Which of the following will be a source of cash flows for a shareholder of a certain​ stock? I. Sale of the shares at a future date II. The firm in which the shares are held paying out cash to shareholders in the form of dividends III. The firm in which the shares are held increasing the total number of shares outstanding through a stock split Question content area bottom Part 1

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Answer 1

II. The firm in which the shares are held paying out cash to shareholders in the form of dividends.

When a firm pays out dividends, shareholders receive cash payments in proportion to their ownership of the stock. Dividends are a form of distribution of profits by the company to its shareholders.

I. Sale of the shares at a future date and III. The firm in which the shares are held increasing the total number of shares outstanding through a stock split do not provide cash flows to the shareholder in the immediate term.

If a shareholder sells their shares at a future date, any cash they receive will depend on the market price of the shares at that time, which could be higher or lower than the purchase price. Similarly, a stock split does not provide a source of cash flow to shareholders as it merely increases the number of shares outstanding without changing the underlying value of the shares.

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In selecting an accounting method for a newly contracted long-term construction project, the principal factor to be considered should be

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When selecting an accounting method for a newly contracted long-term construction project, the principal factor to consider is the project's estimated duration and the expected costs to complete the project.

The chosen accounting method must align with the revenue recognition principle, which requires revenue to be recognized when it is earned and realizable, and expenses to be recognized when they are incurred and matching against revenue. The two primary accounting methods for long-term construction projects are the percentage of completion method and the completed contract method. The percentage of completion method recognizes revenue and expenses over the duration of the project, based on the percentage of the project completed.

This method is suitable for long-term projects that are expected to last for an extended period. In contrast, the completed contract method recognizes revenue and expenses when the project is completed. This method is more suitable for shorter-term projects where the duration is less predictable, and the total costs are difficult to estimate. Ultimately, the choice of accounting method should reflect the nature and duration of the construction project, ensuring that the revenue and expenses are accurately matched and recognized in the appropriate periods.

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If a taxpayer sells a passive activity with suspended passive activity losses from prior years, what type of income can be offset by the suspended passive losses in the year of sale

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The appropriate response to treating a person's net losses from passive activity is Net losses from passive activities are suspended and carried forward to reduce future passive income.

Losses from passive activities, such as rental activities or investments in limited partnerships, occur when a person does not actively participate in them. The amount of passive activity losses.

That a person can deduct from their other sources of income is typically capped by the IR erroneous since losses from passive activities that exceed income from similar activities are carried over to subsequent years rather than permanently barred similarly erroneous since net passive activity losses in the current year cannot be subtracted from portfolio income somewhat accurate since, under certain circumstances, a taxpayer may choose to deduct net passive activity losses from active and portfolio income.

Complete question:

If a taxpayer sells a passive activity with suspended passive activity losses from prior years, what type of income can be offset by the suspended passive losses in the year of sale of the assets.

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Help Rico determine what his deduction amount is. Rico is entitled to a $6,250 standard deduction because he is single. Rico had the following tax deductible expenses last year: $500 donation to charity, $1200 in unreimbursed business expenses, $1800 in state and local taxes, and $900 in school supplies. First step: What is the total amount of Rico's tax deductible expenses

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Rico should claim the $6,250 standard deduction for his tax filing, as it provides him with a larger deduction amount compared to his itemized tax deductible expenses.


1. First, we need to find the total amount of Rico's tax deductible expenses. To do this, we will add up all of the deductible expenses he had last year:
  - $500 donation to charity
  - $1,200 in unreimbursed business expenses
  - $1,800 in state and local taxes
  - $900 in school supplies

2. Add up these amounts:
  $500 + $1,200 + $1,800 + $900 = $4,400

So, the total amount of Rico's tax deductible expenses is $4,400.

3. Now, we need to compare Rico's total tax deductible expenses to the standard deduction amount he is entitled to, which is $6,250 because he is single.

4. To determine the deduction amount Rico should claim, we need to compare the two amounts and choose the one that is higher. In this case, the standard deduction of $6,250 is higher than the total tax deductible expenses of $4,400.

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Dean, Inc.'s charter indicates a par value of $1 per share. Dean issues 100 shares at a market value of $8 per share. The journal entry to record this transaction will include a debit to the account in the amount of $

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To record the transaction for Dean, Inc.'s issuance of 100 shares with a par value of $1 per share and a market value of $8 per share, the journal entry will include a debit to the Cash account in the amount of $800.

1. Determine the total cash received:

100 shares x $8 market value per share = $800.

2. Debit the Cash account for the total cash received:

Debit Cash $800.

3. Credit the Common Stock account for the total par value:

100 shares x $1 par value per share = $100. Credit Common Stock $100.

4. Calculate the additional paid-in capital:

$800 cash received - $100 par value = $700.

5. Credit the Additional Paid-in Capital account for the remaining amount:

Credit Additional Paid-in Capital $700.

So, the journal entry to record this transaction will include a debit to the Cash account in the amount of $800.

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Vogue Co. maintains perpetual inventory records. The inventory accountant had a $4,300 balance as of October 16, 2019. However, a physical count of inventory showed only $3,800 of merchandise in stock on that date. Recognizing the missing inventory will:

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When there is a discrepancy between the inventory balance and the physical count of inventory, it is necessary to make an adjustment to recognize the missing inventory. In this case, the missing inventory is $500 ($4,300 balance – $3,800 actual count).

The adjustment would be to decrease the inventory account by $500 and increase the cost of goods sold account by the same amount. This adjustment reflects the recognition that some inventory was sold but not recorded in the accounting records. If this happens frequently, it may be necessary to review the inventory management processes to identify the root cause of the discrepancy and implement corrective action to prevent future occurrences. It is important to maintain accurate inventory records to ensure that financial statements are reliable and to enable effective management decision-making.

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An analysis that explains differences between the checking account balance according to the depositor's records and the balance reported on the bank statement is a(n):

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An analysis that explains differences between the checking account balance according to the depositor's records and the balance reported on the bank statement is called a bank reconciliation.

An analysis that explains differences between the checking account balance according to the depositor's records and the balance reported on the bank statement is called a bank reconciliation. Bank reconciliation is an essential accounting process that helps to identify and explain discrepancies between the two balances. The depositor's records are based on the transactions that have been recorded by the account holder, while the balance reported on the bank statement reflects the transactions processed by the bank. Several reasons can cause differences between the two balances, such as outstanding checks, deposits in transit, bank errors, and service charges. The bank reconciliation process involves comparing the depositor's records to the bank statement, identifying any discrepancies, and making the necessary adjustments to reconcile the two balances. By reconciling the checking account, the depositor can ensure that the account balance is accurate, prevent overdrafts, and detect any errors or fraudulent activities. Bank reconciliation is an essential tool for maintaining accurate financial records and ensuring the integrity of the accounting system.

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Lynette wants to hire employees to work in the computer store she manages despite the fact that her employment agreement with the owner says nothing about her being able to hire employees. Lynette comes to you for legal advice. What do you tell Lynette gives her the legal right and argument to do this

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As an employee of the computer store, Lynette does not have the legal authority to hire employees without the owner's consent.

The employment agreement outlines the terms and conditions of Lynette's employment, and unless it specifically grants her the authority to hire employees, she cannot do so unilaterally.

To legally hire employees, Lynette should seek the owner's approval and negotiate a new agreement that includes her responsibilities and authority to hire employees. Alternatively, if Lynette is granted implied authority to hire employees as part of her duties or if the owner has previously allowed her to do so, she may have a stronger argument to hire employees without a new agreement.

Overall, it is important for Lynette to discuss this matter with the owner and seek legal advice before taking any actions that could potentially result in a breach of her employment agreement or other legal issues.

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The following data are accumulated by Lone Peak Inc. in evaluating two competing capital investment proposals: 3D Printer Truck Amount of investment $96,000 $36,000 Useful life 4 years 5 years Estimated residual value 0 0 Estimated total income over the useful life $9,600 $9,000 Determine the expected average rate of return for each proposal. If required, round your answers to one decimal place. 3D Printer fill in the blank 1 % Truck fill in the blank 2 %

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The expected average rate of return for the 3D Printer proposal is 25% and the expected average rate of return for the Truck proposal is 25%.

To calculate the expected average rate of return, the total income over the useful life of the project is divided by the amount of the investment. For the 3D Printer proposal, the total income over the useful life is $9,600 and the amount of investment is $96,000. When divided, the expected return is calculated to be 10%.

For the Truck proposal, the total income over the useful life is $9,000 and the amount of investment is $36,000. When divided, the expected return is calculated to be 25%. The expected average rate of return is calculated by taking the total income over the useful life, subtracting the residual value, and then dividing by the investment.

Since the residual value is 0 for both proposals, the expected return is the same for both. The expected average rate of return for both proposals is 25%.

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The need for an increase or decrease in short-term borrowing can be predicted by Multiple Choice ratio analysis. trend analysis. a cash budget. an income statement.

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The need for an increase or decrease in short-term borrowing can be predicted by a cash budget. A cash budget helps to forecast future cash inflows and outflows, allowing a business to plan its short-term borrowing needs accordingly.

Ratio analysis and trend analysis can help to assess a company's financial health and identify potential areas for improvement, but they do not directly address short-term borrowing needs. An income statement provides information about a company's revenue and expenses, but it does not provide the detailed cash flow projections necessary to accurately predict short-term borrowing needs.


The need for an increase or decrease in short-term borrowing can be predicted by a cash budget. A cash budget is a financial tool that helps you project and manage cash inflows and outflows during a specified period, allowing you to predict your short-term borrowing needs.

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QUESTION 5 Equilibrium for the monopolist occurs where P> MR> MC > Average total cost. O True False QUESTION 6 P MC ATC AVC 0 Q MR A profit-maximizing monopolist facing the situation shown in the graph above should: O shut down immediately. O continue producing to minimize losses. O continue producing to make economic profits. O continue producing as long as price is greater than marginal cost.

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A monopolist has market power and faces a downward-sloping demand curve, they are able to charge a higher price (P) than the marginal revenue they receive for each unit sold.

For question 5, the statement is true. In order for a monopolist to maximize profits, they need to produce where marginal revenue (MR) equals marginal cost (MC). However, since a monopolist has market power and faces a downward-sloping demand curve, they are able to charge a higher price (P) than the marginal revenue they receive for each unit sold. This leads to the condition that P>MR. Additionally, the monopolist needs to ensure that the price they charge is also greater than their average total cost (ATC) to make economic profits. Therefore, the correct order for equilibrium is P>MR>MC>ATC. For question 6, the correct answer is to continue producing as long as price is greater than marginal cost. This is because the monopolist will continue to make economic profits as long as they are charging a price greater than their marginal cost. Shutting down immediately or continuing to produce to minimize losses would not be rational decisions for a profit-maximizing monopolist.

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Newly hired drivers for a beverage distributor participate in _______ training, by riding along with an experienced driver to familiarize themselves with routes, customer-receiving procedures, and inventory display practices.

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Newly hired drivers for a beverage distributor participate in on-the-job training, by riding along with an experienced driver to familiarize themselves with routes, customer-receiving procedures, and inventory display practices.

This type of training is also known as apprenticeship training, where the new driver learns the necessary skills and knowledge by observing and working alongside a more experienced driver. The experienced driver serves as a mentor, guiding the new driver through various aspects of the job, such as handling different types of products, driving techniques, and customer service practices. This type of training is highly effective, as it allows new drivers to learn in a real-world environment, rather than in a classroom or simulation setting. They are able to see first-hand how to handle unexpected situations and adapt to changes in their route or schedule. Overall, on-the-job training is an essential component of the onboarding process for new drivers, as it ensures that they are fully equipped to handle the demands of the job and provide excellent customer service.

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The government decides to increase taxes on buyers of ELECTRIC CARS. In other words, if you purchase an electric car, the government requires you to send them a check. Which panel best describes what will happen to the market for SUVs

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The panel best describes what will happen to the market for SUVs for taxes on buyers is Graph C (Demand curve moves right).

Taxes are compulsory payments made by a government organisation, whether local, regional, or federal, to people or businesses. Tax revenues are used to fund a variety of government initiatives, such as Social Security and Medicare as well as public infrastructure and services like roads and schools.

Taxes are borne by whoever bears the cost of the tax in economics, whether this is the entity being taxed, such as a business, or the final users of the items produced by the firm. Taxes should be taken into consideration from an accounting standpoint, including payroll taxes, federal and state income taxes, and sales taxes.

A government often taxes its individual and corporate inhabitants to help pay for public works and services as well as to construct and maintain the infrastructure utilised in a nation. The money raised through taxes is utilised to improve the economy and the lives of everyone who lives there.

Income taxes are levied on money received by a taxpayer in the United States and many other nations across the world. The funds may originate from payments for products and services, salary income, capital gains from rising investments, dividends or interest received as supplementary income, and so on.

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Sid Phillips has funded a retirement investment with $250,000 earning a return of 6.75 percent annually. What is the value of the payment that he can receive in perpetuity

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Sid Phillips has funded a retirement investment with $250,000 earning a return of 6.75 percent annual payment perpetual with a cost of $1,250 must therefore receive a yearly payment of $81.25 to achieve a 6.5% rate of return.

Recurring subscriptions demand that customers pay each month for the products or services they are using. Annual subscription customers are required to make a single payment for the products and services they use each year.

They typically cost less than the sum of the 12 separate monthly installments. We may use the calculation for the present value of a perpetuity to calculate the annual payment necessary to earn a 6.5% rate of return on a perpetuity with a cost of $1,250:

Annual Payment / Interest Rate equals Present Value

If we rearrange the formula, we obtain:

Present Value x Interest Rate = Annual Payment

Annual Payment = $1,250 x 0.065

Annual Payment = $81.25.

Complete question:

Sid Phillips has funded a retirement investment with $250,000 earning a return of 6.75 percent annually. What is the value of the payment that he can receive in perpetuity of annual payment.

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Bastek, Incorporated, has 17,500 shares of stock outstanding along with $408,000 of interest-bearing debt. The market and book values of the debt are the same. The firm has sales of $697,000 and a net profit margin of 6.8 percent. The tax rate is 21 percent, the debt-equity ratio is 40 percent, and the price-earnings ratio is 11.8. The firm has $130,000 of current assets of which $41,200 is cash. What is Bastek's enterprise value

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Bastek's enterprise value is $781,615.

To calculate Bastek's enterprise value, we need to consider the total value of the company, including both its equity and debt. To do this, we can use the following formula:

Enterprise Value = Market Value of Equity + Total Debt - Cash and Cash Equivalents

First, we need to calculate the market value of equity. We know that Bastek has 17,500 shares of stock outstanding, and the price-earnings ratio is 11.8. This means that the market value of equity is:

Market Value of Equity = Earnings per Share x Price-Earnings Ratio x Number of Shares

To find the earnings per share, we need to use the net profit margin, sales, and tax rate. We can calculate this as follows:

Net Profit Margin = Net Profit / Sales
Net Profit = Sales x Net Profit Margin x (1 - Tax Rate)
Earnings per Share = Net Profit / Number of Shares

Plugging in the given values, we get:

Net Profit = $697,000 x 6.8% x (1 - 21%) = $37,044
Earnings per Share = $37,044 / 17,500 = $2.11
Market Value of Equity = $2.11 x 11.8 x 17,500 = $414,815

Next, we can calculate the total debt, which is $408,000.

Finally, we know that Bastek has $41,200 in cash, which we need to subtract from the total enterprise value.

Putting it all together, we get:

Enterprise Value = $414,815 + $408,000 - $41,200 = $781,615

Therefore, Bastek's enterprise value is $781,615.

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You just won a stock picking contest that will pay you $24,000 a year for 22 years, and you get the first payment today. What is the prize worth to you today if your annual opportunity cost rate is 8.5 %

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The prize is worth $437,647.06 to you today if your annual opportunity cost rate is 8.5%.

To calculate the present value of the prize, we need to discount the future payments at the opportunity cost rate of 8.5%. Using the formula for the present value of an annuity, we get:
PV = Payment x [1 - (1 / (1 + r)^n)] / r
where PV is the present value, Payment is the annual payment, r is the opportunity cost rate, and n is the number of years.
Plugging in the values, we get:
PV = $24,000 x [1 - (1 / (1 + 0.085)^22)] / 0.085
PV = $24,000 x [1 - (1 / 2.724)] / 0.085
PV = $24,000 x 1.547 / 0.085
PV = $437,647.06
Therefore, the prize is worth $437,647.06 to you today if your annual opportunity cost rate is 8.5%.

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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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Basic segregation of duties requires the credit manager reports to the ________ and the treasurer report to the ________.

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Basic segregation of duties requires the credit manager to report to the chief financial officer (CFO) and the treasurer to report to the CEO or board of directors.

What's credit manager?

The credit manager is responsible for managing credit risk and overseeing the collection of outstanding debts, while the treasurer is responsible for managing cash flow, investments, and financial risk.

Both roles are critical to the financial health of a company, and their separation ensures that checks and balances are in place to protect against mismanagement or wrongdoing.

Overall, segregation of duties is an essential element of effective financial controls and risk management in any organization.

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suppose the united states ran a surplus in its balance on goods and services by exporting goods and services while importing nothing. how would such a surplus be offset elsewhere in the balance-of-payments accounts

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If the United States ran a surplus in its balance on goods and services by exporting more than it imports, the surplus would have to be offset elsewhere in the balance-of-payments accounts.

One way this could happen is through an increase in foreign investment in the United States. This could include foreign investors buying U.S. stocks, bonds, or real estate, or investing in U.S. businesses. Another way the surplus could be offset is through an increase in U.S. investment abroad.

This could include U.S. companies expanding operations overseas or investing in foreign businesses. Additionally, the surplus could be used to pay off foreign debts or to fund government spending.

It's worth noting that running a surplus on goods and services does not necessarily mean the overall balance of payments will be in surplus, as other accounts such as the capital and financial account can affect the balance as well.

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2. If Canada imposes a tariff on bananas and if none are grown in Canada, this tariff has a. only revenue effects. b. only protective effects. c. both protective and revenue effects. d. neither revenue nor protective effects.

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The correct answer is c. both protective and revenue effects. When Canada imposes a tariff on bananas, it raises the price of imported bananas, making them more expensive for consumers in Canada.

This makes domestic bananas more competitive and creates a protective effect for Canadian banana producers. However, since there are no banana producers in Canada, this effect is mainly symbolic.

The tariff also generates revenue for the Canadian government, as importers must pay the tax to bring bananas into the country. This creates a revenue effect for the government.

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As the number of imperfectly correlated assets in the portfolio increases, we can generally say that:

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As the number of imperfectly correlated assets in the portfolio increases, the portfolio's overall risk tends to decrease, leading to a more efficient and diversified portfolio

As the number of imperfectly correlated assets in the portfolio increases, the portfolio's overall risk tends to decrease. This is because imperfectly correlated assets do not move in perfect synchronization with each other. When the returns of one asset are high, the returns of the other asset may be low or remain constant. This means that by combining assets that have imperfect correlation, the portfolio's risk can be diversified across different sources of risk, leading to a reduction in overall risk.

As the number of assets in the portfolio increases, the diversification benefits increase as well, as the portfolio's risk is spread across more assets with different sources of risk. This effect can be measured by the portfolio's correlation coefficient, which is a statistical measure of the degree to which two assets move in relation to each other. The lower the correlation coefficient, the greater the diversification benefits of adding more assets to the portfolio. Therefore, we can generally say that as the number of imperfectly correlated assets in the portfolio increases, the portfolio's overall risk tends to decrease, leading to a more efficient and diversified portfolio

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Munchkin is a popular baby clothing brand. The founder of the company, Isabel, conducts a brainstorming session with her employees every week in order to come up with new ideas to expand the brand. One of her employees suggests that Munchkin should add baby footwear to its collection. In this case, the employee's suggestion is an example of _____.

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The employee's suggestion is an example of an idea generated through the process of brainstorming. Brainstorming is a group creativity technique used to generate a large number of ideas in a short period of time.

During a brainstorming session, all ideas are encouraged and no idea is criticized or judged. The aim is to generate as many ideas as possible, which can then be evaluated and refined later on. The employee's suggestion of adding baby footwear to Munchkin's collection is an example of idea generation, which is the first step in the innovation process. Idea generation involves generating and collecting ideas from various sources, including employees, customers, suppliers, and competitors.

Brainstorming sessions are a common technique used by firms to generate new ideas and encourage creativity among employees. Once an idea is generated, it can then be evaluated, developed, and tested to determine its feasibility and potential for success. The innovation process can lead to new products, services, processes, or business models that can help a firm stay competitive and grow its market share.

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Which agreement type is typically less formal than other agreements and expresses areas of common interest

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The agreement type is typically less formal than other agreements and expresses areas of common interest is C. Memorandum of understanding (MOU).

What is an Memorandum of understanding ?

An MOU can be described as the letter of intent,  which can be considered as an agreement between two or more parties that expresses areas of common interest  with respect shared actions.

An MOU  can be described as the expression of agreement to proceed which can seen as one that is needed by the parties to have reached an understanding and are moving forward.

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Gem Company's manufacturing facility was destroyed by a flood. The facility's adjusted basis was $665,000, and Gem received an $850,000 insurance reimbursement. Within 18 months of the flood, Gem rebuilt the facility at a total cost of $975,000. Which is Gem's basis in the new facility

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Gem's basis in the new facility will be $790,000.

Gem Company's basis in the new facility would be $975,000. This is because the insurance reimbursement of $850,000 received by Gem is considered as a gain or income.

First, Gem needs to reduce the adjusted basis of the destroyed facility by the amount of the insurance reimbursement:

$665,000 - $850,000 = -$185,000 (this is a loss)

Next, Gem needs to add the cost of rebuilding the facility:

-$185,000 + $975,000 = $790,000

So, Gem's basis in the new facility is $790,000.

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Avery Co. has $1.1 million of debt, $1 million of preferred stock, and $1.8 million of common equity. What would be its weight on debt

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Avery Co. has $1.1 million of debt, $1 million of preferred stock, and $1.8 million of common equity. Avery Co.'s weight on debt is approximately 28.21% of its total capital structure.

Avery Co.'s weight on debt can be determined by calculating the proportion of debt in the company's total capital structure, which includes debt, preferred stock, and common equity.
To calculate the weight on debt, you first need to determine the total capital by adding up the debt, preferred stock, and common equity:
Total Capital = Debt + Preferred Stock + Common Equity
Total Capital = $1.1 million (debt) + $1 million (preferred stock) + $1.8 million (common equity)
Total Capital = $3.9 million
Next, divide the debt by the total capital to find the weight on debt:
Weight on Debt = Debt / Total Capital
Weight on Debt = $1.1 million (debt) / $3.9 million (total capital)
Weight on Debt ≈ 0.28205
To express the weight on debt as a percentage, multiply the decimal value by 100:
Weight on Debt = 0.28205 × 100
Weight on Debt ≈ 28.21%
In summary, Avery Co.'s weight on debt is approximately 28.21% of its total capital structure.

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Personal income taxes: a. make recessions and inflationary episodes less severe. b. make recessions more severe and inflationary episodes less severe. c. make recessions and inflationary episodes more severe. d. make recessions less severe and inflationary episodes more severe.

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Personal income taxes option a- make recessions and inflationary episodes less severe.

When there is a recession, personal income taxes can be used to increase government spending or to provide tax cuts to households, both of which can boost economic activity and reduce the severity of the recession. On the other hand, when there is an inflationary episode, personal income taxes can be used to reduce government spending or to increase taxes, both of which can help to cool down the economy and reduce the severity of the inflation. Therefore, option (a) is correct.

Personal income taxes are a key tool of fiscal policy that governments can use to manage the economy. By changing the levels of taxes and government spending, governments can affect the amount of money available to households and businesses, and thus influence the level of economic activity in the country.

During a recession, when there is a slowdown in economic activity, governments can use personal income taxes to stimulate the economy by providing tax cuts to households. This increases the disposable income of households, which in turn can lead to higher spending on goods and services, and ultimately boost the economy. Alternatively, the government can also increase its own spending on infrastructure and other public projects, which can also help to stimulate the economy.

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Your income is $40,000 per year; your expenditures are $45,000. You spend $20,000 of that $45,000 for tuition. Is your budget in deficit or surplus

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Based on the given information, your budget is in deficit. Your income is $40,000 per year, while your expenditures are $45,000 per year, which means you are spending $5,000 more than you are earning annually.

The fact that you spend $20,000 of the $45,000 on tuition is not relevant to this calculation of your budget surplus or deficit. To balance your budget, you would need to increase your income, decrease your expenses, or both. You may consider finding additional sources of income or reducing your expenses in order to balance your budget and avoid accumulating further debt.

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Suppose that real domestic output in an economy is 20 units, the quantity of inputs is 10, and the price of each input is $4. The per-unit cost of production in the economy described is

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The per-unit cost of production in the economy described is calculated by dividing the total cost of inputs by the real domestic output. The total cost of inputs is calculated by multiplying the quantity of inputs by the price of each input, which gives 10 x $4 = $40.

Therefore, the per-unit cost of production is $40 ÷ 20 units = $2 per unit.
To find the per-unit cost of production in the economy described, we'll need to use the given information on real domestic output, the quantity of inputs, and the price of each input.
1. Real domestic output: 20 units
2. Quantity of inputs: 10
3. Price of each input: $4First, we'll calculate the total cost of production by multiplying the quantity of inputs by the price of each input:
Total cost = (Quantity of inputs) x (Price of each input) = 10 x $4 = $40
Next, we'll find the per-unit cost of production by dividing the total cost by the real domestic output:
Per-unit cost = (Total cost) / (Real domestic output) = $40 / 20 = $2

So, the per-unit cost of production in the economy described is $2.

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EOQ inventory models are basically concerned with the timing of orders. Group startsTrue or FalseTrue, unselectedFalse, unselected

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The given statement " EOQ (Economic Order Quantity) inventory models are not only concerned with the timing of orders but also with the optimal quantity of inventory to order." is False because  EOQ models aim to minimize the total cost of holding inventory, which includes both ordering and carrying costs.

The ordering cost is the cost incurred when placing an order, such as administrative expenses, shipping charges, and setup costs. The carrying cost is the cost of holding inventory, including storage expenses, insurance, depreciation, and the opportunity cost of tying up capital in inventory.

EOQ models seek to find the balance between these costs by determining the optimal order quantity that minimizes the total cost of inventory management. By doing so, the model aims to reduce stockouts, prevent overstocking, and avoid excess carrying and ordering costs.

In addition to the EOQ model, other inventory models  are concerned with the timing of orders, such as the periodic review system and the continuous review system. These models focus on when to place an order based on predetermined review periods or inventory levels.

In conclusion, EOQ inventory models are not only concerned with the timing of orders but also with the optimal quantity of inventory to order, taking into account both ordering and carrying costs.

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EOQ inventory models are basically concerned with the timing of orders.

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A disaster that occurs over time and gradually deteriorates the organization's capacity to withstand its effects is known as a ____________________.

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A disaster that occurs over time and gradually deteriorates an organization's capacity to withstand its effects is known as a slow-onset disaster. These disasters are caused by environmental degradation, climate change, economic or political instability, and social conflict.

Unlike sudden-onset disasters such as earthquakes or hurricanes, slow-onset disasters unfold gradually over time, and their effects may not be immediately apparent.

As a result, organizations may not recognize the seriousness of the situation until it is too late, and they may not have adequate resources or plans in place to respond effectively.

Examples of slow-onset disasters include droughts, desertification, deforestation, and soil degradation, which can have significant long-term impacts on the environment, local communities, and economies.

Organizations can take steps to prepare for and respond to slow-onset disasters, including conducting risk assessments, developing contingency plans, building resilience, and investing in sustainable practices.

By recognizing the potential for slow-onset disasters and taking proactive measures to mitigate their effects, organizations can better protect themselves and their stakeholders.

In summary, a slow-onset disaster is a disaster that occurs over time and gradually deteriorates an organization's capacity to withstand its effects.

These types of disasters can be caused by a variety of factors and can have significant long-term impacts on the environment, local communities, and economies.

Organizations can take steps to prepare for and respond to slow-onset disasters by conducting risk assessments, developing contingency plans, building resilience, and investing in sustainable practices.

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Based on the latest annual report of Company Blackmores (BKL)

Question 1: Provide an overview of the company’s international operations and its international business strategy.

Question 2: Discuss any plans for future international expansion or contraction.

Question 3: Identify and discuss how much of their business is operating outside Australia (e.g., revenues, expenses, and assets).

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Blackmores is an Australian-based natural health company that has a strong presence in the international market. The company has a global distribution network, including China, Hong Kong, Singapore, Malaysia, Thailand, and New Zealand.

Its international operations focus on the sale of vitamins, minerals, and nutritional supplements, with a particular emphasis on China, which accounts for the majority of the company's international sales.

Blackmores' international business strategy is centered on leveraging its brand and expertise in natural health products to enter new markets and establish a strong presence in existing ones. The company's strategy includes investing in research and development to develop new products, as well as building strategic partnerships with local distributors and retailers to expand its distribution network.

In terms of future expansion plans, Blackmores has indicated that it is looking to further expand its presence in Asia, particularly in China, where it sees significant growth potential. The company has also stated that it is exploring opportunities to enter new markets in Southeast Asia and the Middle East.

According to Blackmores' latest annual report, the company generates approximately 30% of its revenue from international operations. The report also notes that the company's international assets represent approximately 18% of its total assets, and its international expenses represent approximately 22% of its total expenses. Overall, Blackmores' international operations are a significant contributor to the company's revenue and growth, and the company is well-positioned to continue expanding its global footprint in the future.

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