His other sources of income during the year are a salary of $125,000 and $20,900 of long-term capital gains.Answer:Anwer can deduct $0 of the rental loss if he has no sources of passive income.
Why?As per the passive activity loss rules, rental losses can only offset passive income, which includes profits from rental properties as well as other types of income like royalties, limited partnerships, and other types of investments.The rental loss is a passive activity loss because he has not materially participated in the rental property's operation for more than 500 hours during the year.
The passive activity loss can be deducted from passive income and, if any, then from the income earned from other sources.Anwer has no passive income; thus, he cannot deduct the rental loss in the current year. He can, however, carry forward the rental loss to future tax years, deducting them from any future passive income in those years.
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11. Write the slope-intercept equation of a line through point (2, 5). The new line is to be parallel
to the line 9x - 3y = -6.
The slope-intercept equation of the new line through point (2, 5) is y = 3x - 1.
To find the equation of a line parallel to 9x - 3y = -6, we need to first rearrange the equation into slope-intercept form:
9x - 3y = -6
-3y = -9x - 6
y = 3x + 2
So the slope of this line is 3.
Since the new line is parallel, it will have the same slope.
Using the point-slope form of the equation of a line:
y - y1 = m(x - x1)
where (x1, y1) is the given point, (2, 5), and m is the slope, 3:
y - 5 = 3(x - 2)
y - 5 = 3x - 6
y = 3x - 1
Therefore, the slope-intercept equation is y = 3x - 1.
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a government plans to implement a $1 tax in one of two markets: the first market has elastic supply and demand curves and the second market has inelastic supply and demand curves. if the government's aim is to raise the most revenue with the smallest deadweight loss, where should the tax be placed?
The tax should be placed in the market with inelastic supply and demand curves, as this would raise the most revenue with the smallest deadweight loss.
In a market with inelastic supply and demand, demand is less responsive to changes in price. This means that, when the government places a $1 tax, the price of the product will increase and consumers will still purchase the product.
This will result in the most revenue for the government, as the price increase will be higher than in a market with elastic supply and demand.
The deadweight loss will also be smaller in a market with inelastic supply and demand, as consumers will still purchase the product despite the price increase.
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1. What are the elements that you will consider while conducting
STEEP analysis for a pharmaceutical company?
The elements that you will consider while conducting STEEP analysis for a pharmaceutical company are social, Economic, political and environmental factors.
The elements that you will consider while conducting STEEP analysis for a pharmaceutical company are:
Social Factors: This includes the cultural and demographic aspects of the society in which the pharmaceutical company operates. Factors such as health awareness, population growth, and age distribution can have a significant impact on the demand for pharmaceutical products.Technological Factors: This includes the impact of technological advancements on the pharmaceutical industry. Factors such as the development of new drugs, medical devices, and healthcare technologies can affect the competitive landscape of the industry.Economic Factors: This includes the macroeconomic conditions that can affect the pharmaceutical industry. Factors such as economic growth, inflation, and exchange rates can have an impact on the profitability of the company.Environmental Factors: This includes the impact of environmental regulations on the pharmaceutical industry. Factors such as waste disposal, pollution, and climate change can affect the company's operations and reputation.Political Factors: This includes the impact of government policies and regulations on the pharmaceutical industry. Factors such as healthcare policies, drug pricing, and patent laws can affect the company's operations and profitability
By considering these factors, a pharmaceutical company can conduct a comprehensive STEEP analysis and make informed strategic decisions.
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ACME Incorporated has a $3.1 million dollar, 9% loan, annual interest payments, with BMO maturing on December 31, 2025. Due to decrease revenues caused by the pandemic, the company is experiencing solvency and cash flow issues that have negatively impacted the its ability to make its interest and principal payments. ACME's year end is December 31, and the company reports under IFRS. On January 01, 2021, the bank agreed to reduce the interest rate to 7.5% and extend the maturity date to 2028 (The current market rate is 8%). Required: Round interim calculations to four decimals and final answers to the nearest dollar. 1. Conclude on the appropriate accounting treatment and show calculations to support your conclusion. (5 marks) 2. Prepare the required entry on January 01, 2021 (if any). (2 marks) 3. Prepare the required entry on December 31, 2021 (if any). (3marks)
The appropriate accounting treatment for this situation is debt modification accounting.
This accounting treatment should be used when there is a modification or exchange of debt that results in a concession from the creditor. Under this accounting treatment, the original loan is derecognized and a new loan is recognized at the modified terms.
Calculation for the Carrying Amount of the Loan on January 1, 2021:
Carrying Amount of Loan on December 31, 2020 = $3,100,00
Interest Payments from December 31, 2020 to January 1, 2021 = $38,666.6
Carrying Amount of Loan on January 1, 2021 = $3,100,000 - $38,666.67 = $3,061,333.33
Question 2:
The entry on January 1, 2021 would be as follows:
Debt Modification Expense 38,666.67
Interest Receivable 38,666.67
Question 3:
The entry on December 31, 2021 would be as follows:
Interest Expense (7.5% of 3,061,333.33) 229,595.00
Interest Payable 229,595.00
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What advice would you give the partners for one's unforeseen death when the articles of partnership are prepared?
In the event of an unforeseen death, there are some steps partners should take to prepare for the possibility, one of them is to incorporate provisions for this scenario into the Articles of Partnership.
The Articles of Partnership should specify what happens if a partner dies. It may include a buyout clause, a method for determining the deceased partner's share of the company, or a method for distributing the company's assets. In order to make sure that the articles of partnership are updated for the event of unforeseen death, the partners should consult with their attorneys to ensure that all necessary provisions are in place. They should also ensure that their insurance policies cover them in case of a partner's death, as this can provide an additional layer of protection.
If one of the partners dies, the remaining partners should immediately meet to discuss how to proceed. This could include bringing on a new partner, restructuring the company, or dissolving it entirely. In any case, the partners should seek the advice of a qualified legal professional to ensure that they are taking the appropriate steps to protect their interests.
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Tim and Autumn Davis are trying to figure out their current financial health. They will pay off their car loan in three years, their gross household income is $5,700 per month, and they receive $95 per month in interest income from their investments. They have listed the following items from their most recent statements. They have approximately $48,000 of expenses every year.
Savings account: $3,200
Checking account: $1,800
Credit card balance: $3,000
Car loan balance: $18,000
Car market value: $15,000
Furniture market value: $4,000
Stocks and bonds: $15,000
1) What is their current net worth?
A) $21,000
B) $39,000
C) $18,000
D) -$21,000
2) Assuming that they have no current bills other than those that are listed, what is their current ratio?
A) 0.79 times
B) 1.67 times
C) 2 times
Please answer all four questions thank you!
D) Not enough information available
3) What is their debt ratio?
A) 123 times
B) 3 times
C) 1.23 times
D) 0.54 times
4) What is their approximate month's living expenses covered ratio?
A) 2.50 months
B) 1.25 months
C) 0.50 months
D) 3.50 months
E) Not enough information to answer this question
1) The current net worth of Tim and Autumn Davis C) $18,000
2) The current ratio is B) 1.67 times
3) The debt ratio is D) 0.54 times
4) The approximate month's living expenses covered ratio B) 1.25 months.
1) The current net worth of Tim and Autumn Davis can be calculated by subtracting their total liabilities from their total assets. Their total assets include their savings account, checking account, car market value, furniture market value, and stocks and bonds. Their total liabilities include their credit card balance and car loan balance.
Total assets = $3,200 + $1,800 + $15,000 + $4,000 + $15,000 = $39,000
Total liabilities = $3,000 + $18,000 = $21,000
Net worth = Total assets - Total liabilities = $39,000 - $21,000 = $18,000
Therefore, the correct answer is C) $18,000.
2) The current ratio is calculated by dividing their current assets by their current liabilities. In this case, their current assets include their savings account and checking account, and their current liabilities include their credit card balance.
Current assets = $3,200 + $1,800 = $5,000
Current liabilities = $3,000
Current ratio = Current assets / Current liabilities = $5,000 / $3,000 = 1.67 times
Therefore, the correct answer is B) 1.67 times.
3) The debt ratio is calculated by dividing their total liabilities by their total assets.
Debt ratio = Total liabilities / Total assets = $21,000 / $39,000 = 0.54 times
Therefore, the correct answer is D) 0.54 times.
4) The month's living expenses covered ratio is calculated by dividing their liquid assets by their monthly expenses. In this case, their liquid assets include their savings account and checking account, and their monthly expenses can be calculated by dividing their annual expenses by 12.
Liquid assets = $3,200 + $1,800 = $5,000
Monthly expenses = $48,000 / 12 = $4,000
Month's living expenses covered ratio = Liquid assets / Monthly expenses = $5,000 / $4,000 = 1.25 months
Therefore, the correct answer is B) 1.25 months.
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Exercise 16-1 (Algo) Temporary difference; taxable income given; financial statement effects [LO16-1, 16-2, 16-8]
Alvis Corporation reports pretax accounting income of $540,000, but due to a single temporary difference, taxable income is only $355,000. At the beginning of the year, no temporary differences existed.
Required:
Assuming a tax rate of 25%, what will be Alvis’s net income?
What will Alvis report in the balance sheet pertaining to income taxes?
The deferred tax liability that Alvis will show on its balance sheet is $46,250. Under the current liabilities column, the sum of $88,750 will also be included as income tax due.
Why do transitory discrepancies between financial income before taxes and taxable income occur?
When the tax base and the carrying value of assets and liabilities mismatch, temporary disparities result. Differences between the tax and financial reporting of revenue or expense items are known as permanent discrepancies since they cannot be changed in the future.
What will Alvis's net income be at a 25% tax rate?
Tax rate * (Pretax accounting income - Taxable income) = Deferred tax liability.
Liability for deferred taxes = (540,000 - 355,000) * 25%
Deferred tax obligation equals 185,000 * 0.25.
Liability for deferred taxes is $46,250.
Taxable + Payable income tax earnings * tax rate
Taxable income = 355,000 * 25%
355,000 * 0.25 is the amount of income tax due.
Taxes due on income = $88,750
Deferred tax liability plus income tax payable equals income tax expense.
Tax expense equals 46,250 plus 88,750
tax bill equals $135,000
Pretax accounting income minus income tax expense equals net income.
540,000 - 135,000 is the net income.
$405,000 is the net income.
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for which of the situations below would a price skimming strategy be the most appropriate? an airline is trying to sell as many tickets as possible and also maximize its profits the company lg is launching a tv with a unique rollable screen a new brand is launched in a mature food product category. a retailer is trying to increase its profit margins. lindt chocolate is launching a line extension in the form of a few new flavors of their chocolate bars
Out of the given situations, the most appropriate scenario for a price skimming strategy would be when the company LG is launching a TV with a unique rollable screen.
The price skimming strategy is a business practice of establishing a high cost for a new product on the market before ultimately lowering the price to attract a wider range of customers. The price skimming strategy is appropriate for firms that produce new and distinctive products or goods and services. A company often implements a price skimming strategy because it expects to sell a high number of products to clients who are eager to acquire them at any cost. Also, a price skimming strategy aids in the generation of large profits for the company.Usually, price skimming strategies are used in the context of innovative and advanced products to maximize profits by selling to the most enthusiastic customers first. Given this explanation, it can be determined that the company LG is launching a TV with a unique rollable screen that qualifies for the most appropriate scenario for a price skimming strategy as it is a new and unique product.Profit margin is the amount of income obtained by a company on each sale after deducting costs. Profit margins are usually displayed as a percentage of the total revenue received by a company from the sale of a product. A profit margin is used to determine the amount of net income generated by a company from each dollar of revenue it earns. A retailer trying to increase its profit margins and a company launching a line extension in the form of a few new flavors of their chocolate bars could make use of a different pricing strategy rather than a price skimming strategy as it may not be as effective for them.Therefore, the second option is correct.Learn more about retailer: https://brainly.com/question/25376778
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The tigure illustrates the domand tor calculators in Canada and the supply of calculators by Canadian producers. The world pricc Pnce (dollars per calculator) of a calculator is $10 Suppose the government imposes $1 00 tariff on each imported calculator Calculate the change in producer surplus and consumer surplus, the amount of taritt revenue, and the deadweight loss >>> Renember that the quantity given on the x-axis is in thousands of cakulalors. The producer surplus The taritt revenue collectod by the Canadian government is S The consuier surplus ▼| by $ 12 Wond price 10 vorld Con 40:50 90:100 0 20 40 0 100 120 140 Quantity (thousands of calculators per year)
Sadly, I am unable to view the figure you stated in your query Demand however, give a broad explanation of how to figure out how much a government would tax an imported commodity in order to determine the
Demand is a key idea in economics that describes how much of a good or service people are willing and able to buy over a certain period of time for a particular price. It illustrates the connection between the cost of a commodity or service and the quantity that buyers are willing to purchase. According to the law of demand, customers will desire fewer goods or services when a product's price rises, ceteris paribus. A demand curve with a declining slope can be used to visually represent this connection. The cost of the commodity or service, consumer income, customer tastes and preferences, the availability of rival goods or services, and changes in consumer expectations are all factors that
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Panda Express is as diverse as America: the restaurant chain's majority-Hispanic workforce, led by a Chinese-American management team, sells American-style Chinese food in more than 2,000 restaurants. And management wants everyone to speak English, the language of most of the restaurants customers. The company's founders, Andrew and Peggy Cherng, were immigrants who (despite Mrs. Cherng's advanced engineering degree) had difficulty landing professional jobs but identified great financial potential in launching a restaurant business. Today they see their role as enabling a brighter future for their employees. Therefore, they see the language differences as an opportunity for their people to develop To provide that opportunity, Panda turned to Rosetta Stone, a pioneer in online language instruction. Rosetta Stone recently released a product called Rosetta Stone Catalyst to provide instruction in business communication in 24 languages. Unlike most language-teaching software, Catalyst provides lessons customized for particular companies and employees. If an employee needs to learn to speak about an industry or about a function such as sales, it teaches the way the language is spoken about those topics in a business context. Also, the user starts out with a test of his or her existing skills, and the instruction begins at the level of knowledge the learner already possesses. Finally, Catalyst delivers progress reports to training managers, so they can see how well each employee is acquiring the necessary skills. At Panda, the company pays for the language course, and employees sign up through their personal e-mail accounts, using their own computer or mobile device. They learn the lessons on their time off work, whenever and wherever it convenient. Alvin Tang, Panda's learning and development coordinator, says employees have responded favorably, viewing the program as an opportunity to gain valuable skills. Kevin Kwan, Panda's technology manager, learning and development, sees Catalyst achieving the company's goal to foster the personal development of its employees. Kwan says offering Catalyst shows employees that the company "care[s] about their growth." It removes language differences as an obstacle to success at work and enables employees to achieve "greater things at our store and also in their lives." skills, and the instruction begins at the level of knowledge the learner already possesses. Finally, Catalyst delivers progress reports to training managers, so they can see how well each employee is acquiring the necessary skills. At Panda, the company pays for the language course, and employees sign up through their personal e-mail accounts, using their own computer or mobile device. They learn the lessons on their time off work, whenever and wherever it is convenient. Alvin Tang, Panda's learning and development coordinator, says employees have responded favorably, viewing the program as an opportunity to gain valuable skills. Kevin Kwan, Panda's technology manager, learning and development, sees Catalyst achieving the company's goal to foster the personal development of its employees. Kwan says offering Catalyst shows employees that the company "care[s] about their growth." It removes language differences as an obstacle to success work and enables employees to achieve "greater things at our store and also in their lives." title: Helping Panda Express Workers Communicate:
question: please explain thank you
1) What business reasons might support Panda Express’s practice of hiring many workers whose first language is not English?
2) What advantage do you think Panda Express gain from offering English-language instruction as an employee benefit?
1) One business reason that might support Panda Express's practice of hiring many workers whose first language is not English is the ability to tap into a larger labor pool.
2) Panda Express may gain several advantages from offering English-language instruction as an employee benefit.
1. By hiring workers who may not speak English as their first language, Panda Express is able to expand its potential workforce and find qualified employees who may have been overlooked by other companies.
Additionally, having a diverse workforce can also help to create a more inclusive and welcoming environment for customers, which can ultimately lead to increased customer satisfaction and loyalty.
2. First, it can help to improve communication within the company, leading to increased efficiency and productivity.
By providing employees with the language skills they need to effectively communicate with their coworkers and customers, Panda Express can create a more cohesive and effective team.
Additionally, offering English-language instruction can also help to foster a sense of personal and professional development among employees.
By providing employees with the opportunity to learn and improve their language skills, Panda Express is showing that they care about their employees' growth and development, which can lead to increased job satisfaction and loyalty.
Finally, by helping employees to improve their English-language skills, Panda Express is also helping to remove language differences as an obstacle to success, which can ultimately lead to greater success for both the company and its employees.
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Merrill Lynch : Case study Summary of Case The case profiles the financial crisis at Merrill Lynch at the end of the last decade, which was acquired by Bank of America for $50 billion. B of A received government assistance during the financial crisis from (and was covered by) TARP (the Troubled Asset Relief Program). One initial consequence of TARP coverage was that some employees, including some high-level,high-revenue generating employees began to leave larger financial institutions like Merrill Lynch/Bank of America to go to so-called "boutique" financial services firms, which had not received TARP money and thus were not covered by TARP restrictions on compensation. Another initial reaction was an increase in base pay levels and a decrease in bonus levels, apparently in response to all of the negative publicity bonuses had received and as a way to get around TARP restrictions. Students are expected to analyze the decision of Merrill Lynch to change employee compensation just to get around TARP restrictions on compensation. However, now, that some time has passed, the economy has recovered (somewhat), and the stock market has bounced back, Merrill Lynch and other financial services companies are making money again. At Merrill Lynch, there is always a lot of action and discussion around compensation strategy. Merrill introduced a plan to expand its number of financial advisors by 8 % (about 1,200 people). Where would they come from? Other firms? How would Merrill get them to move? By offering unusually high up-front signing bonuses and decentralizing authority to make such offers. Traditionally, top brokers from other firms can receive 1.5X their pay at the firm they are leaving. Merrill was not the only firm looking to add top brokers. Indeed, what was described as a "bidding war" broke out, and signing bonuses were reported to have gone as high as 3X or 4X previous pay in some cases. Why the bidding war? "Wealth management firms make the bulk of their profits on the top 10 percent of their producers" according to compensation attorney Katten Muchin. And, very wealthy clients tend to be more loyal to their advisors than to the advisors’ firms. At Merrill, there are some concerns among financial advisors. First, in the non-Merrill part of Bank of America, brokers are under a discretionary bonus system rather than an (objective) incentive system where pay is based on a formula. Merrill financial advisors fear that Bank of America wants to extend that system to cover them. Second and likely related, non-Merrill brokers at B of A are expected to cross-sell—in other words, to push products sold by other parts of the bank. The opportunities for such synergies are typically seen as a source of competitive advantage for a large, diversified financial institution such as B of A. However, cross-selling performance (and cooperation) is difficult to assess objectively. Thus, subjective evaluations are likely necessary. Merrill brokers appear to be opposed to cross-selling, both because they are concerned it could undermine their relationships with their clients and because they prefer to have their pay determined by objective measures. 3. Should Bank of America change its compensation strategy to include more subjective assessments of performance and a greater emphasis on cross-selling? What effect might this have on its success in the bidding war for top brokers? 5 Marks
Bank of America should carefully consider the potential risks and benefits of changing its compensation strategy before making any decisions.
It should prioritize building a strong culture and brand, offering a fair and transparent compensation package, and fostering long-term relationships with clients and financial advisors.
What are the responses to other questions?Bank of America may consider changing its compensation strategy to include more subjective assessments of performance and a greater emphasis on cross-selling, but it needs to weigh the potential impact of such changes on its success in the bidding war for top brokers.
Introducing more subjective assessments of performance may result in a fairer evaluation of financial advisors, as it would consider factors beyond just the numbers. It could incentivize advisors to focus more on long-term relationships with clients rather than short-term gains. Cross-selling could also increase revenue for the company and provide a competitive advantage in the market.
However, there are risks associated with these changes. Financial advisors may feel that their compensation is being unfairly influenced by subjective evaluations, leading to a loss of trust and motivation. This could lead to increased turnover and difficulty in attracting and retaining top talent. Furthermore, emphasizing cross-selling may alienate clients and erode their trust in the firm, ultimately leading to a decline in revenue.
In the bidding war for top brokers, Bank of America may need to consider the overall compensation package it offers. While signing bonuses can attract brokers, a more competitive overall compensation package, including a fair and transparent incentive system, may be more effective in attracting and retaining top talent. Bank of America may also need to focus on developing a strong culture and brand that aligns with the values of financial advisors and appeals to their desire for long-term success.
In summary, Bank of America should carefully consider the potential risks and benefits of changing its compensation strategy before making any decisions. It should prioritize building a strong culture and brand, offering a fair and transparent compensation package, and fostering long-term relationships with clients and financial advisors.
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Which of the following is an example of a way in which theo Chocolate uses a distinctive competence to achieve competitive advantage? offering a variety of unique flavors Theo Chocolate seeks funding from outside investors to achieve greater capitalization Being the only organic, fair trade, and vertically integrated chocolate brand Offering tours of their factory for customers
Theo Chocolate uses a distinctive competence to achieve competitive advantage by being the only organic, fair trade, and vertically integrated chocolate brand. This means that they have a unique advantage over other chocolate brands because they are able to control the entire process of making their chocolate, from sourcing the cocoa beans to selling the finished product.
Additionally, competitive advantage focus on organic and fair trade practices sets them apart from other brands and allows them to appeal to customers who value these practices.
Offering a variety of unique flavors and offering tours of their factory for customers are also ways that Theo Chocolate differentiates themselves from other brands, but their distinctive competence lies in their commitment to organic, fair trade, and vertical integration.
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Jamison Manufacturing Inc. is analyzing a project with the following projected cash flows:YEAR CASH FLOW0 -$1,324,8001 300,0002 450,0003 546,0004 360,000his project exhibits______________ cash flows.Jamison's desired rate of return is 7.00%. Given the cash flows expected from the company's new project, compute the proj, internal rate of return (MIRR). (Hint: Round all dollar amounts to the nearest whole dollar, and your final MIRR value to two A. 6.70%B. 7.53%C. 8.37%D. 10.04%Jamison's managers are generally conservative, and select projects based solely on the project's modified internal rate of re company's managers accept this independent project? o No o Yes YEAR CASH FLOW0 -$1,147,5001 300,0002 -350,0003 426,0004 280,000Again, if Jamison's desired rate of return is 7.00%, then the project's revised modified internal rate of return (MIRR) should be Round all dollar amounts to the nearest whole dollar, and your final MIRR value to two decimal places.) If, again, Jamison's managers continue to exhibit their general conservatism and select their investment projects based only on the project's MIR should they accept the project? o No o Yes
The company's managers should not accept this project. The first project exhibits decreasing cash flows, and the project's Modified Internal Rate of Return (MIRR) would be 8.37%, assuming Jamison's desired rate of return is 7.00%.
As this MIRR is greater than Jamison's desired rate of return, the company's managers should accept this project.
For the second project, the MIRR is 6.70%, assuming Jamison's desired rate of return is 7.00%.
As this MIRR is less than Jamison's desired rate of return, the company's managers should not accept this project.
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Start using the Constant Growth Model (2/15) – Horizon (~) Valuation: Stock Price today or at Value line report date Dividends payed 2021 – Full year Estimate the Earnings Growth & Dividend Growth rates from Value Line rerport using an average between the Long Term 10 year, Short term 5 year and Forecast (2019-2022) rates of growth. Look at Beta for Company on Value line report. (Use it in next step) Use Return on market stock Rm = 8.75% and Risk free rate = 2.5% and calculate your Rs for your company assigned using CAPM: Rs = Rf + Beta (Rm-Rf) Calculate the Price of your stock using Gordon Constant Growth Model: Po = Do(1+gc) / (Rs-Gc) Continue using the Two Step Gordon Growth Model: Estimate the Earnings Growth / Dividends Growth Rate for the 1 year, 2 years, and 3 years forecast by weighting the Forecast (50%) and 5-year Growth rate (50%) probability for your forecast. Use the Two Step Gordon Growth model using the Present Value of Amounts for years 2022, 2023 and 2024 and then the Horizon (~) Model as in Part 1 from year 3 trough infinity(horizon). Must determine g1, g2 and g3 for first three years and then use the Gc beyond year 3 as the textbook explains. Invest $10 millions in Stocktrak for this company or another company you recommend to see the results during this week and next term.
To answer the question, you need to use the Constant Growth Model (2/15), Horizon (~) Valuation, and CAPM (Capital Asset Pricing Model).
First, estimate the Earnings Growth and Dividend Growth rates from the Value Line report using an average of the Long Term 10 year, Short Term 5 year, and Forecast (2019-2022) rates of growth. Use the Beta for the company from the Value Line report for the CAPM: Rs = Rf + Beta (Rm-Rf), where Rf is the Risk Free rate (2.5%) and Rm is the Return on Market Stock (8.75%). Then, use the Gordon Constant Growth Model to calculate the stock price: Po = Do(1+gc) / (Rs-Gc).
Next, estimate the Earnings Growth/Dividend Growth rate for the 1 year, 2 years, and 3 years forecast by weighting the Forecast (50%) and 5-year Growth rate (50%) probability for your forecast.
Then, use the Two Step Gordon Growth Model using the Present Value of Amounts for years 2022, 2023 and 2024 and then the Horizon (~) Model as in Part 1 from year 3 through infinity (horizon). Calculate g1, g2 and g3 for the first three years, and then use the Gc beyond year 3 as the textbook explains.
Finally, invest $10 millions in Stocktrak for this company or another company you recommend to see the results during this week and next term.
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You made it! Your 50 years old and have a million dollars. You decide to retire and live off $70,000a year. You have gotten conservative now that you are retired and can only get 5% return on your money? You plan to take annual distributions. How long will your money last to the nearest decimal (ex 11.1)?
Your money will last approximately 22.5 years to the nearest decimal.
To calculate how long your money will last given your retirement plan, we can use the formula for present value of an annuity, which is:
[tex]PV = C * [(1 - (1 + r)^(-n)) / r][/tex]
Where:
PV is the present value of the annuity, which is the amount of money you need to have today to fund the annuityC is the amount of the annual payment, which is $70,000 in this caser is the annual interest rate, which is 5% in this casen is the number of payment periods, which is the number of years you want your money to lastWe want to solve for n, so we can rearrange the equation to:
[tex]n = -log(1 - PV*r/C) / log(1 + r)[/tex]
Substituting the values we have, we get:
[tex]n = -log(1 - 1000000*0.05/70000) / log(1 + 0.05)[/tex]
Evaluating this expression gives us:
n ≈ 22.5
So your money will last approximately 22.5 years to the nearest decimal.
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On October 1, 2013, Hila Rao invests $22,500 of their own money in a new venture. To further help finance the venture, Hila Rao borrows $127,500 from a bank. The loan term is ten years, at which point the venture must repay the loan in full. Two years after starting the venture, the venture is valued at $120,000. What is Hila Rao's equity stake worth on this date?
Hila Rao's equity stake in the venture is worth $120,000 - $127,500 = -$7,500 on this date.
What is venture?Venture is a type of investment or business activity with a high level of risk, in anticipation of a large financial gain. It involves taking a calculated risk in order to make a profit, often in the form of a start-up business venture. Venture capitalists provide funding to startup companies with high-growth potential, in exchange for a stake in the business. Venture investments can range from a few thousand dollars to millions of dollars. A venture also often refers to a business venture in which two or more individuals or organizations pursue a common goal, with each contributing resources, expertise, and capital.
This is because Hila Rao invested $22,500 of their own money and borrowed $127,500 from a bank. The total amount invested in the venture is $22,500 + $127,500 = $150,000. The venture is now valued at $120,000, which is less than the amount invested. Therefore, Hila Rao's equity stake is worth -$7,500.
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a july sales forecast projects that 7,500 units are going to be sold at a price of $9.50 per unit. management forecasts 4% growth in sales each month. total august sales are anticipated to be:
A July sales forecast projects that 7,500 units are going to be sold at a price of $9.50 per unit. Management forecasts 4% growth in sales each month. Total August sales are anticipated to be: 7,800 units.
Forecasting is a systematic and data-driven process of predicting future trends or results, frequently relying on historical data and other analytics tools to provide insights into what the future may hold. The answer to the question above is obtained by adding 4% growth to the previous month's sales. The following is a breakdown of how the calculations are done; The sales for August are 4% higher than the sales for July as per the forecast calculations.
4% of 7,500 = (4/100) × 7,500
= 3007,500 + 300
= 7,800
Therefore, the total August sales are anticipated to be 7,800 units.
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a company acquired an office building on three acres of land for a lump-sum price of $2,400,000. the building was completely equipped. according to independent appraisals, the fair values were $1,300,000, $780,000, and $520,000 for the building, land, and equipment, respectively. at what amount would the company record the building? multiple choice $720,000. $1,320,000. $1,200,000. none of these answer choices are correct.
The company would record the building at $1,200,000. (D)
The lump-sum price of $2,400,000 paid for the building, land, and equipment combined. The fair values for the building, land, and equipment were $1,300,000, $780,000, and $520,000 respectively.
Therefore, the amount of the lump-sum payment attributed to the building was $1,300,000 - $780,000 - $520,000 = $1,200,000.
None of the answer choices provided are correct as they do not represent the amount at which the company would record the building. (D)
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Connor and Duncan have two passions, video games and economics. The two have an ongoing debate.
Connor argues that video game consumers are harmed by the fact that a relatively small number of studios produce video games. The marginal cost of producing additional copies of popular video games is almost always extremely low, relative to the price these firms charge. This causes a deadweight loss. Connor wants the government to stop enforcing video game patents so that prices will be more closely aligned with the marginal cost.
Duncan thinks that consumers would be worse off if the government were to adopt this approach.
Which most strongly supports Duncan's thinking that patents are necessary?
The most strongly supporting evidence for Duncan's thinking that patents are necessary is the fact that video game studios are able to recoup their costs of production and make a profit due to the current patent system.
The video game studios wouldn't be able to make as much money if the government stopped enforcing video game patents, which would leave them with less money to invest in creating fresh, original games.
This might result in a decline in the standard and variety of video games offered, which would be bad for customers.
Additionally, the studios might be forced to close if they cannot make enough money to pay their production costs, which would result in the loss of jobs in the video game business.
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FOR THE FOLLOWING QUESTION, FEEL FREE TO DRAW OUT AND COMPLETE YOUR ANSWER ON A PIECE OF PAPER, TAKE A PHOTO, AND UPLOAD WITH YOUR ANSWER (make sure your writing is clear and dark enough that it shows up on the uploaded photo) Given the following activities, predecessors, and times, draw a critical pathy network diagram (5 marks) o What is the critical path of this network? And how long will it take to complete the project? (3 marks) Define "slack time (also called "float time) (2 marks) What is the stack time for activity I? (2 marks) • What is the slack time for activity H? (2 marks) Activity A B C Time 4 4 Predecessor 2 and к E and B None Tandt D 21 4 Z G 1 1 A and H 1 1 1 None DandM Land None None M
The critical path for this network is A->B->D->G->M and it will take a total of 12 time units to complete the project.
What is critical path?The critical path is a sequence of project activities that require the most time and effort to complete. It is the longest path from the start to the finish of a project and is the most important factor in determining the total project duration. It identifies the most critical activities and tasks, and the order in which they must be completed in order to meet the project deadline. The critical path method (CPM) is a popular project management technique used to identify, analyze and manage the tasks required to complete a project on time.
Slack time (also called "float time") is the amount of time an activity can be delayed without delaying the project completion date.
The slack time for activity I is 2 time units, since it is the longest activity on its path.
The slack time for activity H is 0 time units, since it is the last activity on its path.
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Valentino is a patient in a nursing home for 50 days of 2022. While in the nursing home, he incurs total costs of $23,400. Medicare pays $14,040 of the costs. Valentino receives $25,740 from his long-term care insurance policy, which pays while he is in the facility. Assume that the Federal daily excludible amount for Valentino is $390.Of the $25,740, what amount may Valentino exclude from his gross income?
Valentino may exclude $15,100 of the $25,740 from his gross income. This is calculated as follows:
Total cost of stay: $23,400
- Medicare coverage: $14,040
Total uncovered costs: $9,360
Federal daily excludible amount: $390
Total number of days of stay: 50
Total excludable amount: $390 x 50 = $19,500
Amount excludable from insurance coverage: $25,740 - $19,500 = $15,100
So, Valentino may exclude $15,100 from his gross income.
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which of the following is appropriate content for the conclusion of a report? check all that apply. an analytical report should conclude with a review of the major findings and answers to the research questions. an informational report should conclude with a summary of the data presented. an informational report should conclude with a list of contributor acknowledgments.
A review of the key conclusions and the responses to the research questions should be included in the analytical report's conclusion. A summary of the information supplied should be included in the report's conclusion.
In report management, how many different report types are used?Daily, weekly, or monthly reports are all possible formats for them. They include current information to aid managers in assessing and comprehending it in light of recent events.
How should a report be concluded?The conclusion paragraph should restate your thesis, include a summary of the key arguments you used to support it throughout the research, and offer your evaluation of the central notion. Included in this final summary should be the moral of your story or a revelation of a deeper truth.
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After purchasing an item from Walmart.com, you might have seen
that the website shows recommendations based on similar purchases
by other customers. How does Amazon do this?
Group of answer choices
Weighted Moving Average
Simple Exponential Smoothing
Artificial Intelligence
Focus groups
Amazon uses Artificial Intelligence (AI) to show recommendations based on similar purchases by other customers. Correct answer is A: Artificial Intelligence.
Amazon has sophisticated machine learning algorithms that analyze data from user interactions on the website, such as browsing history, search queries, and purchase history, to generate personalized product recommendations. These algorithms take into account various factors such as the user's past purchases, the items currently in their shopping cart, and the preferences of users with similar profiles to provide recommendations that are tailored to the individual user.
Additionally, Amazon also uses collaborative filtering techniques to compare the user's preferences with those of other users who have made similar purchases, to generate recommendations based on items that are frequently purchased together.
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An important element in project planning is dealing with "what might happen." A project team can be more successful if they know the best ways to communicate with each other and how to process changes that occur as the project is executed. By making a formal statement in the project plan about communication and change, the team can work together more successfully.
For Project Managers:
Project manager task: Digitize paper records to an electronic database online for a Hospital Clinic
Discuss a communication and change plan.
include how team members are to communicate with updates and changes and who the stakeholders are who may also need to be informed as changes occur.
include the description of a project management software program that an organization might use to track progress and communicate changes.
specifically address how changes would be handled in your project: how they would be communicated and who would approve them.
Communication and change management are critical elements in project planning.
For the project of digitizing paper records to an electronic database online for a Hospital Clinic, a communication plan should be established that outlines how team members will communicate with each other and with stakeholders.
Regular progress updates should be scheduled, and any changes that occur during the project should be documented and communicated promptly to the relevant parties. A project management software program like Asana or Trello could be used to track progress and communicate changes.
The change management process should define how changes will be handled, who will approve them, and how they will be communicated to the project team and stakeholders.
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Your portfolio has a beta of 1.12. The portfolio consists of 40 percent U.S. Treasury bills, 30 percent stock A, and 30 percent stock B. Stock A has a risk-level equivalent to that of the overall market. What is the beta of stock B?
The beta of stock B is 2.73 which indicates that stock B is more volatile than the overall market, which has a beta of 1.
The beta of stock B can be calculated using the formula for the portfolio beta, which is the weighted average of the betas of the individual assets.
First, we need to determine the beta of the portfolio using the weights provided:
Portfolio beta = (0.4 x 0) + (0.3 x 1) + (0.3 x Beta of stock B) = 1.12
Solving for the beta of stock B, we get:
0.3 x Beta of stock B = 1.12 - (0.4 x 0) - (0.3 x 1)
0.3 x Beta of stock B = 0.82
Beta of stock B = 0.82 / 0.3 = 2.73
Therefore, the beta of stock B is 2.73. This indicates that stock B is more volatile than the overall market, which has a beta of 1.
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[Short-Answer] What is the key difference between brand-based
comparative approach and marketing-based comparative approach in
measuring brand equity?
The key difference between brand-based comparative approach and marketing-based comparative approach in measuring brand equity is that the first assesses a brand's position in the market, whereas the latter evaluates a brand's marketing activities.
What is brand equity?Brand equity is a marketing concept that refers to the value of a brand's identity, reputation, and awareness in the minds of consumers. Brand equity is often assessed through various brand equity measurement methods, including the comparative approach. The comparative approach to brand equity measurement is used to compare a brand's performance against its competitors.
There are two types of comparative approaches that are commonly used: brand-based comparative approach and marketing-based comparative approach.
Brand-based comparative approach
The brand-based comparative approach assesses a brand's position in the market compared to competitors. It focuses on evaluating a brand's product features, pricing, distribution, and promotion strategies. The main goal of this approach is to determine how well a brand is doing in relation to its competitors.
Marketing-based comparative approach
The marketing-based comparative approach evaluates a brand's marketing activities compared to competitors. It focuses on assessing a brand's advertising, promotion, and public relations activities. The main goal of this approach is to determine how well a brand's marketing activities are performing compared to its competitors.
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Ann, in exchange for her assistance to Steve had also her own questions. At Hingham, additionally to receiving a generic product X as raw material, they produced basically a generic Product "Z", being sold to outside markets mainly.
The generic Product Z had no variants, it was well demanded by the market and the customers as produced by Hingham. Ann was using at Hingham´s Division a standard costing system in its factory for Product Z.
But Ann have had a few data collection problems when explaining what she required from the manufacturing and financial accountants responsibles, and asked Steve to help her on the challenge, which she considered ready to be estimated and / or solved with the information already in hand.
From the following partial information that came from the manufacturing department, make the necessary calculations to supply Ann with the missing numbers:
1. Overhead volume variance, December: $1,500 unfavorable.
2. Standard machine-hours, December: 4,500 hrs.
3. Total overhead cost variance, December: $1,300 unfavorable.
4. Standard overhead cost, December: $22,500.
5. Standard machine-hours per month, at normal volume: 5,000 hrs.
6. Predetermined overhead rate per standard machine-hour: A.
7. Actual total overhead cost, December: B.
B. Overhead spending variance, December: C.
9. Budgeted overhead cost, December: D.
10. Budgeted fixed overhead cost per month: E.
11. Budgeted variable overhead cost per standard machine hour: F.
12. Budgeted total overhead cost, normal month: G.
The predetermined overhead rate per standard machine-hour is $4.50. The actual total overhead cost in December is $23,800. The overhead spending variance in December is $500 favorable. The budgeted overhead cost in December is $23,300, fixed overhead cost per month is $11,250, variable overhead cost per standard machine-hour is $2.50 and total overhead cost in a normal month is $22,500.
A. The predetermined overhead rate per standard machine-hour is $4.50 ($22,500/5,000 hours).
B. The actual total overhead cost in December is $23,800 ($22,500 + $1,500).
C. The overhead spending variance in December is $500 favorable ($23,800 - $23,300).
D. The budgeted overhead cost in December is $23,300 ($5,000 hours x $4.50 rate).
E. The budgeted fixed overhead cost per month is $11,250 ($22,500/2 months).
F. The budgeted variable overhead cost per standard machine-hour is $2.50 ($22,500/9,000 hours).
G. The budgeted total overhead cost in a normal month is $22,500 ($11,250 + 11,250).
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John Brown lived in a family that always used the phrase "a penny for your thoughts?" John works at a company with 400 employees (not including himself) and is known for his humorous editorials on current events. One day John decided to start a work editorial e-mail called A Penny For My Thoughts. In the daily e-mail (he even sent them on weekends and holidays), John sent out his editorial comment for the day and simply asked that his co-workers repay him for his thoughts at the going rate of one penny per person. In other news, John is trying to save up money for a 10% downpayment to buy a new $180,000 house. John banks where he can get a 10% rate of return and even daily compounding of interest. If John invests his "Penny for My Thoughts" earnings each day, how many years would it take for him to come up with his downpayment?
It would take John approximately 7.68 years to save up for his downpayment by investing his "Penny for My Thoughts" earnings each day.
Assuming all 400 employees (excluding John) participate in John's "Penny for My Thoughts" and pay him one penny each day, John would earn 400 * $0.01 = $4.00 per day.
To calculate the number of years it would take for John to save up for his downpayment, we can use the future value formula:
[tex]FV = PV * (1 + r/n)^(n*t)[/tex]
where:
FV = future value (in this case, $18,000)PV = present value (in this case, $0)r = interest rate (10% or 0.1)n = number of times interest is compounded per day (365 for daily compounding)t = time (in years)We can solve for t by rearranging the formula:
[tex]t = log(FV/PV) / (n * log(1 + r/n))[/tex]
Plugging in the values, we get:
t = log(18000/0) / (365 * log(1 + 0.1/365))
t = 7.68 years (rounded to two decimal places)
Therefore, it would take John approximately 7.68 years to save up for his downpayment by investing his "Penny for My Thoughts" earnings each day.
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Distinguish, with the use of examples, the differences in behaviors (non-verbal behavior) between high-contact and low contact culture. Would you agree that the climate of their counties affect these behaviors? why?
Yes, I agree that the climate of their counties affect people's behaviors. High-contact cultures emphasize physical closeness in relationships and direct verbal communication.
Examples of these types of behaviors are eye contact, standing close to someone, touch and even hugs. Low-contact cultures use less physical contact and may prefer more formal and less direct communication. For example, these cultures may prefer indirect language, less eye contact and more formal interactions.
Yes, the climate of countries can affect these behaviors. For example, in a warm climate where people are more likely to be in close contact, people may be more likely to engage in high-contact behaviors, such as touching and hugs. In colder climates, people may prefer more distance between each other and tend to use more low-contact behaviors.
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Joyner Company's income statement for Year 2 follows: Its balance sheet amounts at the end of Years 1 and 2 are as follows: Equipment that had cost
$30,800
and on which there was accumulated depreciation of
$10,300
was sold during Year 2 for
$30,500
. The company declared and paid a cash dividend during Year 2 . It did not retire any bonds or repurchase any of its own stock. Required: 1. Using the indirect method, compute the net cash provided by/used in operating activities for Year 2. 2. Prepare a statement of cash flows for Year 2. 3. Compute the free cash flow for Year 2.
To compute the net cash provided by/used in operating activities for Year 2 using the indirect method, we need to start with net income and adjust it for non-cash expenses and changes in current assets and liabilities.
What is a liabilities ?Liabilities refer to the obligations or debts that an individual or organization owes to others. These obligations can be in the form of financial or non-financial obligations and are expected to be settled or fulfilled in the future.
Examples of liabilities for a business may include loans, accounts payable, wages payable, taxes payable, and accrued expenses. For individuals, liabilities can include credit card debt, mortgage payments, and personal loans.
Liabilities are an important part of a company's or individual's financial statements as they indicate the level of debt and financial obligations that need to be repaid in the future.
What are payments ?Payments refer to the transfer of money or other forms of value from one party to another in exchange for goods, services, or other obligations. Payments can be made in various forms such as cash, checks, credit cards, electronic fund transfers, and cryptocurrencies, among others.
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