Stock price of Staples = 10.31 x $1.65

Stock price of Staples = $16.98

Therefore, the expected price of Staples stock on this date, estimated using the method of multiples, would be $16.98.

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When there are many substitute products available, the price elasticity of demand for a given product will likely be Blank______.

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When there are many substitute products available, the price elasticity of demand for a given product will likely be high.

This is because consumers have many options to choose from and can easily switch to a substitute product if the price of their preferred product increases. As a result, the demand for the original product becomes more sensitive to changes in price.  When there are many substitute products available, the price elasticity of demand for a given product will likely be high. This is because consumers have more options to choose from, making them more responsive to changes in the price of the product. If the price of the product increases, consumers can easily switch to one of the substitute products, leading to a higher price elasticity of demand.

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Suppose income in the U.S. rises. This will affect the side of the foreign exchange market for euros and cause the dollars per euro exchange rate to

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An increase in U.S. income will lead to an increase in demand for euros and a depreciation of the dollar. This change in the exchange rate will have several effects on the economy, affecting trade and investment flows between the U.S. and the euro zone.

If the supply of euros remains constant, the increase in demand will lead to an increase in the price of euros in terms of dollars. This means that the exchange rate between the two currencies will change, and the dollar will depreciate relative to the euro. In other words, it will take more dollars to purchase one euro. This change in the exchange rate will have several effects on the economy. First, it will make U.S. exports more expensive for foreign buyers, which could reduce demand for U.S. products.

On the other hand, imports from the euro zone will become cheaper, leading to an increase in imports. The change in the exchange rate could also affect capital flows between the U.S. and the euro zone. If the euro becomes more expensive, it could attract more investment from the U.S., as investors seek to take advantage of the higher returns. Conversely, the higher exchange rate could discourage investment in the U.S. from European investors.
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An increase in U.S. imports from Japan will cause the demand for yen in the foreign exchange market to and the supply of dollars in the foreign exchange market to .

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An increase in U.S. imports from Japan will cause the demand for yen in the foreign exchange market to increase and the supply of dollars in the foreign exchange market to increase.

When U.S. importers buy goods from Japan, they need to pay for them in yen. As a result, the demand for yen in the foreign exchange market increases. On the other hand, Japanese sellers of goods and services now hold more U.S. dollars. This leads to an increase in the supply of dollars in the foreign exchange market.

The increase in demand for yen and the increase in supply of dollars lead to an increase in the exchange rate between the two currencies. In other words, the yen appreciates and the dollar depreciates. This, in turn, makes Japanese goods more expensive for U.S. consumers and makes U.S. goods cheaper for Japanese consumers, which can have an impact on trade flows between the two countries.

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You purchased Butterfly Wing Corporation stock exactly one year ago at a price of $76.50 per share. Over the past year, the stock paid dividends of $2.68 per share. Today, you sold your stock and earned a total return of 15.40 percent. What was the price at which you sold the stock

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The price at which you sold the stock was $85.60 per share. To calculate the price at which you sold the stock, we first need to calculate the total return on your investment.

Butterfly Wing Corporation stock was purchased exactly one year ago at a price of $76.50 per share, and it paid dividends of $2.68 per share. You earned a total return of 15.40 percent when you sold the stock. Let's find the price at which you sold the stock.

Step 1: Calculate the total return in dollars.
Total return = initial investment * total return percentage
Total return = $76.50 * 0.1540 = $11.78
Step 2: Calculate the dividend income in dollars.
Dividend income = dividends per share * number of shares
Dividend income = $2.68 * 1 = $2.68
Step 3: Calculate the capital gain in dollars.
Capital gain = total return minus dividend income
Capital gain = $11.78 - $2.68 = $9.10
Step 4: Calculate the selling price of the stock.
Selling price = Initial investment + capital gain
Selling price = $76.50 + $9.10 = $85.60

Butterfly Wing Corporation stock was sold at a price of $85.60 per share.

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Since the NCAA works effectively as a monopsony, one would expect them to: Group of answer choices All of these choices. Pay lower wages than if they operated under perfectly-competitive labor market conditions. Hire fewer works than if they operated under perfect competition. Generate deadweight loss to society.

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Since the NCAA works effectively as a monopsony, one would expect them to pay lower wages than if they operated under perfectly-competitive labor market conditions, hire fewer workers than if they operated under perfect competition, and generate deadweight loss to society.

A monopsony occurs when there is only one buyer in a market, which gives that buyer significant bargaining power over the sellers. In the case of the NCAA, they are the only buyer of college sports labor, which means they have the power to set wages and working conditions.

Because of this monopsony power, the NCAA is able to pay college athletes less than they would earn in a perfectly-competitive labor market. Additionally, the NCAA is able to restrict the number of athletes they hire, which means fewer athletes are able to participate in college sports than would be the case under perfect competition.

Finally, the monopsony power of the NCAA leads to deadweight loss in society. Deadweight loss is the loss of economic efficiency that occurs when the optimal allocation of goods and services is not achieved. In the case of college sports, the NCAA's restrictions on wages and employment levels mean that some athletes who would be willing to participate are unable to do so, which leads to a loss of social welfare.

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Examples of indirect government activities in the market include its provision of __________________ to college students and __________________ Security payments to senior citizens.

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Examples of indirect government activities in the market include its provision of financial aid to college students and Social Security payments to senior citizens.

The government provides financial aid to college students to help them pay for their education. This is an example of an indirect activity because the government is not directly involved in the college market, but rather provides financial assistance to students who are then able to pay for college. Similarly, Social Security payments to senior citizens are an example of an indirect government activity in the market because the government is not directly involved in the market for goods and services, but rather provides financial assistance to seniors who are then able to purchase goods and services in the market.

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In the CPI, goods and services are weighted according to Group of answer choices how long a market has existed for each good or service. the extent to which each good or service is regarded by the government as a necessity. how much consumers buy of each good or service. the number of firms that produce and sell each good or service.

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In the Consumer Price Index (CPI), goods and services are weighted according to how much consumers buy of each good or service. This approach helps to accurately reflect the changes in the cost of living for consumers and the overall price level in the economy.

The goods and services in the CPI are weighted based on how much consumers buy of each good or service.

This means that the CPI takes into account the relative importance of different items in the average consumer's basket of goods and services. The more a consumer spends on a particular item, the more weight that item is given in the CPI. This ensures that the index reflects changes in prices that have the greatest impact on consumers' budgets. It is important to note that the CPI does not consider how long a market has existed for each good or service, the extent to which each good or service is regarded by the government as a necessity, or the number of firms that produce and sell each good or service. While these factors may be relevant to understanding the dynamics of a particular market or industry, they are not directly related to the calculation of the CPI. In summary, the CPI weights goods and services based on how much consumers buy of each item, with the goal of reflecting changes in prices that have the greatest impact on consumers' budgets.

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A project manager is reviewing an electronic file of a document written by a team member, and she does not understand the meaning of a term used in the document. What should the project manager do

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Ask the team member: The first and most straightforward option is to ask the team member who wrote the document for clarification on the term. This can be done through a quick email, instant message, or phone call.

It's important for the project manager to make it clear that they are not criticizing the team member's work, but rather seeking clarification to ensure they understand the content.

Conduct independent research: If the project manager cannot contact the team member or wants to conduct further research before asking for clarification, they can try to find the meaning of the term on their own. This can be done by using search engines or consulting industry-specific resources, such as dictionaries or online forums.

Consult with colleagues: If the term is related to a particular industry or field, the project manager can reach out to colleagues or other experts in the field to ask for their opinion on the meaning of the term. This can be done through networking events or professional associations.

Overall, the project manager should make sure they fully understand the content of the document before making any decisions or taking any actions related to the project.

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Suppose we are interested in the price of a stock in five years, P5. We just paid a dividend of $2.20 and the growth rate is 4%. The required return is 12%. What is the price of the stock in five years

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The price of the stock in five years, P5, can be calculated using the dividend discount model formula: P5 = (D6 / (r - g)), where D6 is the dividend in year 6, r is the required return, and g is the growth rate.

In this case, we are given the dividend paid, D1, which is $2.20. Since we are interested in the price of the stock in five years, we need to calculate the dividend in year 6, D6. We can use the growth rate, which is 4%, to calculate D6 as follows: D6 = D1 * (1 + g)^5 = $2.20 * (1 + 0.04)^5 = $2.74.

We are also given the required return, which is 12%. Therefore, using the formula, we can calculate the price of the stock in five years as follows: P5 = (D6 / (r - g)) = ($2.74 / (0.12 - 0.04)) = $34.25.

The price of the stock in five years, P5, is estimated to be $34.25 based on the given information of the dividend paid, growth rate, and required return.

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Explain (using graphs as appropriate) the response of output, employment, and the price level to an aggregate demand or aggregate supply shock in the short run?

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The response of output, employment, and the price level to an aggregate demand or aggregate supply shock in the short run is discussed below

How output, employment, and the price level to an aggregate demand or aggregate supply shock respond

In the short term, aggregate demand (AD) changes can prompt either a decrease or an increase in both output and the price level, according to the type of fluctuation.

In situations such as fiscal stimulus packages, as demand rises, production will most likely be advanced by businesses attempting to meet the higher demand. But this could lead to elevated costs due to wages being paid at a greater amount, or other related expenditures.

On the flipside, if what is experienced is a decrease in aggregate demand, say during an economic recession, the result may be a descent in both output and the cost. If this happens, it's plausible that companies will reduce their production rate because of lower consumer expectations, thus potentially causing prices to fall.

Contrasting the previous idea, shocks stemming from aggregate supply (AS) are able to affect the production expense and possibly also have diverse impacts on output, job opportunities, and the current worth of commodities.

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