The leverage associated with the property can be determined by analyzing the financing terms and the overall return on investment.
The 75 percent loan at 11.5 percent over 25 years indicates a relatively high level of leverage, as a significant portion of the property's value is financed with borrowed funds. However, the fact that the property produces an ATIRR (after-tax internal rate of return) of 7.34 percent, based on a tax rate of 31 percent, suggests that the investment is performing well despite the high level of leverage.
Overall, it can be said that the leverage associated with the property is relatively high, but the performance of the investment is still positive, indicating that the leverage may be manageable and potentially beneficial in terms of overall return on investment.
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a. Define the meaning of underwriting.b. Briefly explain the basic principles of underwriting.c. Identify the major sources of information available to underwriters.
a. Underwriting is the process of evaluating and assessing the risks associated with a financial transaction, such as issuing an insurance policy, loan, or investment.
It involves determining the appropriate terms and conditions, as well as setting the premium or interest rate based on the assessed risk level.
b. The basic principles of underwriting include risk assessment, risk classification, risk selection, and risk management.
Underwriters analyze the probability of loss, group applicants with similar risks, choose which risks to accept, and manage the overall portfolio to minimize potential losses.
c. Major sources of information available to underwriters include application forms, credit reports, financial statements, medical records (for insurance), and public records such as court documents.
These sources help underwriters evaluate the risk and make informed decisions.
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in the current year, a partnership reported the following items: fees earned $500,000 salary expense $100,000 utility expense $5,000 charitable contributions $8,000 long-term capital gain $2,000 office supplies $500 what is the partnership's ordinary income?
The partnership's ordinary income B. $394,500.
In the current year, the partnership reported various income and expense items. To determine the partnership's ordinary income, we need to consider the items that are part of the ordinary course of business, which include fees earned, salary expenses, utility expenses, and office supplies. The other items, such as charitable contributions and long-term capital gain, are not part of the ordinary income calculation.
Here is a breakdown of the ordinary income calculation:
1. Fees earned: $500,000 (revenue)
2. Salary expense: $100,000 (expense)
3. Utility expense: $5,000 (expense)
4. Office supplies: $500 (expense)
To calculate the ordinary income, subtract the expenses from the revenue:
$500,000 (fees earned) - $100,000 (salary expense) - $5,000 (utility expense) - $500 (office supplies) = $394,500.
Thus, the partnership's ordinary income is $394,500. Therefore, the correct option is B.
The question was incomplete, Find the full content below:
in the current year, a partnership reported the following items: fees earned $500,000 salary expense $100,000 utility expense $5,000 charitable contributions $8,000 long-term capital gain $2,000 office supplies $500 what is the partnership's ordinary income?
A. $388,500
B. $394,500
C. $386,500
D. $396,500
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what quantity of bagels and toy cars will maximize theresa's utility if she spends her entire weekly income on bagels and toy cars?
Theresa's preferences for bagels and toy cars. Assuming that Theresa is a rational consumer, she will allocate her income in a way that maximizes her utility. This means that she will purchase the combination of bagels and toy cars that gives her the greatest satisfaction.
To determine the optimal quantity of bagels and toy cars for Theresa, we need to consider her budget constraint. If we assume that the price of bagels and toy cars are constant, then her budget constraint will be a straight line. The slope of this line will depend on the ratio of the prices of bagels and toy cars.
To maximize Theresa's utility, we need to find the point where her budget constraint is tangent to her indifference curve. This is the point where the marginal rate of substitution (MRS) equals the ratio of the prices. The MRS represents the rate at which Theresa is willing to give up bagels for toy cars, and is equal to the slope of her indifference curve.
To determine the quantity of bagels and toy cars that will maximize Theresa's utility, you'll need to use the concept of marginal utility per dollar spent. Follow these steps:
1. Obtain the prices of bagels (Pb) and toy cars (Pc) and Theresa's weekly income (I).
2. Calculate the marginal utility (MU) for each good: MU_bagel = Δutility/Δbagel and MU_car = Δutility/Δcar.
3. Calculate the marginal utility per dollar spent: MU_bagel/Pb and MU_car/Pc.
4. Compare the marginal utility per dollar spent for each good. If MU_bagel/Pb > MU_car/Pc, buy more bagels; if MU_car/Pc > MU_bagel/Pb, buy more toy cars.
5. Adjust quantities until MU_bagel/Pb ≈ MU_car/Pc and total expenditure equals weekly income (Pb*bagels + Pc*cars = I).
6. The optimal quantity of bagels and toy cars is found when the marginal utility per dollar spent on each good is equal and the entire income is spent.
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adherents of the concept of ethical relativism believe which of the following? (choose every correct answer.) multiple select question. for businesses to succeed there can be no cross-country or cross-cultural variation in ethical standards. given actions are ethically right or wrong depending on the ethical norms of the country in which they take place. holding a common template for judging the ethics of business actions everywhere is ethically problematic. businesses operating in dominant cultures have the power to set the ethical standards for businesses operating in weaker cultures.
Given actions are ethically right or wrong depending on the ethical norms of the country in which they take place. Holding a common template for judging the ethics of business actions everywhere is ethically problematic.
Ethical relativism is the belief that moral values are relative to a particular culture or society and that there are no universal moral standards that apply to all cultures. Therefore, ethical relativists would argue that ethical standards vary across different cultures and that what is considered right or wrong in one culture may not be the same in another culture.
This means that ethical relativists reject the idea of a common template for judging the ethics of business actions everywhere, as they believe that ethical standards are culturally specific. They also reject the idea that businesses operating in dominant cultures have the power to set ethical standards for businesses operating in weaker cultures, as this would imply that there are universal ethical standards that apply to all cultures
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what type of exchange rate regime is associated with a higher probability of experiencing a crisis? why?
A fixed exchange rate regime is associated with a higher probability of experiencing a crisis. This is because a fixed exchange rate regime requires the government to maintain a fixed exchange rate between their currency and another currency, usually the US dollar.
In order to do this, the government must have enough foreign reserves to buy or sell their currency in the foreign exchange market to maintain the fixed exchange rate. If the government's foreign reserves are depleted or if there is a sudden decrease in demand for the currency, the government may be unable to maintain the fixed exchange rate and a crisis may ensue.
On the other hand, a flexible exchange rate regime, where the exchange rate is determined by market forces, is less likely to experience a crisis. This is because the exchange rate can adjust to changes in supply and demand for the currency, without the need for government intervention. In addition, flexible exchange rate regimes allow for more monetary policy flexibility, as the central bank can adjust interest rates to respond to changes in the economy.
It is important to note that the likelihood of experiencing a crisis is not solely determined by the exchange rate regime. Other factors such as economic policies, political stability, and external shocks also play a role. However, studies have shown that countries with fixed exchange rate regimes are more vulnerable to currency crises than those with flexible exchange rate regimes. For example, the Asian financial crisis in 1997 was largely attributed to the fixed exchange rate regimes in place in many Asian countries at the time. The crisis led to sharp currency devaluations, high inflation, and a severe recession in the region.
In conclusion, while a fixed exchange rate regime may provide stability in the short term, it can also create vulnerabilities and increase the likelihood of experiencing a crisis. A flexible exchange rate regime, on the other hand, may lead to more volatility in the short term but can provide greater resilience to external shocks in the long term.
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true or false: full-time employees working in the u.s. federal bureaucracy number in the millions.
The statement "Full-time employees working in the U.S. federal bureaucracy number in the millions" is True. The US federal government employs over 2.7 million workers, with Defense, Veterans Affairs, and Homeland Security as the largest employers.
The federal bureaucracy is responsible for carrying out many of the functions of the federal government, including enforcing laws, regulating industries, and providing services to the public.
The largest federal agencies in terms of employment are the Department of Defense, the Department of Veterans Affairs, and the Department of Homeland Security.
However, there are also many smaller agencies and departments that employ thousands of workers. As of 2021, the federal government employs over 2.7 million full-time workers across a wide range of agencies and departments.
The size of the federal bureaucracy has been a subject of debate among policymakers and the public. Critics argue that it is too large and inefficient, while supporters argue that it is necessary to carry out the government's responsibilities effectively.
In summary, the statement that full-time employees working in the U.S. federal bureaucracy number in the millions is true. The federal government employs over 2.7 million workers across a range of agencies and departments, with the Department of Defense, Department of Veterans Affairs, and Department of Homeland Security being the largest employers.
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A company produces breakfast cereal. The true mean weight ofthe contents of its cereal boxes in 20 ounces and the standarddeviation in 0.06 ounce. The population distribution ofweights is normal. Suppose that you purchase four boxes,which can be regarded as a random sample of all those produced.
a. What is the standard error of the sample mean weight?
b. What is the probability that, on average, the contents ofthese four boxes will weigh more than 20.6 ounces?
c. What is the probability, on average, the contents of thesefour boxes will weigh less than 19.7 ounces?
d. What is the probability that, on average, the contents ofthese four boxes will weigh between 19.5 and 20.5 ounces?
a. The standard error of the sample mean weight is calculated as:
standard error = standard deviation / square root of sample size
standard error = 0.06 / sqrt(4)
standard error = 0.03 ounces
b. To find the probability that the average weight of four boxes will be more than 20.6 ounces, we need to find the z-score and look up the probability in the z-table. The z-score is calculated as:
z-score = (sample mean - population mean) / standard error
z-score = (20.6 - 20) / 0.03
z-score = 20
From the z-table, the probability of getting a z-score of 20 or greater is almost 0.
c. To find the probability that the average weight of four boxes will be less than 19.7 ounces, we again need to find the z-score and look up the probability in the z-table. The z-score is calculated as:
z-score = (sample mean - population mean) / standard error
z-score = (19.7 - 20) / 0.03
z-score = -10
From the z-table, the probability of getting a z-score of -10 or less is almost 0.
d. To find the probability that the average weight of four boxes will be between 19.5 and 20.5 ounces, we need to find the z-scores and look up the probabilities in the z-table. The z-scores are calculated as:
z-score for 19.5 ounces = (19.5 - 20) / 0.03 = -16.67
z-score for 20.5 ounces = (20.5 - 20) / 0.03 = 16.67
From the z-table, the probability of getting a z-score of -16.67 or less is almost 0, and the probability of getting a z-score of 16.67 or less is almost 1. Therefore, the probability of getting a z-score between -16.67 and 16.67 is almost 1.
In this problem, we used the concept of standard error to calculate the variability of the sample mean. Then, we used the z-score and the z-table to calculate the probabilities of certain events occurring. The z-score is a measure of how many standard deviations the sample mean is from the population mean.
The z-table gives the probabilities of getting a certain z-score or less. We also assumed that the population distribution is normal, which is a common assumption in statistical inference.
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why do high tariff levels restrict international trade? responses there is a decreasing marginal return on sales when tariff levels are high. there is a decreasing marginal return on sales when tariff levels are high. it is more difficult to protect domestic producers when there are high tariffs. it is more difficult to protect domestic producers when there are high tariffs. traded goods cost more when there are high tariffs, and this limits their sale. traded goods cost more when there are high tariffs, and this limits their sale. high tariff levels make it difficult for countries to enforce consumer-protection regulations.
High tariff levels can restrict international trade in various ways. Firstly, when tariff levels are high, there is a decreasing marginal return on sales. This means that the profits earned on sales reduce significantly after a certain point, making it less profitable for businesses to engage in international trade.
Secondly, high tariffs make it more difficult to protect domestic producers because foreign competitors have to pay higher taxes to access the domestic market. This can lead to unfair competition and negatively impact the domestic economy.Another way high tariff levels can restrict international trade is by making traded goods more expensive. When tariffs are high, traded goods cost more, and this limits their sale. Consumers may choose to buy cheaper domestic goods instead of paying more for foreign products. This can hurt the economies of both importing and exporting countries.Finally, high tariff levels can make it difficult for countries to enforce consumer-protection regulations. This is because countries may rely on imported goods to meet their needs, and high tariffs make it harder to ensure the quality and safety of these products.Overall, high tariff levels can have significant negative impacts on international trade, limiting sales, raising costs, and making it harder to protect domestic industries and consumers.
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what are some of the obstacles that prevent businesses from adopting sustainability goals and actually practicing sustainability in the workplace?
There are several obstacles that prevent businesses from adopting goals of sustainability and implementing sustainable practices in the workplace. One major obstacle is the perception that sustainable practices are too expensive and will negatively impact profits.
Additionally, businesses may not have the necessary resources or expertise to implement sustainable practices, or they may not be aware of the potential benefits of doing so.
Another obstacle is the lack of government regulations and incentives to encourage businesses to adopt sustainable practices. Some businesses may also face cultural barriers, where employees or stakeholders may not prioritize sustainability or may not see its value.
Finally, there may be a lack of accountability and measurement for sustainability practices, making it difficult for businesses to track progress and assess the effectiveness of their sustainability efforts. Despite these obstacles, many businesses are starting to recognize the importance of sustainability and are taking steps to overcome these challenges and implement sustainable practices.
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suppose china enacts laws that discourage population growth, such as the one-child policy initiated in the 1980s. consider the one-child policy in the solow model, assuming that the economy begins in a steady-state where on average, families have 3 children. what kind of economic change will result from this policy, all else equal?
In the Solow model, a decrease in population growth leads to an increase in capital per worker and a higher level of output per worker.
This is because with fewer children, households are able to save more and invest more in capital, which increases productivity and output. Therefore, if China enacts laws that discourage population growth, such as the one-child policy, it is likely to result in an increase in capital per worker and a higher level of output per worker in the long run.
However, in the short run, there may be some negative effects, such as a decrease in labor supply, which could lead to higher wages and inflation. Overall, the impact of such a policy on the economy would depend on the specifics of how it is implemented and enforced.
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the discount rate is kept ________ the federal funds rate because the fed prefers that
The discount rate is kept higher than the federal funds rate because the Fed prefers that.
The discount rate is the interest rate at which commercial banks can borrow money from the Federal Reserve's lending facility, known as the discount window. The Federal Funds rate, on the other hand, is the interest rate at which banks lend and borrow reserves from each other overnight in the federal funds market.
The Federal Reserve sets both the discount rate and the federal funds rate. However, the discount rate is typically higher than the federal funds rate. This is because the discount rate is considered the lender of last resort and is meant to be used by banks only in times of financial distress when they cannot borrow from other sources. By setting the discount rate above the federal funds rate, the Fed encourages banks to borrow from each other first, rather than from the discount window, which helps promote a healthy interbank lending market.
Additionally, the Fed prefers to use changes in the federal funds rate as its primary tool for implementing monetary policy, as it has a more direct impact on market interest rates and the economy. The discount rate is used less frequently and is seen more as a backup option.
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bison co. granted restricted stock units (rsus) representing 38 million of its $1 par common shares to executives, subject to forfeiture if employment is terminated within four years. after the recipients of the rsus satisfy the vesting requirement, the company will distribute the shares. the common shares had a market price of $8 per share on the grant date. ignoring taxes, calculate the effect on earnings in the year after the shares are granted to executives.
The company would recognize an expense of $304 million in the year after granting RSUs, reducing earnings by that amount.
Restricted Stock Units (RSUs) are a form of compensation granted to executives that represent a promise to provide a specific number of shares of company stock at a future date, subject to certain conditions such as vesting requirements.
The accounting treatment for RSUs can have a significant impact on a company's financial statements, particularly its earnings.
In this scenario, Bison Co. granted RSUs representing 38 million of its $1 par common shares to executives, subject to forfeiture if employment is terminated within four years.
Assuming the vesting requirements are satisfied, the company will distribute the shares. The common shares had a market price of $8 per share on the grant date.
The accounting treatment for RSUs typically involves recognizing the fair value of the shares as an expense over the vesting period, which in this case is four years.
Therefore, in the year after the shares are granted to executives, the company would recognize an expense equal to the fair value of the RSUs granted, which is calculated as the market price of the shares on the grant date multiplied by the number of shares granted.
The fair value of the RSUs granted in this scenario is $8 per share multiplied by 38 million shares, which equals $304 million.
Therefore, the company would recognize an expense of $304 million in the year after the shares are granted to executives, which would reduce the company's earnings by the same amount.
It is worth noting that the accounting treatment for RSUs can be complex and may vary depending on the specific terms and conditions of the RSUs.
Additionally, the impact on earnings may be affected by other factors, such as the company's overall financial performance and tax implications.
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bugless incorporated, a calendar year, accrual basis corporation, provides pest extermination services to its customers. in october 2022, bugless contracted with mr. cass to provide monthly service calls for 24 months. each service call costs $60, and mr. cass prepaid $1,440 when he signed the contract. bugless made three service calls to mr. cass' home in 2022. as a result of the contract, bugless should report:
Bugless Incorporated, being an accrual basis corporation, recognizes revenue when it is earned and expenses when they are incurred. Therefore, in October 2022, when Bugless entered into a contract with Mr. Cass for monthly pest extermination services for 24 months, it recognized the prepaid revenue of $1,440.
For the three service calls made in 2022, Bugless should recognize revenue of $180 ($60 x 3). However, since these service calls were made after the contract was signed, the revenue will be deferred and recognized over the remaining 21 months of the contract. Bugless should recognize deferred revenue of $1,260 ($60 x 21) in its financial statements for the year ended December 31, 2022.In addition to the revenue recognition, Bugless should also recognize the related expenses incurred during the three service calls made in 2022. These expenses would include the cost of materials used, labor, and any other direct costs associated with providing the service.In conclusion, Bugless Incorporated should report the prepaid revenue of $1,440 as deferred revenue in its financial statements for the year ended December 31, 2022. Additionally, it should recognize the revenue of $180 and the related expenses incurred during the three service calls made in 2022. These revenues will be recognized over the remaining 21 months of the contract period.This amount will be recognized as revenue over the 24 months of the contract period.
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a ________ usually has a long life span and typically deals with regularly recurring tasks.
A "routine" usually has a long life span and typically deals with regularly recurring tasks.
In the context of work, a routine is a set of tasks or activities that are performed regularly and follow a predictable pattern.
Examples of routines include daily or weekly recurring reports, data entry, or manufacturing processes.
Routines are often well-defined, with clear procedures and guidelines for how they should be performed. They can be automated or standardized to increase efficiency and consistency.
While routines can be an effective way to manage repetitive tasks, they may also become tedious or monotonous over time.
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when resolving disputes in buyer-supplier relationships, should be used as a last resort?
Litigation should be used as a last resort when resolving disputes in buyer-supplier relationships. This is because litigation can be time-consuming, costly, and can damage the relationship between the buyer and supplier.
Instead, alternative dispute resolution methods such as negotiation, mediation, and arbitration should be attempted first. These methods are generally faster, less expensive, and can preserve the business relationship between the parties involved. Additionally, they can lead to more creative and mutually beneficial solutions, rather than the win-lose outcome that often results from litigation.
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regarding business continuity, what is the first phase of activity if a disruption occurs? a. the reconstitution phase b. the recovery phase c. the notification and activation phase d. planning phase
The first phase of activity if a disruption occurs in business continuity is c. the notification and activation phase.
This phase is crucial as it involves identifying the incident, assessing its impact, and initiating the appropriate response. Key personnel and team members are notified and mobilized to manage the situation effectively. Communication channels are established to ensure a smooth flow of information between all parties involved.
The notification and activation phase lays the foundation for subsequent phases, such as the recovery and reconstitution phases, by establishing an organized response to the disruption. It is important to have a well-defined plan in place to ensure a timely and effective response to any disruptions, ultimately safeguarding the business's continuity and resilience.
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wondra believed that _____________ is (are) what makes a successful employee.
Wondra believed that specific skills and abilities are what make a successful employee.
Wondra, a human resources expert, believed that having the necessary skills and abilities is essential for a person to succeed in their job. These skills could be technical skills related to the job, such as programming or design skills, or soft skills such as communication and teamwork. Wondra also believed that employees should continuously develop their skills to stay relevant and valuable to the organization. Furthermore, she emphasized the importance of matching an employee's skills and abilities with the requirements of the job. According to Wondra, this not only leads to better job performance but also greater job satisfaction for the employee. In conclusion, Wondra believed that a successful employee possesses the specific skills and abilities required for their job and continuously develops them to stay relevant in the organization.
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what two facets of nonprofit organizations makes branding more critical for them as compared to for-profit organizations?
Nonprofit organizations have two key facets that make branding more critical for them as compared to for-profit organizations. The first facet is that nonprofits often rely heavily on public support to achieve their mission. Unlike for-profit businesses that typically focus on generating profits for their owners or shareholders, nonprofits exist to serve a social or humanitarian purpose. Therefore, the success of a nonprofit organization is largely dependent on the support and trust of the public. This is where branding becomes critical. A strong brand can help build trust and credibility with the public, which can translate into increased support in the form of donations, volunteers, and partnerships.
The second facet is that nonprofits often operate in crowded and highly competitive environments. There are typically many other nonprofit organizations operating within the same cause or industry, all vying for public attention and support. Therefore, it is essential for nonprofits to differentiate themselves from their competitors and stand out in a crowded marketplace. A strong brand can help a nonprofit achieve this by creating a unique and compelling identity that resonates with its target audience. This can help the nonprofit attract new supporters and retain existing ones.
In summary, nonprofit organizations rely heavily on public support and often operate in crowded and competitive environments. A strong brand can help build trust and credibility with the public, differentiate the organization from its competitors, and ultimately drive support and success in achieving its mission.
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_____ offer(s) consumers incentives to accept advertising and e-mail voluntarily.1) Viral marketing2) Personalized marketing3) Permission marketing4) Paper catalogs5) Direct mail
Permission marketing offer(s) consumers incentives to accept advertising and e-mail voluntarily. Therefore, the correct option is 3.
Permission marketing involves businesses obtaining the explicit consent of consumers to receive marketing materials, such as advertising and emails. Hence, this approach involves getting the customer's explicit permission to receive marketing messages, and offering them value in return, such as exclusive deals, relevant content, or personalized offers.
This approach allows companies to build a relationship with their audience and offer relevant content and offers, leading to higher engagement and conversions. By gaining the customer's trust and respect, permission marketing can build stronger relationships and increase engagement, while avoiding the annoyance and distrust associated with unsolicited ads.
Viral marketing, on the other hand, relies on word-of-mouth and social sharing to spread a message or campaign, while personalized marketing tailors messages to individual preferences and behaviors. Paper catalogs and direct mail are traditional forms of advertising that may or may not require permission, depending on the consumer's preferences and privacy laws. However, they are often considered less effective and sustainable than digital marketing methods that offer more targeted and interactive experiences.
Hence, the correct answer is option 3: Permission marketing.
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if you decide to take in a roommate, do you need to add that person's name to your rental lease?
Yes, if you decide to take in a roommate, you typically need to add that person's name to your rental lease.
This is because most rental leases include a clause that restricts the number of people who can live in the rental unit. By adding your roommate's name to the lease, you can avoid violating this clause and risking eviction. Additionally, adding your roommate's name to the lease ensures that they have legal rights and responsibilities with respect to the rental unit, such as paying rent and maintaining the unit. It's important to note that some landlords may require all roommates to submit a joint rental application and sign the lease together, while others may allow for one tenant to take responsibility for the lease and add additional occupants later on.
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brenda purchases stock and plans to hold on to it for a number of years. she could be considered to be using a
Brenda, who purchases inventory and plans to maintain onto it for some of years, could be taken into consideration to be using a buy-and-hold investment strategy.
This method involves shopping shares with the aim of conserving onto them for an extended period, usually numerous years or greater, instead of actively shopping for and selling stocks in an try to capitalize on short-time period market fluctuations.
Purchase-and-maintain investors are regularly centered on lengthy-term growth and earnings generation, instead of brief-time period gains, and are willing to tolerate market volatility on the way to acquire their goals. This method calls for endurance, area, and a long-time period angle, and may be a a success method for buyers who are able to become aware of businesses with robust growth potential.
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consider a firm in the 40% tax bracket, which just paid a$ .47 dividend to common stockholders. if the firm estimates that the growth rate in dividends will be 6.2 5% and the stock is currently selling for $10.09 per share, what is the firm's cost of equity?
The 40% tax bracket information provided in the problem is not used in the calculation of the cost of equity since it is only relevant for calculating the after-tax cost of debt.
Using the dividend discount model, the firm's cost of equity can be calculated as follows:
Cost of Equity = (Dividend / Stock Price) + Dividend Growth Rate
Where
Dividend is the most recent dividend paid
Stock Price is the current market price per share
Dividend Growth Rate is the estimated growth rate of dividends
Plugging in the values given in the problem, we get:
Cost of Equity = ($0.47 / $10.09) + 6.25%
Cost of Equity = 0.046 + 0.0625
Cost of Equity = 0.1085 or 10.85%
Therefore, the firm's cost of equity is 10.85%.
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in 1836, andrew jackson issued the specie circular, which required that all purchases of federal government land by speculators be made in gold and silver, not paper money. what was the impact of the specie circular on the u.s. economy?
The Specie Circular had a severe impact on the U.S. economy, leading to a period of economic depression and hardship for many Americans. It highlighted the need for a more stable monetary system and better policies to manage the economy.
The Speciel Circular, which required payment for government land in gold and silver, had a significant impact on the U.S. economy. The circular was issued by Andrew Jackson in 1836 as a measure to curb inflation and stabilize the economy. However, the policy backfired, leading to a financial panic and a severe economic depression. The impact of the circular was felt in many ways. First, it caused a decrease in the money supply, as gold and silver were scarce, making it difficult for speculators and others to obtain the necessary funds. This, in turn, led to a decrease in land sales, which were a significant source of revenue for the government. Second, the circular had a negative effect on the banking system, as many banks had issued loans in paper money, which could no longer be used to purchase government land. The circular also had broader implications for the economy, as it led to a general contraction of credit, which affected trade and commerce. Many businesses were forced to close, and unemployment rose significantly. Moreover, the policy created significant social and political unrest, as many people blamed Jackson for the economic crisis.
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Consider the owner of a large tract of undeveloped land that is suitable for recreational use by campers, bikers, hikers, and so on. If the land is left open, users will enter and enjoy a benefit of $3,000, but they may suffer accidents. Specifically, if users enter and take no care, they will suffer expected damages of $2,000, whereas if they enter and take care of $200, they will suffer expected damages of $500. The owner of the land cannot take care to reduce the risk of accidents, but he can fence in the land at a cost of $1,000, which prevents entry altogether.
(a) Calculate the net benefit from each of the following options:
(1) owner fences land;
(2) owner does not fence land, users enter and take no care;
(3) owner does not fence land, users enter and take care. Which is most efficient?
(b) Many states have passed laws that immunize owners of undeveloped land from liability if they open the land for recreational use. What outcome in (a) will result under this rule?
Three departments parks and recreation, construction, and staff development had their funding cut by the grave error town council. The correct answer is (3) owner does not fence land, users enter and take care.
The author's perspective is best revealed by grave error that is to say" is denoted by a colon. To introduce a product or a line of products is one of their applications. The colon here introduces the list of departments whose funding has been reduced by the municipal council.
Henrietta is questioned by Sancho and Bolsa about William's personality at work; near the end of the scenario, Henrietta realises that William might be buried there. Cellular immunity combats intracellular viruses, whereas humoral immunity combats extracellular viruses. Immunity that is regulated by extracellular fluid-based macromolecules, such as secreted antibodies, complement proteins, or certain antimicrobial peptides, is known as humoral immunity. Because it makes use of what are known as humours, which are substances found in bodily fluids, humoral immunity earns its name.
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8. a piece of production equipment being considered at smithville manufacturing is priced at $12,000 now. the inflation rates for the next three years are expected to be 3%, 2%, and 4% respectively. what will be the cost of the equipment in a$ three years from now? a. $14,341 b. $12,219 c. $13,111 d. $10,983
The option A, $14,341. To find the cost of the equipment in three years, we need to calculate the future value of $12,000 after three years, taking into account the expected inflation rates.
Using the future value with compound interest formula, we obtain:
FV = PV x (1 + r)^n
Where:
PV = present value = $12,000
r = annual interest rate = expected inflation rate
n = number of years = 3
For the first year:
FV1 = 12,000 x (1 + 0.03)^1 = $12,360
For the second year:
FV2 = 12,360 x (1 + 0.02)^1 = $12,611.20
For the third year:
FV3 = 12,611.20 x (1 + 0.04)^1 = $14,341.18
Therefore, the cost of the equipment in three years will be approximately $14,341, which is option A.
1. First, we need to calculate the cost of the equipment for each year, considering the inflation rates.
2. In the first year, the inflation rate is 3%. So, the cost of the equipment will be: $12,000 * (1 + 0.03) = $12,000 * 1.03 = $12,360.
3. In the second year, the inflation rate is 2%. The cost of the equipment will be: $12,360 * (1 + 0.02) = $12,360 * 1.02 = $12,607.20.
4. In the third year, the inflation rate is 4%. The cost of the equipment will be: $12,607.20 * (1 + 0.04) = $12,607.20 * 1.04 = $13,111.49.
Thus, the cost of the equipment in three years from now is approximately $13,111 (option c).
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during a year, a company purchased $450,000 of plant assets. the company also sold for $70,000 plant assets that originally cost $300,000 and had $250,000 of accumulated depreciation at the time of the sale. what amounts are presented in the investing activities section of the statement of cash flows to reflect these transactions?
The investing activities section will show a cash outflow of $450,000 for the purchase of plant assets and a cash inflow of $70,000 for the sale of plant assets.
The investing activities section of the statement of cash flows would show the following amounts to reflect the transactions mentioned:
1. Purchase of plant assets: $450,000 - This amount represents cash outflow for the company as they invested in acquiring new plant assets during the year.
2. Sale of plant assets: $70,000 - This amount represents cash inflow for the company as they sold some of their existing plant assets during the year.
3. Gain on sale of plant assets: $20,000 - This is calculated as the difference between the selling price ($70,000) and the net book value of the plant assets ($50,000 = $300,000 original cost - $250,000 accumulated depreciation). This gain would be included in the investing activities section as it relates to the sale of a plant asset.
Overall, the investing activities section of the statement of cash flows would show a net cash outflow of $380,000 ($450,000 - $70,000) for the year due to the purchase of new plant assets.
Hi! I'd be happy to help with your question. In the investing activities section of the statement of cash flows, we need to account for the purchase and sale of plant assets.
First, let's consider the purchase of $450,000 in plant assets. This is a cash outflow, as the company spent money to acquire these assets. Therefore, we will present this as a negative value in the investing activities section.
Next, we need to account for the sale of plant assets. The assets were originally worth $300,000 and had accumulated depreciation of $250,000. To find the carrying value of the assets at the time of sale, subtract the accumulated depreciation from the original cost: $300,000 - $250,000 = $50,000. The company sold the assets for $70,000, which is a cash inflow.
Now, let's present these transactions in the investing activities section of the statement of cash flows:
1. Purchase of plant assets: -$450,000 (cash outflow)
2. Sale of plant assets: +$70,000 (cash inflow)
In summary, the investing activities section will show a cash outflow of $450,000 for the purchase of plant assets and a cash inflow of $70,000 for the sale of plant assets.
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abba, inc. is considering dropping a product line. during the prior year, the line had sales of $207,000 and a contribution margin of $124,000. fixed expenses consist of
In this case, the fixed expenses for the product line would be $83,000. Fixed expenses are the expenses that do not vary with the level of production or sales.
If the fixed expenses for the product line are greater than the contribution margin, then dropping the product line would be a wise decision. However, if the fixed expenses are lower than the contribution margin, then it may be beneficial to keep the product line.
To calculate the amount of fixed expenses for the product line, Abba, Inc. needs to subtract the contribution margin from the sales.
Abba, Inc. should also consider the impact that dropping the product line would have on its overall business. If the product line is a significant part of the company's brand or contributes to overall sales, then dropping it could have negative consequences. However, if the product line is not contributing much to the company's overall success, then dropping it may be a viable option.
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hunt and morgan (1995) suggested that the assumptions. they suggest. theory of perfect competition is outdated because it makes too many theory explains market behavior much better. o a. market competitiveness, competitive advantage o b. competitive advantage, comparative advantage o c. neoclassical, comparative advantage d. comparative advantage, competitive advantage o e. comparative advantage, neoclassical
Hunt and Morgan's (1995) argument is that the assumptions underlying the theory of perfect competition are outdated because they fail to capture the complexity of real-world markets. They suggest that a theory of comparative advantage and competitive advantage better explains market behavior. The correct option is d: "comparative advantage, competitive advantage".
Hunt and Morgan (1995) argued that the assumptions of the theory of perfect competition are outdated as it fails to explain market behavior accurately. The perfect competition model assumes that firms are price takers and there are no barriers to entry or exit in the market, leading to the efficient allocation of resources. However, this model is unrealistic, as most markets are characterized by imperfect competition, where firms have some degree of market power and face barriers to entry or exit. The comparative advantage theory explains why countries trade with each other, while the competitive advantage theory explains how firms gain a competitive advantage over their rivals.
In conclusion, Hunt and Morgan's argument highlights the limitations of the perfect competition model and the need to consider alternative theories, such as comparative and competitive advantage, to better understand market behavior.
The correct option for the given question is (d): comparative advantage, competitive advantage.
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Assume that you are currently holding a well-diversified portfolio, which of the three stocks would be a good candidate to include in a well-diversified portfolio? (you are well-diversified investor). Hint: a well-diversified investor does not concern about unique risk but the market risk which is measured by beta?
Please provide an answer to the above question in detail explaining why you selected the stock.
Stock CAPM Return (Need to Calculate) >, =, < Average Returns Over/Under/Correctly Priced Recommendations
(From Table 1) (Buy/Sell)
Walmart 0.6278 < 0.8081 Above SML,Underpriced Buy
Mcdonalds 0.5633 < 1.0438 Above SML,Underpriced Buy
Costco 0.8899 < 1.3157 Above SML,Underpr
Walmart, McDonalds, and Costco are all good candidate stocks to include in a well-diversified portfolio. Walmart has a CAPM return of 0.6278 which is lower than the average returns of 0.8081.
This means that Walmart is above the security market line and is underpriced, making it a good candidate to buy. McDonalds has a CAPM return of 0.5633 which is lower than the average returns of 1.0438. This means that McDonalds is also above the security market line and is underpriced.
Finally, Costco has a CAPM return of 0.8899 which is lower than the average returns of 1.3157. This means that Costco is also above the security market line and is underpriced. All three stocks are underpriced and would be a good addition to a well-diversified portfolio as they provide good potential returns with a lower risk.
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economic profit is equal to: a. total revenue minus implicit costs and explicit costs. b. explicit costs plus implicit costs. c. total revenue minus explicit costs. d. explicit costs minus implicit costs. e. total revenue minus implicit costs.
The answer to the question is e. Economic profit is equal to total revenue minus implicit costs.
However, it's important to note that implicit costs are still a part of economic profit calculation, even though they are not included in the explicit costs. Economic profit is a measure of a company's profitability that takes into account both explicit and implicit costs. Explicit costs are the actual expenses incurred by a company, such as wages, rent, and utilities. Implicit costs are the opportunity costs of using resources that could be put to better use elsewhere. Therefore, economic profit is calculated by subtracting both explicit and implicit costs from total revenue.
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