need help with this question

Need Help With This Question

Answers

Answer 1

a. Your contribution of $2,000 at $40/share would buy you 50 new shares.

What is share?

In finance, a share refers to a unit of ownership in a company or corporation. When a company issues shares, it is selling a portion of ownership in the company to the public. Shareholders are entitled to a portion of the company's profits and can vote on certain decisions that affect the company. The value of a share can fluctuate based on a variety of factors, including the company's financial performance, market conditions, and overall economic conditions.

Remainings:

b. You previously owned 200 shares, and the new contribution bought you 50 more shares, so you now own a total of 250 shares.

c. You have spent $8,000 on your entire portfolio so far (200 shares x $30/share = $6,000 ± the new contribution of $2,000).

d. Your average cost per share is $8,000/250 shares, which equals $32/share.

e. To calculate the current value of your portfolio, you would need to know the current market value of EIF shares.

If the current market value is $50/share, then your portfolio would be worth 250 shares x $50/share = $12,500.

To know more about shares, visit;

https://brainly.com/question/16680764

#SPJ1


Related Questions

assume a bond has a coupon rate of 8% with interest paid annually, a par value of $1,000 and a time to maturity of 10 years. if the current market price is $800, what is the taxable income of this bond over the next year? (hint: taxable income is equal to the coupon plus accretion)

Answers

The taxable income of the bond over the next year is $60.

The taxable income of the bond over the next year can be calculated as follows:

Coupon payment = Coupon rate x Par value = 8% x $1,000 = $80

Accretion = (Market price - Par value) / Time to maturity = ($800 - $1,000) / 10 = -$20

Taxable income = Coupon payment + Accretion = $80 - $20 = $60

As a result, the bond's taxable income for the next year is $60.

The taxable income of a bond refers to the income that is subject to income tax. For a bond with a fixed coupon rate, the taxable income is equal to the coupon payment plus any accretion or amortization that occurs over the year. Accretion is the increase in the bond's value over time, which occurs as the bond approaches its maturity date.

In this case, the bond has a coupon rate of 8%, a par value of $1,000, and a time to maturity of 10 years. The current market price of the bond is $800. To calculate the taxable income of the bond over the next year, we first calculate the coupon payment, which is equal to the coupon rate times the par value. In this case, the coupon payment is $80.

To know more about the Taxable income, here

https://brainly.com/question/20389671

#SPJ4

A federal act requiring disclosure of property information to buyers when 25 or more unimproved parcels of land in a subdivision are offered for sale is the

Answers

The federal act that requires disclosure of property information to buyers when 25 or more unimproved parcels of land in a subdivision are offered for sale is the Interstate Land Sales Full Disclosure Act (ILSA).

The purpose of ILSA is to protect potential buyers from fraudulent practices in the sale of unimproved land in large subdivisions. It requires developers to provide a disclosure statement containing important information about the property, including details about the infrastructure, legal obligations, potential restrictions, and any applicable zoning laws.

By mandating this disclosure, ILSA aims to ensure that buyers have access to accurate and complete information before making a purchase decision. This transparency helps protect buyers from potential risks and allows them to make informed choices about investing in unimproved land.

To know more about federal act , refer here:

https://brainly.com/question/24924382#

#SPJ11

According to classical economists question 7 options: demand creates its own supply. wages and prices are inflexible downward. the market system ensures full employment. say's law is invalid

Answers

According to classical economists, the correct statement among the options provided is "Say's law is valid".

Say's law, also known as the law of markets, is a fundamental principle of classical economics. It states that "supply creates its own demand," which means that the production of goods and services in an economy will generate enough income to ensure that all goods and services produced will be sold.

This implies that the economy will naturally reach a state of equilibrium, where all resources are fully employed and output is at its maximum level. According to classical economists, the market system is self-regulating and will automatically adjust to any imbalances in supply and demand through the price mechanism.

Classical economists also believed that wages and prices were inflexible downward, meaning that they could not be easily lowered to adjust to changes in market conditions. This was due to factors such as labor contracts and the costs of adjusting prices. However, this view has been challenged by modern economists, who argue that wages and prices can be flexible in both directions.

learn more about classical economists here:

https://brainly.com/question/28573213

#SPJ11

according to porter, a firm in a competitive marketplace with no clear generic competitive strategy (or change back and forth between the two generic competitive strategies), which leads to no clear competitive advantage in comparison to competitors, is called

Answers

According to Porter, a firm that operates in a competitive market place without any clear generic competitive strategy or shifts between two generic competitive strategies is called a stuck-in-the-middle firm.

This means that the firm does not have a clear competitive advantage over its competitors and is unable to differentiate itself in the market. A stuck-in-the-middle firm fails to align its activities with a clear strategy, and as a result, it cannot achieve a sustainable competitive advantage.

Such firms try to pursue both cost leadership and differentiation strategies but fail to achieve either effectively. This can be detrimental to the firm's performance as it struggles to meet customer needs and keep up with competitors.

The absence of a clear competitive strategy can also result in a lack of focus and increased costs, which can ultimately harm the firm's profitability. In order to succeed, firms need to choose one of the two generic competitive strategies, cost leadership or differentiation, and align their activities to that strategy to achieve a sustainable competitive advantage.

In conclusion, a stuck-in-the-middle firm is one that lacks a clear competitive strategy and fails to differentiate itself in the market. Such firms struggle to achieve a competitive advantage over their rivals and may face challenges in sustaining profitability.

For more such questions on market

https://brainly.com/question/25369230

SPJ11

Blaire tells her sales representatives the goal is to generate at least a 15 percent return on investment for all the computer desks they sell. blaire is using a ________ pricing strategy.

Answers

Blaire is using a target profit pricing strategy, where she sets a specific profit goal and uses it to determine the selling price of the computer desks.

Target profit pricing is a pricing strategy used by businesses to determine the selling price of their products or services. It involves setting a specific profit goal and using it to determine the price at which a product or service must be sold in order to achieve that goal.

In Blaire's case, she has set a specific profit goal of at least 15 percent return on investment (ROI) for all the computer desks her sales representatives sell. This means that Blaire will need to calculate the total cost of producing and selling each computer desk and then add a markup to arrive at the selling price that will allow her to achieve her desired ROI.

Target profit pricing can be a useful pricing strategy for businesses because it allows them to ensure that they are earning a desired level of profit on their products or services. However, it is important to keep in mind that this strategy relies on accurate cost information and assumptions about sales volumes and market demand, which can be difficult to predict.

learn more about Pricing strategy here:

https://brainly.com/question/28797815

#SPJ11

A(n) ______ is bound by a contract to produce a certain result, with performance of the work controlled by the

Answers

A(n) contractor is bound by a contract to produce a certain result, with performance of the work controlled by the terms and conditions outlined in the contract.

A contract is a legally binding agreement between two or more parties that outlines the terms and conditions for the performance of work or the provision of services. In this case, the contractor is responsible for delivering the specified result, which is typically defined in the contract, such as completing a construction project or providing specific services. The performance of the work is controlled by the stipulations in the contract, which may include deadlines, quality standards, and other requirements that the contractor must adhere to. If the contractor fails to meet these conditions, they may be held liable for breach of contract.

To ensure successful performance of the contract, both the contractor and the client should clearly communicate their expectations and responsibilities, as well as negotiate any necessary changes to the contract terms. It is also essential for the contractor to maintain a high level of organization and project management, in order to complete the work on time and within budget, while meeting the client's expectations for quality and satisfaction.

Know more about contractor and contract click here:

https://brainly.com/question/28744501

#SPJ11

the government of the country of naiser issues bonds with a guarantee to make periodic interest payments on the par value. the government offers a 6.7% interest on its bonds. in this case, the percentage of interest offered by the government of naiser is called the

Answers

The percentage of interest offered by the government of Naiser on its bonds is called the coupon rate.

The coupon rate is the fixed interest rate that the issuer of a bond promises to pay to the bondholders periodically, usually semi-annually or annually, on the bond's face value or par value. In this case, the government of Naiser is offering a coupon rate of 6.7% on its bonds, which means that the bondholders will receive interest payments equal to 6.7% of the bond's face value each year until the bond matures.

Bonds are a type of debt security that governments and corporations issue to raise capital. When an entity issues bonds, it promises to pay the bondholders interest payments, known as coupon payments, at a fixed rate for a specific period, usually until the bond's maturity date. The coupon rate, which is expressed as a percentage of the bond's face value, is the interest rate that the issuer promises to pay to the bondholders.

To learn more about coupon rate, visit here

https://brainly.com/question/16913107

#SPJ4

suppose a monopolist faces the following demand curve: what is the marginal revenue of the 3rd unit of output? price quantity $90 0 $80 1 $70 2 $60 3 $50 4 $40 5 $30 6 $20 7 group of answer choices $10 $30 $40 $60

Answers

The marginal revenue of the 3rd unit of output is $40. Therefore, the answer is (C) $40.

To calculate the marginal revenue of the 3rd unit of output, we need to find the change in total revenue when the firm sells one more unit. In this case, the monopolist faces a downward-sloping demand curve, which means that to sell more units, it must lower the price for each unit.

From the demand curve, we can see that to sell the 3rd unit, the monopolist must lower the price from $70 to $60. Therefore, the marginal revenue of the 3rd unit is the change in total revenue from selling two units to selling three units, which is equal to the difference in the revenue generated from selling two units and three units.

The revenue generated from selling two units is 2 x $70 = $140, and the revenue generated from selling three units is 3 x $60 = $180. Thus, the marginal revenue of the 3rd unit is $180 - $140 = $40.

Therefore, the answer is (C) $40.

To learn more about demand click on,

https://brainly.com/question/29345712

#SPJ4

Gina booked a room at the Whispering Sands Resort because, as advertised on its website, she expected to check in at 11:00 am, the swimming pool would be heated, the talent in the dining area would be able to sing, and the breakfast would be fresh. When she arrived, she had to wait for her room, found the swimming pool to be 50 degrees, realized the singer could not carry a tune, and the free continental breakfast was stale. The Whispering Sands Resort was experiencing a severe ________ gap

Answers

The Whispering Sands Resort was experiencing a severe service quality gap.

The gap between a customer's expectations and how they actually perceive the service is what is being discussed here. Gina felt let down and unsatisfied with the services in this instance because they did not live up to her expectations.

The lack of service that meets customer expectations the service provider's failure to provide the promised level of service or the provider's ineffective customer communication are just a few of the factors that can contribute to the service quality gap. In this case, the Whispering Sands Resort failed to fulfill a number of promises made on their website which led to a significant service quality gap and dissatisfied customers.

Learn more about service quality gap at:

brainly.com/question/24217963

#SPJ4

use the following table to determine the levels of m1 and m2 in the united states. money categories in the united states assetamount (billions of dollars)currency$82demand deposits80money market funds44other checkable deposits37savings deposits460small time deposits22traveler's checks4 instructions: enter your answers as a whole number. a. calculate the m1 money supply. $ billion b. calculate the m2 money supply. $ billion

Answers

(a). The M1 money supply in the United States is $199 billion.

(b). The M2 money supply in the United States is $725 billion.

What is the money supply?

(a). The M1 money supply includes currency, demand deposits, and other checkable deposits. We can add up the amounts for these categories to get the M1 money supply:

M1 = Currency + Demand deposits + Other checkable deposits

M1 = $82 billion + $80 billion + $37 billion

M1 = $199 billion

Therefore, the M1 money supply in the United States is $199 billion.

(b). The M2 money supply includes M1 plus savings deposits, small time deposits, and money market funds. We can add up the amounts for these categories to get the M2 money supply:

M2 = M1 + Savings deposits + Small time deposits + Money market funds

M2 = $199 billion + $460 billion + $22 billion + $44 billion

M2 = $725 billion

Therefore, the M2 money supply in the United States is $725 billion.

To know more anout Currency, visit:

https://brainly.com/question/13684639

#SPJ1

which of the following is true about general knowledge? it is both excludable and rival in consumption. it is neither excludable nor rival in consumption. it is excludable and not rival in consumption. it is not excludable but rival in consumption.

Answers

The statement " it is not excludable but rival in consumption." is true about general knowledge. So the option D is correct.

General knowledge is information that is widely known and accepted. It is not excludable because it is freely accessible to anyone who is interested in learning, and it is not rival in consumption because it can be used by multiple people at the same time without diminishing its value or utility.

General knowledge is often acquired through everyday experiences, conversations, reading, and media consumption, and it includes facts and information about history, geography, science, the arts, and other topics. So the option D is correct.

To learn more about general knowledge link is here

brainly.com/question/14843722

#SPJ4

The complete question is:

Which of the following is true about general knowledge?

A. it is both excludable and rival in consumption.

B. it is neither excludable nor rival in consumption.

C. it is excludable and not rival in consumption.

D. it is not excludable but rival in consumption.

if asian countries experience a decline in economic growth (and experience a decline in inflation and interest rates as a result), how will their currency values (relative to the u.s. dollar) be affected?

Answers

If Asian countries experience a decline in economic growth, their currency values relative to the US dollar are likely to weaken.

This is because a decline in economic growth will lead to a decrease in demand for that country's currency as investors become less willing to hold it. As demand for the currency falls, its value will also decrease relative to other currencies, such as the US dollar.

Additionally, a decline in inflation and interest rates would reduce the attractiveness of the country's currency as an investment option, further contributing to a decline in demand and value.

Furthermore, a weaker currency can have both positive and negative impacts on the country's economy. It can make exports cheaper and more attractive, thus increasing demand and boosting economic growth.

However, it can also lead to higher import prices, which can cause inflation and reduce consumers' purchasing power. Overall, a decline in economic growth and interest rates is likely to result in a weakening of the Asian countries' currencies relative to the US dollar.

To learn more about currency click on,

https://brainly.com/question/19032484

#SPJ4

Many businesses decided to stop its operations in Russia following war with Ukraine.select one of those businesses and discuss in a video presentation in class on Monday April 4. Suggested points for discussion- Impacts on the business and its international operations- Impacts on Russia labor market- what could be the role of HR at those businesses in Planning the exit process- Provide figures and statistics on unemployment

Answers

One of the businesses that stopped its operations in Russia following the war with Ukraine is McDonald's.

McDonald's decided to close its eight hundred restaurants in Russia due to various reasons, including the Ukrainian conflict, importation laws, and declining sales. The closure impacted the company's international operations, as Russia was one of its largest markets, accounting for over 10% of its global revenue.

Additionally, the closure led to significant job losses for the local workforce, with over 35,000 employees losing their jobs. The HR department played a crucial role in planning the exit process, ensuring that employees received proper compensation and severance packages.

The closure of McDonald's restaurants in Russia also had a significant impact on the country's labor market, with unemployment rates increasing by 0.1% in 2015. Overall, the closure of McDonald's in Russia highlighted the importance of geopolitical risks in international business operations.

For more questions like McDonalds click the link below:

https://brainly.com/question/12186590

#SPJ11

consider the government expenditure increase in part (c) of $500. a journalist claims that, instead of increasing government expenditure, the government should instead lower taxes by $500 because that would result in a larger stimulus to output. do you agree with this claim? explain why or why not?

Answers

The claim made by the journalist suggests that lowering taxes by $500 would result in a larger stimulus to output compared to increasing government expenditure by the same amount.

There are different economic theories and perspectives on the impact of government expenditure and taxes on output or economic stimulus. The claim made by the journalist aligns with the theory of supply-side economics, which suggests that lower taxes can incentivize businesses and individuals to invest, save, and spend more, leading to increased economic activity and output.

On the other hand, proponents of demand-side economics argue that government expenditure, particularly on public goods and services, can directly stimulate demand in the economy, leading to increased spending, production, and employment.

Learn more about “ government expenditure “ visit here;

https://brainly.com/question/18492619

#SPJ4

You have had a very hectic morning, so you leave work a little earlyto relax a bit before you meet your supervisior, who is flying in to a nerby irport. You have not seen your supervisor from the home office for about a year now. He has writen to you personally to discuss the last project. Through no fault of yours, everything went wrong: The oil embargo delayed shipment of all the key parts; your project manager had a sking accident; and your secretary enclosed the key files in a parcel that was sent by mistake to Japan via sea mail. Your supervisor thinks that you have been careless on this project that you would lock yourslf out of your own car.As you are driving through the pleasant countryside on his chilly late fall afternoon, you realize that you will be an hour early. You spot a rather secluded roadside park about 200 meters away. A quiet stream bubbles through the park, containing trees in all their autumn colors-such an ideal place to just get out and relax. You pull off into the park, absentmindedly get out and lock the car, and stroll by the stream. When you return, you find that you have locked the keys inside the car.The road to the airport is not the usual route; cars pass through about every 10 to 15 minutes.The airport is nine kilometers away; the nearest house (with a telephone) is one kilometer away. The plane is due to arrive in 20 minutes. Your car, which is not a convertible, is such that you cannot get under the hood or into the trunk from the outside. All the windows are up and secured.Apply the Duncker Diagram and one other problem-solving technique to help you decide what to do.

Answers

One problem-solving technique that could be applied to this situation is the Duncker Diagram. The Duncker Diagram is a visual tool used to generate solutions by identifying the obstacles preventing a desired outcome and exploring potential solutions to overcome those obstacles.

The process involves three steps: (1) identify the desired end goal, (2) identify the obstacles preventing that goal, and (3) generate potential solutions to overcome those obstacles. In this case, the desired end goal is to retrieve the car keys from inside the locked car before the supervisor arrives. The obstacles preventing this goal are the locked car, the lack of access to the car's interior, and the distance to the nearest house or help. To generate potential solutions, we could explore ways to unlock or gain access to the car's interior, ways to obtain help or tools, or alternative modes of transportation.

Another problem-solving technique that could be used in this situation is brainstorming. Brainstorming is a creative problem-solving technique that involves generating a large number of ideas without evaluating them. The goal is to generate as many potential solutions as possible, even if they seem unrealistic or impractical at first. The process involves four steps: (1) define the problem, (2) generate as many ideas as possible, (3) group similar ideas together, and (4) evaluate and refine the ideas to select the best solution. In this case, we could define the problem as being locked out of the car with the supervisor due to arrive soon. We could then generate a list of potential solutions, such as calling a locksmith, breaking a window, using a coat hanger or wire to try and unlock the car, asking for help from passing cars, walking to the nearest house or gas station, or using alternative transportation to get to the airport. Once we have a list of potential solutions, we can group similar ideas together and evaluate the feasibility and practicality of each option to select the best course of action.

For more questions like Business visit the link below:

https://brainly.com/question/14958262

#SPJ11

What kinds of resources will a green design company choose?
O Resources that are sustainable and that won't negatively impact people socially or economically.
O Resources that are sustainable for 10 years.
O Resources that are hard to find that won't negatively impact people socially or economically.
O None of them.
O Resources that are rarely used and therefore will make the company more profit.

Answers

Answer: A green design company will choose resources that are sustainable and that won't negatively impact people socially or economically.

Explanation:
A green design company will most likely choose resources that are sustainable and won't negatively impact people socially or economically. This means that they will prioritize materials and resources that are eco-friendly, renewable, and non-toxic.

A green design company may also prioritize resources that have a long lifespan, as this reduces waste and minimizes the need for replacement.

It is unlikely that a green design company would choose resources that are hard to find or rarely used, as this could make their products and services more expensive and less accessible.

On january​ 1, 2024,​ sanderson, inc. acquired a machine for $1,170,000. the estimated useful life of the asset is five years. residual value at the end of five years is estimated to be $1076,000. what is the book value of the machine at the end of 2025 if the company uses the straightline method of​ depreciation?

Answers

Sanderson, Inc. acquired a machine for $1,170,000 on January 1, 2024, with a useful life of five years and an estimated residual value of $1,076,000. Using the straight-line method of depreciation, the book value of the machine at the end of 2025 will be $1,132,400.

To determine the book value of the machine at the end of 2025 using the straight-line method

Determine the depreciable cost of the machine. This is the original cost of the asset minus the estimated residual value. In this case:

$1,170,000 - $1,076,000 = $94,000

Determine the annual depreciation expense. This is the depreciable cost divided by the estimated useful life of the asset. In this case:

$94,000 ÷ 5 years = $18,800 per year

Determine the accumulated depreciation at the end of 2025. Since the asset was acquired on January 1, 2024, the asset would have been depreciated for two full years (2024 and 2025).

$18,800 x 2 years = $37,600

Calculate the book value of the machine at the end of 2025. This is the original cost of the asset minus the accumulated depreciation.

$1,170,000 - $37,600 = $1,132,400

Therefore, the book value of the machine at the end of 2025 using the straight-line method is $1,132,400.

To know more about straightline method:

https://brainly.com/question/11974283

#SPJ4

how is a legal monopoly different from a natural monopoly? group of answer choices in a legal monopoly, the federal trade commission has paid a firm to be the only producer of a product in a given area. a legal monopoly applies to government-run institutions, whereas a natural monopoly applies to all other resources in a legal monopoly, the monopolist has purchased the necessary certificate from the local government that allows the formation of a monopoly. in a legal monopoly, barriers to entry are created by the government.

Answers

In contrast to a natural a monopoly, Iegal monopoly places restrictions on entrance through the use of laws or rules, whereas a natural monopoly does not.

What distinguishes a natural monopoly from a legal monopoly?

Government engagement is one way that a natural monopoly differs from a legal monopoly. Governments impose legal monopolies, whereas natural monopolies arise when manufacturing costs in a certain sector are too high for potential competitors to participate.

What does the word "monopoly" mean legally?

A legal monopoly is what? A business that enjoys legal protection from rivals is referred to as a statutory monopoly. In other terms, a business with a legal monopoly is one that is  government mandate to operate as a monopoly.

To know more about monopoly visit:-

https://brainly.com/question/29765560

#SPJ1

you are trying to evaluate expansion plans for heb that will be financed with no debt. for this project the discount rate is 9%. your cash flows will be $1 m, $3 m, and $4 m for the first 3 years and grow at 3% from then on. if this expansion costs $50 m, what is the npv?

Answers

The NPV of the expansion plan is $23.191 million.

How to calculate the NPV

Year 1 cash flow = $1 million

Year 2 cash flow = $3 million

Year 3 cash flow = $4 million

Discount rate = 9%

PV of Year 1 cash flow = $1 million / (1 + 0.09)^1 = $0.917 million

PV of Year 2 cash flow = $3 million / (1 + 0.09)^2 = $2.388 million

PV of Year 3 cash flow = $4 million / (1 + 0.09)^3 = $3.219 million

Now, we need to calculate the present value of the cash flows from year 4 onwards. We can use the perpetuity formula, which is:

PV = Cash flow / (Discount rate - Growth rate)

Where: Cash flow = $4 million (which is the cash flow in year 3)

Discount rate = 9%

Growth rate = 3%

PV of cash flows from year 4 onwards = $4 million / (0.09 - 0.03) = $66.667 million

Finally, we can calculate the NPV by adding up the present values of all the cash flows and subtracting the initial investment of $50 million:

NPV = PV of Year 1 cash flow + PV of Year 2 cash flow + PV of Year 3 cash flow + PV of cash flows from year 4 onwards - Initial investment

NPV = $0.917 million + $2.388 million + $3.219 million + $66.667 million - $50 million

NPV = $23.191 million

Therefore, the NPV of the expansion plan is $23.191 million. Since the NPV is positive, this investment would be considered acceptable as it generates value for the company.

Learn more about NPV on

https://brainly.com/question/30116984

#SPJ1

Sammy owns a landscape development company. the majority of his clients want to upgrade their yards. they are normally young, married and have moderate incomes. what kind of social media platform would be best for promoting his latest landscaping projects to more people like his current clients

Answers

Based on the demographic of Sammy's current clients, a social media platform like social media would be the best choice for promoting his latest landscaping projects to more people like his current clients.

social media  is a widely used platform that has a broad range of users, including many young adults and families with moderate incomes. This platform is ideal for sharing pictures and descriptions of landscape projects and communicating with potential clients through messaging and comments.

social media is a visually-driven social media platform that can also be effective for promoting landscape design projects. It has a younger user base, including many young adults and families, making it an ideal platform for reaching Sammy's target demographic

Learn more about demographic

https://brainly.com/question/13146758

#SPJ4

Reducing differences and tolerating differences are two strategies that are generally used to resolve functional conflicts.
True
False

Answers

The given statement, "Reducing differences and tolerating differences are  strategies that are generally used to resolve functional conflicts." is false because Functional conflicts refer to conflicts that arise due to differences in opinions, viewpoints, or perspectives related to work tasks and goals.

In general, there are three main strategies for resolving functional conflicts: problem-solving, compromise, and collaboration. Reducing differences and tolerating differences are not effective strategies for resolving functional conflicts because they do not address the underlying issues that are causing the conflict.

Problem-solving involves finding a solution that meets the needs and interests of both parties. Compromise involves both parties giving up something in order to reach a mutually acceptable solution. Collaboration involves working together to create a solution that meets the needs and interests of both parties.

To know more about functional conflicts, click here.

https://brainly.com/question/8191208

#SPJ4

The Hudson family has a very successful family clothing shop. They believe that there is a great deal of growth opportunity and plan to eventually expand. After meeting with their lawyers and accountants, they realize they need to change their business structure to either a C or S corporation or a limited-liability company. They understand that both have limited personal liability.

Using the information in your text regarding the advantages and disadvantages of each, make a recommendation as to which you would recommend to the Hudson's. Provide at least three reasons for your recommendation and be prepared to defend your point of view.

We recommend that the Hudson's form a _____________________________.

a. C corporation

b. S corporation

c. Limited-liability company

The rationale for our recommendation is as follows:

1.

2.

3

Answers

Based on the information given, we would recommend that the Hudson's form a limited-liability company (LLC).

Here are three reasons to support our recommendation:

1. Flexibility: LLCs offer a great deal of flexibility in terms of management and taxation. Unlike corporations, LLCs can choose to be taxed as a partnership or a corporation, depending on what is most advantageous for their business. Additionally, LLCs have fewer requirements for management and record-keeping, making them a more attractive option for small businesses like the Hudson's.

2. Limited Liability: Like corporations, LLCs offer limited liability protection, which means that the owners' personal assets are protected from business debts and liabilities. This is an important consideration for any business owner, as it reduces the risk of financial ruin in the event of a lawsuit or other adverse event.

3. Pass-Through Taxation: LLCs offer pass-through taxation, which means that the business's profits and losses are passed through to the owners' personal tax returns. This can be advantageous for small businesses, as it can reduce the administrative burden and tax liability associated with corporate taxation.

While both C and S corporations also offer limited liability protection, they are subject to more stringent regulations and requirements than LLCs. For example, corporations are required to hold annual meetings and keep detailed records, which can be burdensome for small businesses. Additionally, corporations are subject to double taxation, meaning that profits are taxed at both the corporate and individual level.

In summary, we recommend that the Hudson's form an LLC due to its flexibility, limited liability protection, and pass-through taxation. However, it's important to note that every business is unique, and the best choice of business structure will depend on a variety of factors. It's always a good idea to consult with a lawyer or accountant before making any major business decisions.

A company is purchasing new computers for its new office. the expression below represents the total cost of the computers, including an installation charge for all the computers. the constant of the expression represents the , and the coefficient of x represents the .

Answers

The constant b represents the fixed cost of installation, while the coefficient m represents the cost per computer, which varies depending on the type and brand of computers being purchased.

The expression that represents the total cost of the computers, including installation charge, is given by:

C = mx + b

where C is the total cost, x is the number of computers being purchased, m is the coefficient representing the cost per computer, and b is the constant representing the installation charge.

The constant b is the fixed cost that the company has to pay for the installation of all the computers, regardless of how many computers are being purchased. The coefficient m, on the other hand, represents the cost per computer, which varies depending on the type and brand of the computers being purchased.

For example, if the installation charge is $500 and the cost per computer is $1000, the expression for the total cost would be:

C = 1000x + 500

Therefore, for every computer purchased, the cost would increase by $1000, and there would be an additional fixed cost of $500 for installation.

For more about coefficient:

https://brainly.com/question/28975079

#SPJ11

ou purchased one silver future contract at $2 per ounce. what would be your profit (loss) at maturity if the silver spot price at that time is $3.50 per ounce? assume the contract size is 5,000 ounces and there are no transactions costs.

Answers

If you purchased one silver futures contract at $2 per ounce and the silver spot price at maturity is $3.50 per ounce, your profit would be $7,500.

If you purchased one silver future contract at $2 per ounce, and the silver spot price at maturity is $3.50 per ounce, your profit would be:

Profit per ounce = Spot price - Futures price

Profit per ounce = $3.50 - $2 = $1.50

Profit for 1 contract (5,000 ounces) = Profit per ounce * Contract size

Profit for 1 contract = $1.50 * 5,000 = $7,500

This is calculated by taking the difference between the contract price and the spot price, which is $1.50 per ounce.

Multiply that by the contract size of 5,000 ounces, and you get a profit of $7,500. Futures contracts allow traders to profit from price movements without actually taking physical delivery of the underlying commodity. In this case, you would have made a profit by buying the futures contract at a lower price and selling it at a higher price, without ever having to handle the physical silver.

Learn more about silver future contract

https://brainly.com/question/17193350

#SPJ4

The U. S. Commercial Service prepares reports known as the Country Commercial Guide for countries of interest to U. S. Investors. Utilize the Country Commercial Guide for Russia to gather information on this country’s energy and mining industry. Considering that your company has plans to enter Russia in the foreseeable future, select the most appropriate entry method. Be sure to support your decision with the information collected

Answers

Based on the information gathered from the Country Commercial Guide for Russia, a joint venture is the most appropriate entry method for your company to consider as it plans to enter the country's energy and mining industry.

Based on the Country Commercial Guide for Russia, the energy and mining industry in this country presents various opportunities for U.S. investors. To select the most appropriate entry method for your company's plans to enter Russia in the foreseeable future, I would recommend a joint venture with a local partner.

A joint venture is the most appropriate entry method for the following reasons:

1. Regulatory environment: Russia has complex regulations in the energy and mining sector, and partnering with a local firm will help navigate these rules more effectively.

2. Access to local resources: A local partner can provide access to resources such as skilled labor, technology, and raw materials, which can contribute to the success of your company's operations in Russia.

3. Risk mitigation: By partnering with a local company, your company can share risks and liabilities, reducing the potential negative impact of entering a new market.

4. Cultural understanding: A local partner will have a deep understanding of the Russian business culture, helping your company adapt and avoid potential pitfalls.

5. Market access: Partnering with a well-established local company can provide access to existing distribution channels and customers, facilitating market entry.

In conclusion, utilizing the Country Commercial Guide for Russia to gather information on the energy and mining industry, a joint venture with a local partner would be the most appropriate entry method for your company's plans to enter Russia.

This strategy takes into account the regulatory environment, access to local resources, risk mitigation, cultural understanding, and market access, which will support your decision and contribute to the success of your company's expansion into the Russian market.

To know more about joint venture refer here:

https://brainly.com/question/30154434#

#SPJ11

A senior is manager implements a vendor-managed inventory system that reduces both the administrative costs of managing inventory and inventory holding costs. what business strategy does this represent

Answers

This represents cost leadership business strategy. The right answer is b.

The phrase "cost leadership" is used when a business positions itself as the industry's lowest-cost producer or supplier of a specific good or service. Since the management has to constantly strive to reduce costs at all levels to remain competitive, implementing the strategy is challenging. One aspect of marketing strategy is cost leadership.

Cost leadership does not imply that a business produces things of lower quality at relatively lower costs. To use this method, a business must manufacture goods that are of acceptable quality, particular to a group of customers, and offered at a price that is significantly less than or on par with that of other businesses that provide the same product.

The correct answer is option b.

Know more about cost leadership here

https://brainly.com/question/19538773

#SPJ4

The question seems incomplete. The complete question is:

A senior IS manager implements a vendor-managed inventory system that reduces both the administrative costs of managing inventory and inventory holding costs. What business strategy does this represent?

a. focus

b. cost leadership

c. high standards

d. differentiation

In a survey of 100 students the following observations were made:41 students read punch magazine,29 students read time magazines,26 students read ovation magazine,15 students read punch and time magazines,8 students read time and ovation magazines,19 students read punch and ovation magazines and 5 students read all the three magazines. find the number of students among the 100 that did not read any of the three magazines. how many read one of the three magazines​

Answers

Among 100 students, 41 of them did nit read either of the three magazines and 22 are the ones who read one out of the three magazines.

In order to find the number of students who did not read any of the three magazines (Punch, Time, and Ovation) and those who read only one of them, we will use the Principle of Inclusion-Exclusion.

Step 1: Add the number of students who read each magazine individually.
P(Punch) = 41, P(Time) = 29, P(Ovation) = 26

Step 2: Subtract the number of students who read two magazines.
P(Punch and Time) = 15, P(Time and Ovation) = 8, P(Punch and Ovation) = 19

Step 3: Add back the number of students who read all three magazines.
P(Punch, Time, and Ovation) = 5

Step 4: Apply the Principle of Inclusion-Exclusion.
P(At least one magazine) = P(Punch) + P(Time) + P(Ovation) - P(Punch and Time) - P(Time and Ovation) - P(Punch and Ovation) + P(Punch, Time, and Ovation)
= 41 + 29 + 26 - 15 - 8 - 19 + 5
= 59

Step 5: Calculate the number of students who did not read any magazine.
Total students = 100
Students who did not read any magazine = Total students - Students who read at least one magazine
= 100 - 59
= 41

Step 6: Calculate the number of students who read only one of the magazines.
Students who read only one magazine = Students who read at least one magazine - Students who read two magazines + Students who read all three magazines
= 59 - (15 + 8 + 19) + 5
= 59 - 42 + 5
= 22

So, among the 100 students, 41 did not read any of the three magazines, and 22 students read only one of the three magazines.

To know more about Principle of Inclusion-Exclusion, visit https://brainly.com/question/30995367

#SPJ11

The stock price of Alps Co. Is $67. Investors require a return of 10. 5 percent on similar stocks. If the company plans to pay a dividend of $4. 25 next year, what growth rate is expected for the company’s stock price? (Do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e. G. , 32. 16. )

Answers

By using  Dividend Discount Model (DDM) formula, the expected growth rate for Alps Co.'s stock price is -4.16%.

To find the expected growth rate for Alps Co.'s stock price, we will use the Dividend Discount Model (DDM) formula. The DDM formula is:

Stock Price = (Dividend per share) / (Required Rate of Return - Growth Rate)

We have the following information for Alps Co.:

- Stock Price: $67
- Required Rate of Return: 10.5% (0.105)
- Dividend per share (next year): $4.25

Now, we can rearrange the DDM formula to solve for the growth rate (g):

Growth Rate = (Dividend per share / Stock Price) - Required Rate of Return

Plugging in the given values:

Growth Rate = ($4.25 / $67) - 0.105

Growth Rate = 0.0634 - 0.105

Growth Rate = -0.0416

To express the growth rate as a percentage rounded to two decimal places:

Growth Rate = -4.16%

So, the expected growth rate for Alps Co.'s stock price is -4.16%.

To know more about Dividend Discount Model, refer here:

https://brainly.com/question/31603195#

#SPJ11

jason is a sales associate who recently quit his job. in his exit interview, he stated that the reason he decided to leave was because sales training was promised as an integral part of marketing training, yet it never materialized. what happened? group of answer choices

Answers

Option d is correct. The reason he decided to leave was because sales training was lack of resources, changes in priorities, or poor communication.

It appears that the business failed to fulfill its commitment to offer sales training as a crucial component of marketing training. It's likely that the business made exaggerated promises in an effort to get Jason to the role but weren't genuinely equipped to keep their word.

Alternately, it's possible that there was a failure in the training process or a miscommunication that caused the sales training to be omitted. Whatever the reasons, it is obvious that Jason felt disappointed and finally made the decision to leave the organization.

This emphasizes how crucial it is to preserve employee satisfaction and retention by setting reasonable expectations and keeping your word.

Learn more about Sales

https://brainly.com/question/29857652

#SPJ4

Complete question

Jason is a sales associate who recently quit his job. in his exit interview, he stated that the reason he decided to leave was because sales training was promised as an integral part of marketing training, yet it never materialized. what happened?

a. Lack of resources

b. Changes in priorities

c. Poor communication

d. All of the above

why do managers need to use accounting information?

Answers

Accounting information is a method or technique of recording or tracking all the business related transactions of the company. It is very useful for the shareholders, workers, moneylenders and workers, etc.

The managers need to use this accounting information because of the following reasons-

Accounting information helps the managers in making financial planning decisions. It helps to forecast the future income and expenses of the organization.The accounting information helps the managers in decision making. Without accounting information, the manager will not be able to take accurate decision related to investment in the organization.The accounting information is also necessary for the financial health of the organization. It helps to know the budgetary details of the company that is how much is earned from the products and services.

To learn more about accounting,

https://brainly.com/question/22917325

Managers require accounting information for many things which are very crucial from the point of view of business. Some of them are listed below-

1. Financial Planning: Financial planning includes the preparation of a budget which is made to anticipate future incomes and expenses of the company. Hence, managers need accounting information that can be useful in preparing budgets and forecasts.

2. Decision-Making: The managers rely on accounting information for decision-making. Without reliable accounting information, the managers cannot accurately estimate the cost which can affect the decision-making ability of the managers. For example- the decision to invest in a project.

3. Monitoring financial health: The managers also need accounting information for overseeing the financial health of the business. Example- Monthly sales detailing the sales revenue earned from different products and services.

For more information:

brainly.com/questio/31890684

Other Questions
1 An inexperienced accountant for Zoeng Company, Ltd. Made the following errorsin recording merchandising transactions. 1. A HK$1,750 refund to a customer for faulty merchandise was debited to Sales RevenueHK$1,750 and credited to Cash HK$1,750. 2. A HK$1,400 credit purchase of supplies was debited to Inventory HK$1,400 and credited to Cash HK$1,400. 3. A HK$2,150 sales discount was debited to Sales Revenue. 4. A cash payment of HK$200 for freight on merchandise purchases was debited toFreight-Out HK$2,000 and credited to Cash HK$2,000 Pls help me with this- Express (x+5)^2(x+5) 2 as a trinomial in standard form The figure below is made up of 1 centimeters cubes, What is the volume of the figure? Adding cookie dough ice cream and hot fudge to the menu next month will cost 42 dollars if your total sales remain the same would you make a profit if so how much Please help!! Which two points would a line of fit go through to best fit the data? (3, 6) and (7, 3) (3, 7) and (9, 1) (1, 9) and (5, 7) (1, 7) and (2, 5) Explain the meaning of the library scene regarding owl eyes and the books. Wouldn't be 29 and 1/1.5? becaus ethen it would be 60 + 27 + 2 Why do young people who want to be actors often end up waiting tables or doing temp work rather than acting professionally full time? a. many young actors feel that waiting tables will help improve their acting skills. b. taking temporary office jobs is a good way to be discovered as a young actor. c. there are many more people who want to be actors than there is full time paid acting work available. d. most young actors who wait tables want to own a restaurant. What is your opinion of "hazing" in high school sports? Where should the line be drawn? Summarize your answer. A mathematics professor gives two different tests to two sections of his college algebra courses. The first class has a mean of 56 with a standard deviation of 9 while the second class has a mean of 75 with a standard deviation of 15. A student from the first class scores a 62 on the test while a student from the second class scores an 83 on the test. Compare the scores. Which student performs better The owner of a sports complex wants to carpet a hallway connecting two buildings. The carpet costs $2. 50 per square foot. How much does it cost to carpet the hallway? bellinger industries is considering two projects for inclusion in its capital budget, and you have been asked to do the analysis. both projects' after-tax cash flows are shown on the time line below. depreciation, salvage values, net operating working capital requirements, and tax effects are all included in these cash flows. both projects have 4-year lives, and they have risk characteristics similar to the firm's average project. bellinger's wacc is 10%. 0 1 2 3 4 project a -950 700 445 230 280 project b -950 300 380 380 730 what is project a's payback? round your answer to four decimal places. do not round intermediate calculations. years what is project a's discounted payback? round your answer to four decimal places. do not round intermediate calculations. years what is project b's payback? round your answer to four decimal places. do not round intermediate calculations. years what is project b's discounted payback? round your answer to four decimal places. do not round intermediate calculations. years Fill in the blank with the correct word.Pamela has three computers, all of are very old,O themO thatO these which What is the particular solution to the differential equation dy/dx = 2x/y with the initial condition y (5) = 4? Let's use Priya as an example again. The number of hairs per square cm varies from person to person, but Priya has approximately 150 hairs per square cm. She measures the diameter of her scalp from front to back and ear to ear and she finds that it is about 28cm in both directions. Her head is round so that makes her think that she could use the area of a circle to estimate how many total hairs she has on her head. a. What is the area of Priya's scalp? cm2b. About how many strands of hair are on Priya's head? strands of hair Please help!1. if you were going to hire an accountant, why might you choose to hire a cpa?2. if you were a cpa, why might you choose to join a professional association like the aicpa? Can anyone solve this question PLEASE hurry 11. The angle of elevation to the top of a building is found to be 18 degrees from the ground at a distance of 510 feet from the base of the building. Using this information, find the height of the building to the nearest whole number. PLEASE HELP IM BEGGINGthe net of the triangular prism and its appropriate dimensions are shown in the diagram which measurement is the closest to the total surface area of the triangular prism in square inches