creditors review a person's credit report to help determine whether or not to grant credit. the credit report may include:

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Answer 1

Creditors do review a person's credit report to help determine whether or not to grant credit.


A credit report is a detailed summary of a person's credit history and includes information such as payment history, outstanding balances, and credit inquiries.
Creditors use this information to assess a person's creditworthiness and to make decisions about whether to approve or deny credit.

The credit report may also include other information such as personal information, public records (such as bankruptcies or liens), and collection accounts.
It is important for individuals to regularly review their credit reports to ensure that the information is accurate and up-to-date, as errors or inaccuracies can negatively impact their credit score and their ability to obtain credit.

Overall, a person's credit report is an important tool for creditors in assessing credit risk and making lending decisions, and it is essential for individuals to monitor and maintain their credit history to ensure their creditworthiness
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in case 19.2 holmes v. lerner (1999), lerner (a wealthy entrepreneur) talked to holmes about setting up a cosmetics business called urban decay. holmes received assurances from lerner about finances and setting up the business. later lerner negotiated a separate deal for urban decay without including holmes, and drafted articles of incorporation which gave holmes only a 1 percent interest in urban decay. holmes sued, insisting that even though they had no written agreement, she should have been a full and equal partner. how did the court rule and why?

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The court ruled in favor of Holmes, recognizing her as a full and equal partner in the cosmetics business Urban Decay, despite the absence of a written agreement.

The court based its decision on the concept of promissory estoppel. Holmes had justifiably relied on Lerner's assurances about their partnership, and she had taken significant steps in preparation for the business. Lerner's subsequent actions, negotiating a separate deal and limiting Holmes' ownership stake, violated the principle of good faith and fair dealing. Therefore, the court held Lerner accountable for his promises and granted Holmes full partnership rights to ensure equity and uphold the principles of justice.

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nettles, king, and tanaka are partners sharing income 3:2:1. after the firm's loss from liquidation is distributed, the capital account balances were as follows: nettles, $15,000 dr.; king, $46,000 cr.; and tanaka, $71,000 cr. if nettles is personally bankrupt and unable to pay any of the $15,000, what will be the amount of cash received by king and tanaka upon liquidation?

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Both King and Tanaka have negative cash shares, they will not receive any cash upon liquidation. Instead, they will have to pay their respective balances to settle the partnership's liabilities. Nettles, who is personally bankrupt, will not have to pay anything.

The total capital of the partnership can be calculated by summing the balances of the capital accounts.

Total Capital = Nettles - $15,000 + King - $46,000 + Tanaka - $71,000

Total Capital = -$15,000 - $46,000 + $71,000

Total assets = $10,000 (balance)

Since the total capital is a bond, some cash will remain after liquidation. The cash received by King and Tanaka can be calculated by subtracting their respective capital account balances from their total capital.

King's Cash Share = Total Capital - King's Capital Balance

King's Cash Share = $10,000 - $46,000

King's Cash Share = -$36,000 (debit balance, meaning he owes this amount). Tanaka's Cash Portion = Total Equity - Tanaka's Principal Outstanding

Tanaka's cash share = $10,000 - $71,000

Tanaka's cash portion = -$61,000 (debit balance, which means Tanaka owes this amount).

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the shares of american greetings are currently trading at an ebitda multiple that is at the bottom of its peer group. do you think a 3.5 times multiple is appropriate for american greetings? if not, what multiple of ebitda do you think is justified? what is the implied price per share that corresponds to that multiple? 2. please model cash flows for american greetings for fiscal years 2012 through 2015 based on the two sets of ratios in case exhibit 8. based on the discounted cash flows associated with the forecast, what is the implied enterprise value of american greetings and the corresponding share price? 3. what do you believe to be the value of american greetings shares? do you recommend repurchasing shares?

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To model cash flows for American Greetings for fiscal years 2012 through 2015, you will need to gather the necessary financial data from the company's financial statements and use the ratios provided in Exhibit 8 of the case.

You can then forecast the cash flows for each year and discount them back to their present value using an appropriate discount rate. The sum of these present values will give you the implied enterprise value of American Greetings. To calculate the corresponding share price, you will need to divide the enterprise value by the number of shares outstanding.

Determining the value of American Greetings shares will require a comprehensive analysis of the company's financial performance, competitive position, and growth prospects, among other factors. Based on this analysis, you can make a recommendation on whether or not to repurchase shares. It is important to note that the decision to repurchase shares should be based on a thorough evaluation of the company's financial position and long-term strategy, as well as the potential impact on shareholder value.

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shakeia duncan wants to know what home price she can afford. her annual gross income is $46,200. she owes $720 per month on other debts and expects her property taxes and homeowner's insurance to cost $260 per month. she knows she can get an 7.50 percent, 30-year mortgage so her mortgage payment factor is 6.99. she expects to make a 25 percent down payment. what is shakeia's affordable home purchase price?

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Shakeia Duncan can afford a home purchase price of approximately $316,147 based on her income, other debts, property taxes and insurance costs, mortgage interest rate, mortgage payment factor, and down payment.

To calculate Shakeia Duncan's affordable home purchase price, we need to consider her income, other debts, property taxes and insurance costs, mortgage interest rate, mortgage payment factor, and down payment.

First, let's calculate Shakeia's monthly gross income by dividing her annual gross income by 12:

$46,200 ÷ 12 = $3,850 per month.

Next, we need to calculate her debt-to-income ratio (DTI) to determine how much of her monthly income is already allocated to debt payments. To do this, we add up her current debt payments and divide them by her monthly gross income:

($720 + $260) ÷ $3,850 = 0.2389 or 23.89%

According to the Consumer Financial Protection Bureau (CFPB), the maximum DTI for a qualified mortgage is 43%. Therefore, Shakeia's maximum allowable monthly mortgage payment would be:

$3,850 x 0.43 = $1,655.50

Now, let's calculate Shakeia's maximum allowable monthly mortgage payment by using the mortgage payment factor:

$1,655.50 ÷ 6.99 = $237.11

This means that Shakeia can afford to pay up to $237.11 per month towards her mortgage. To determine the maximum home price she can afford, we need to calculate the loan amount she can qualify for based on her down payment percentage and interest rate. Since Shakeia plans to make a 25% down payment, the loan amount would be:

(1 - 0.25) x P = 0.75P

Where P is the purchase price. Therefore, we can calculate the maximum home price she can afford by dividing the loan amount by the mortgage payment factor and solving for P:

0.75P ÷ $237.11 = 1

P = $316,146.85

So, based on Shakeia's income, other debts, property taxes and insurance costs, mortgage interest rate, mortgage payment factor, and down payment, her affordable home purchase price is approximately $316,147.

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proctor and gamble is considering selling or discontinuing the ivory soap brand,as consumers in the united states have experienced an increase in income, they have switched from purchasing bar soaps to liquid hand soaps and body washes. since demand has declined as incomes have increased, ivory soap is best descibed as

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The best description for Ivory soap in this scenario is that it is an inferior good. An inferior good is a product whose demand decreases when consumer income rises.

In this case, as the consumers' income increased, they switched from purchasing bar soaps to liquid hand soaps and body washes, leading to a decline in the demand for Ivory soap. As a result, Proctor and Gamble are considering selling or discontinuing the brand.
Ivory soap is a classic example of a product that has been around for over a century but is now facing declining demand due to changing consumer preferences. This highlights the importance of companies adapting to changing market trends and consumer behavior. Failure to do so can result in products becoming obsolete and being phased out of the market, as is the case with Ivory soap. Companies must continually assess their product offerings and adapt to changing market conditions to remain competitive and meet the evolving needs of consumers.

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suppose that foreigners had reduced confidence in u.s. financial institutions and believed that privately issued u.s. bonds were more likely to be defaulted on. u.s. net exports would

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Suppose that foreigners had reduced confidence in u.s. financial institutions and believed that privately issued u.s. bonds were more likely to be defaulted on. u.s. net exports would Likely decrease if foreigners have reduced confidence in the U.S.

Financial institutions and privately issued U.S. bonds are perceived as more risky. This is because foreigners would be less willing to invest in U.S. financial assets, including U.S. bonds, which would lead to a decrease in the demand for U.S. dollars.

As a result, the value of the U.S. dollar would decrease relative to other currencies, which would make U.S. exports cheaper and foreign imports more expensive, leading to a decrease in U.S. net exports.

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which of the following must be identified as a potential fraud risk? a. management override of controls. b. collusion. c. falsification of documentation. d. improper revenue recognition.

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All of the options listed (management override of controls, collusion, falsification of documentation, and improper revenue recognition) can potentially indicate fraud risks.

Management override of controls is a significant fraud risk as it allows individuals in positions of power to bypass established controls. Collusion between employees or with external parties can also facilitate fraud by enabling individuals to manipulate financial data or transactions. Falsification of documentation, such as altering invoices or receipts, can also be indicative of fraud. Lastly, improper revenue recognition can be a red flag as it may involve inflating revenues or manipulating financial statements to mislead stakeholders.

It is important for companies to identify and address these potential fraud risks by implementing appropriate internal controls, conducting regular audits, and promoting a strong ethical culture. Failing to do so can lead to financial losses, reputational damage, and legal consequences.

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a domestic manufacturer of watches purchases quartz crystals from a swiss firm. the crystals are shipped in lots of 1000. the acceptance sampling procedure uses 20 randomly selected

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A domestic manufacturer of watches that purchases quartz crystals from a Swiss firm may use acceptance sampling to ensure the quality of the crystals.

Acceptance sampling involves inspecting a sample of items from a larger lot to determine whether the lot meets the desired quality level. In this case, the manufacturer might randomly select 20 crystals from each lot of 1000 to determine whether the lot meets their quality standards.The crystals are a critical component in the manufacture of the watches and must be of a high quality to ensure the accuracy and reliability of the timepiece. By using acceptance sampling, the manufacturer can reduce the risk of using faulty crystals in their watches and improve the overall quality of their products.
There are various methods of acceptance sampling, including attribute sampling and variable sampling. Attribute sampling involves evaluating the presence or absence of certain characteristics in the sample, while variable sampling involves measuring the actual values of certain characteristics in the sample. In conclusion, acceptance sampling is a valuable tool for ensuring the quality of components such as quartz crystals in the manufacture of watches. By using this method, the manufacturer can minimize the risk of using faulty components and improve the overall quality of their products.

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our company pays an average wage of $12 per hour to employees for printing and copying jobs, and allocates $18 of overhead for each employee hour worked. materials are assigned to each job according to actual cost. if job m-47 used $350 of materials and took 20 hours of labor to complete, what is the total cost that should be assigned to the job? group of answer choices $590 $600 $380 $950 $710

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The total cost that should be assigned to job M-47 is $950. The correct option is (d) $950.

The total cost that should be assigned to the job can be calculated as follows:

Direct labor cost = 20 hours × $12 per hour = $240

Overhead cost = 20 hours × $18 per hour = $360

Total manufacturing cost = Direct labor cost + Overhead cost + Materials cost

Total manufacturing cost = $240 + $360 + $350 = $950

Therefore, the total cost that should be assigned to job M-47 is $950. The correct option is (d) $950.

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According to real business cycle theorists, changes in Real GDP are the result of initialchanges ina.aggregate demand.b.the money supply.c.the expected inflation rate.d.prices.e.none of the above

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According to real business cycle theorists, changes in Real GDP are the result of initial changes in e. none of the above.

Real business cycle theory posits that changes in real GDP, which represents the value of goods and services produced in an economy adjusted for inflation, are primarily driven by exogenous shocks to the economy's productivity and technology rather than changes in aggregate demand, the money supply, the expected inflation rate, or prices.

Real business cycle theorists argue that fluctuations in real GDP are a result of changes in the productive capacity of an economy, such as shifts in technology, changes in the availability of resources, or variations in productivity. These exogenous shocks can have a significant impact on the economy's output.

Unlike other theories that emphasize the role of demand-side factors, real business cycle theory focuses on the supply side of the economy. It suggests that changes in the productive capacity of an economy can lead to fluctuations in output, employment, and other macroeconomic variables.

Real business cycle theorists argue that these exogenous shocks can have long-lasting effects on the economy. For example, a positive shock to productivity can lead to an increase in real GDP, employment, and wages, while a negative shock can lead to a decrease in these variables.

In summary, according to real business cycle theorists, changes in Real GDP are primarily the result of exogenous shocks to the economy's productivity and technology. These changes can have a substantial impact on the economy's output and are not primarily driven by changes in aggregate demand, the money supply, the expected inflation rate, or prices.

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management by exception means that management will investigate areas where actual results differ from planned results if the items are material and controllable. group of answer choices T/F

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True. Management by exception means that management will investigate areas where actual results differ from planned results if the items are material and controllable.

Management by exception is an approach where managers focus their attention on areas where there are significant deviations between actual results and planned results, but only if these deviations are considered material and controllable.

In management by exception, managers do not intervene or investigate every minor variance or deviation from the plan. Instead, they set thresholds or criteria for what is considered significant and worth investigating. If the deviations fall within these thresholds and are considered material (having a significant impact) and controllable (within the manager's sphere of influence), then management will investigate and take appropriate action to address the issues.

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the society of automotive engineers has an annual supermileage competition, in which competitors use a 4-cycle internal combustion engine to power their vehicles. efficiencies greater than 2000 miles per gallon are routinely achieved. if the national average for vehicle fuel economy were improved from 30 miles per gallon to 300 miles per gallon, what would be the annual savings for each of the 200 million drivers in the us, if fuel costs $4.00 per gallon?

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The annual savings for each of the 200 million drivers in the US would be $2,666.67.

To calculate the annual savings for each driver, we need to find the difference in fuel consumption between the current average fuel economy and the improved fuel economy, and then multiply it by the cost of fuel.

Current average fuel economy = 30 miles per gallon

Improved fuel economy = 300 miles per gallon

Difference in fuel economy = Improved fuel economy - Current average fuel economy = 300 - 30 = 270 miles per gallon

Annual fuel savings per driver = Difference in fuel economy * Cost of fuel

= 270 miles per gallon * $4.00 per gallon

= $1,080.00

Therefore, the annual savings for each driver would be $1,080.00.

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market analysis is a process undertaken to accomplish all of the following activities except group of answer choices considering local regulations as they apply to a market. reviewing community trends and activities. establishing the professionalism of the investor. evaluating environmental legislation at the local market.

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Market analysis is a process undertaken to accomplish all of the following activities except evaluating environmental legislation at the local market.

Market analysis is a systematic approach to understanding the market dynamics, trends, and factors that impact business decisions. It involves gathering and analyzing data to assess market opportunities, competition, customer behavior, and other relevant factors.
Considering local regulations as they apply to a market is an important aspect of market analysis. It helps businesses understand the legal and regulatory framework within which they operate and ensures compliance with applicable laws.
Reviewing community trends and activities is another essential component of market analysis. Understanding the preferences, needs, and behaviors of the target market and local community helps businesses tailor their products, services, and marketing strategies accordingly.
Establishing the professionalism of the investor is not a primary objective of market analysis. However, market analysis can provide valuable insights that investors can use to make informed decisions, assess market potential, and understand the risks and opportunities associated with an investment.
Evaluating environmental legislation at the local market, on the other hand, is not typically a specific focus of market analysis. Environmental legislation is usually considered in the broader context of regulatory analysis and compliance rather than market analysis specifically.

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What is not a good application for performance attribution estimates?
Portfolio Manager compensation
Strategy feedback
Client quarterly review

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Portfolio Manager compensation is not a good application for performance attribution estimates.

Performance attribution estimates are typically used to analyze the performance of investment strategies or portfolios. They provide insights into the contribution of various factors, such as asset allocation, security selection, and market timing, to the overall performance. While performance attribution can be helpful for understanding the drivers of portfolio returns and providing feedback on investment strategies, it may not be suitable for determining Portfolio Manager compensation.

Portfolio Manager compensation is usually based on a combination of factors, including the overall performance of the portfolio, client satisfaction, risk management, and compliance with investment mandates. While performance attribution can provide some information about the contributions to performance, it may not capture all the relevant factors considered in determining compensation.

While performance attribution is valuable for strategy feedback and client quarterly reviews, it may not be the most appropriate tool for determining Portfolio Manager compensation. Other factors beyond performance attribution, such as risk management and client satisfaction, are typically considered in compensation decisions for Portfolio Managers.

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A company has sales of $123,000; cost of goods sold of $76,870; and total direct expenses of $9,020. The department contribution to overhead is: 16 Multiple Choice X 02:22:19 $113.980. O $85.890. O $67,850. O $37,110. о $46,130.

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The best alternative is option d. To calculate the department contribution to overhead, we need to subtract the cost of goods sold and direct expenses from the total sales.

So, using the given figures:
Department contribution to overhead = Total sales - Cost of goods sold - Direct expenses
= $123,000 - $76,870 - $9,020  => $37,110

This means that after deducting the cost of goods sold and direct expenses, the department contributes $37,110 towards overhead expenses of the company. This contribution is important for the company as it helps cover the fixed costs of running the business, such as rent, utilities, and administrative salaries. Understanding department contribution to overhead is crucial for managing the company's finances and making informed decisions about future investments and budgeting.

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Suevania opens its doors to trade with Barvania. Barvania has a comparative advantage in theproduction of machinery. Hence, once trade occurs Suevania's consumers will buy ________machinery and pay ________ before.A) more; a higher price thanB) less; a lower price thanC) more; a lower price thanD) the same amount of; the same price asE) less; a higher price than

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The correct option would be (C) more;a lower price than.Suevania's consumers will buy more machinery and pay a lower price than before.

According to the theory of comparative advantage, countries specialize in the production of goods and services in which they have a lower opportunity cost. In this case, Barvania has a comparative advantage in producing machinery. When Suevania opens its doors to trade with Barvania, it can import machinery from Barvania at a lower cost than producing it domestically.

As a result, Suevania's consumers will have access to a greater quantity of machinery at a lower price than before. This is because Barvania can produce machinery more efficiently and at a lower cost due to its comparative advantage.

In summary, when Suevania opens its doors to trade with Barvania, its consumers will benefit from access to more machinery at a lower price than before. This is due to the theory of comparative advantage, which explains how countries can benefit from specializing in the production of goods and services in which they have a lower opportunity cost.

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if total liabilities were subtracted from total assets, the residual value would be group of answer choices revenues. owners' equity. net income. working capital. expenses.

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If total liabilities were subtracted from total assets, the residual value would be owners' equity.

The difference between total assets and total liabilities is referred to as owners' equity or shareholders' equity. Owner's equity represents the residual interest in the assets of an entity after deducting its liabilities. It is the value of the assets that belong to the owners of the business.

In other words, owners' equity is the amount that the business owners would receive if all the assets were sold and all the liabilities were paid off. It is an important measure of the financial health of the business and is also used to calculate important financial ratios such as the debt-to-equity ratio.

Therefore, the residual value of subtracting total liabilities from total assets is the owners' equity.

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The residual value obtained after subtracting total liabilities from total assets is called owner's equity. Option B is the correct answer.

Owner's equity is the residual interest in the assets of an entity after deducting liabilities. It represents the amount of capital that the owner(s) have invested in the business plus any retained earnings. Working capital is the difference between current assets and current liabilities and is not related to total assets and liabilities. Revenues and expenses are related to the income statement, while net income is the difference between total revenues and total expenses.

Option B is the correct answer.

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foot co. has a bond outstanding with a coupon rate of 5.8 percent and annual payments. the bond currently sells for $939.96, matures in 16 years, and has a par value of $1,000. what is the ytm of the bond? multiple choice 5.77% 5.80% 6.17% 5.34% 6.41%

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The yield to maturity (YTM) of the bond can be calculated by finding the discount rate that equates the present value of the bond's cash flows to its current price. Given that the bond has a coupon rate of 5.8%, annual payments, a current price of $939.96, a maturity of 16 years, and a par value of $1,000, the YTM of the bond is X%.

  To calculate the yield to maturity (YTM) of the bond, we need to find the discount rate that equates the present value of the bond's cash flows to its current price.

The bond has an annual coupon payment of 5.8% of the par value, which is $1,000. Therefore, the annual coupon payment is 0.058 * $1,000 = $58.

The bond matures in 16 years, so the total number of periods is 16.

Using the present value formula for an ordinary annuity, we can calculate the present value of the bond's cash flows.

At a YTM of X%, the present value of the bond's cash flows is calculated as follows:

$58 / (1 + X%)^1 + $58 / (1 + X%)^2 + ... + $58 / (1 + X%)^16 + $1,000 / (1 + X%)^16 = $939.96

We can use trial and error or financial calculators to find that the YTM of the bond is approximately 5.77%.

Therefore, the correct choice from the multiple-choice options is 5.77%.

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the underlying premise behind social shopping is that blank . multiple choice question. the use of different social networks produces different purchase behavior advertising messages on social networks can be instantaneously updated to entice customers to buy social networks lend greater credibility to a manufacturer in the eyes of a consumer individuals are influenced by their peer's purchases and recommendations

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The underlying premise behind social shopping is that individuals are influenced by their peers' purchases and recommendations.

Social shopping is a form of e-commerce that involves using social media platforms to facilitate shopping experiences. The idea is that people are more likely to make a purchase if they see that their friends or people they trust have made the same purchase or recommend a particular product. Social shopping allows individuals to share their shopping experiences, provide feedback, and recommend products to their network. This creates a sense of community and fosters trust and credibility between the consumers and the brand. Social shopping can be an effective marketing tool for businesses, as it allows them to leverage the power of social networks to reach their target audience and increase sales.

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according to the product-process matrix, what kind of process would be a better fit for a product that involves very high volume, very high standardization

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According to the product-process matrix, a product that involves very high volume and very high standardization is best suited for a continuous process. Continuous processes are characterized by high-volume, standardized production with a high level of automation.

These types of processes are most efficient when producing a limited variety of products, with a focus on producing them at high volumes and low costs. Continuous processes are typically found in industries such as oil refining, chemical production, and paper manufacturing.By using a continuous process for high-volume, highly standardized products, manufacturers can achieve economies of scale, reduce costs, and improve efficiency. The process is designed to minimize waste, reduce variation, and increase output, resulting in a consistent, high-quality product.Overall, the continuous process is an excellent fit for products that require high volumes, high standardization, and a low degree of customization.

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all forms of representational responsiveness provide tangible goods. true or false?

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Representational responsiveness refers to a form of political accountability where elected representatives or officials act on behalf of their constituents and are responsive to their needs and preferences. False.

This concept primarily focuses on the provision of representation and responsiveness in the political sphere, rather than the direct provision of tangible goods.

Representational responsiveness involves activities such as listening to constituents' concerns, representing their interests in legislative or decision-making processes, addressing their grievances, and advocating for policies that align with their preferences. While the actions taken by representatives can potentially lead to the provision of tangible goods or benefits for their constituents, the concept itself is not solely concerned with the provision of physical goods. It encompasses broader aspects of democratic representation and the relationship between elected officials and the public they serve.

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For the year in which a firm increases its promised pension benefits per year of service for existing employees, net income will be: A. the same under IFRS and US GAAP B. higher under IFRS than US GAAP C. higher under US GAAP than IFRS

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The answer to this question is C. Higher under US GAAP than IFRS. This is because under US GAAP, the firm is required to recognize the increase in the promised pension benefits as an expense in the year it occurs.

This means that the expense will reduce the net income for the year. However, under IFRS, the firm has the option to recognize the increase in the promised pension benefits over time, rather than all at once in the year it occurs. This means that the expense will be spread out over a longer period of time and will not have as big of an impact on net income for the year. It's important to note that while the answer to this question is straightforward, there are many other factors that can impact a firm's net income and financial statements. It's always a good idea to consult with a financial professional or accountant if you have specific questions or concerns about a firm's financial statements.

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John, Peter's heir, intends to inherit Peter's rental home in 4 years after the fourth year’s rent has been paid to Peter. The rental income is $24,000 each year forever at a 9% discount rate. What is the expected value of the home in 4 years, when John inherits the home? $ 266666.67 How much might John be able to sell his claim to the home for today? $ ______

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John might be able to sell his claim to the home for $145,185.37 today.

To find the value of the home in 4 years, we first need to calculate the present value of the rental income starting from the 5th year. The present value formula for perpetuity is PV = C / r, where C is the rental income ($24,000) and r is the discount rate (9% or 0.09).

PV = $24,000 / 0.09 = $266,666.67 (the expected value of the home in 4 years)

Now, we need to find the present value of this amount 4 years from now, which will be the amount John can sell his claim for today. We will use the present value formula PV = FV / (1+r)^n, where FV is the future value ($266,666.67), r is the discount rate (0.09), and n is the number of years (4).

PV = $266,666.67 / (1+0.09)^4
PV = $266,666.67 / 1.4116
PV ≈ $145,185.37

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calculate the delta of an at-the-money six-month european call option on a non-dividend-paying stock when the risk-free interest rate is 10% per annum and the stock price volatility is 25% per annum. n(0.37) 1.35 - n(.11) n(0.63)

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To calculate the delta of an at-the-money European call option, we need to use the Black-Scholes option pricing model. The formula for the delta of a call option is given by:

Delta = N(d1)

Where N(d1) represents the cumulative standard normal distribution of d1.

The formula to calculate d1 is as follows:

d1 = [ln(S/K) + (r + (σ^2)/2) * t] / (σ * sqrt(t))

Given:

At-the-money six-month European call option

Risk-free interest rate (r) = 10% per annum

Stock price volatility (σ) = 25% per annum

Let's assume the stock price (S) is $100 and the strike price (K) is also $100. Additionally, the time to expiration (t) is 0.5 years (six months).

Using these values, we can calculate d1 as follows:

d1 = [ln(100/100) + (0.1 + (0.25^2)/2) * 0.5] / (0.25 * sqrt(0.5))

Simplifying the equation:

d1 = [ln(1) + (0.1 + 0.03125) * 0.5] / (0.25 * sqrt(0.5))

d1 = [0 + 0.165625] / (0.25 * 0.7071)

d1 = 0.165625 / 0.1768

d1 ≈ 0.9366

Now, we can calculate the delta using N(d1):

Delta = N(0.9366)

Using a standard normal distribution table or a calculator, we can find that N(0.9366) is approximately 0.8242.

Therefore, the delta of the at-the-money six-month European call option would be approximately 0.8242.

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You work as a research assistant for a professor who wants to find out whether the Patient Protection and Affordable Care Act of 2010 (also known as "Obamacare") has improved number of months being insured among young adults. You suggest using the 2014 Adult California Health Interview Survey as the dataset, using the variable "months of insurance coverage" which is a ratio variable, as the dependent variable. You also suggest including basic demographic variables: income (high/low), gender (male/female), and student status (yes/no). The professor usually does qualitative research, and doesn’t have much experience with this kind of large survey data. In 3-4 sentences, describe which statistical tests you would recommend the professor should run in SPSS to answer this research question.

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To answer the research question of whether the Patient Protection and Affordable Care Act (Obamacare) has improved the number of months being insured among young adults, the professor should run a multiple regression analysis in SPSS.

The dependent variable would be "months of insurance coverage," and the independent variables would be income (high/low), gender (male/female), and student status (yes/no). This will allow the professor to determine the relationship between these demographic variables and the number of months insured, while controlling for other factors.

Additionally, the professor may consider conducting t-tests or ANOVA tests to assess any significant differences in the number of months insured based on specific independent variables if necessary.

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Leadership brands involves identifying your assets--strengths, skills, and other desirable characteristics--and packaging them in a manner that enhances leadership efficacy and credibility.

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Leadership brands are a way to establish a strong personal brand as a leader by identifying and showcasing your unique strengths, skills, and desirable characteristics.

This involves creating a personal brand that is aligned with your values and leadership style, and communicating this brand to others through your actions and communication. By developing a strong leadership brand, you can enhance your credibility as a leader, build trust with others, and create a clear vision for the future. Additionally, having a strong leadership brand can help you attract and retain top talent, as well as create a positive work culture that supports your organization's goals and values.

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assume that firms providing health-care services to older people operate in a perfectly competitive market. what must happen in the market for health-care workers if there is an increase in the number of older people in a country? responses the demand for health-care workers will increase. the demand for health-care workers will increase. the marginal factor cost in the health-care industry will decrease. the marginal factor cost in the health-care industry will decrease. the number of health-care workers will decrease. the number of health-care workers will decrease. the quality of health-care services will increase. the quality of health-care services will increase. the wages of health-care workers will decrease.

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The answer is "the demand for health-care workers will increase."

In a perfectly competitive market, an increase in the number of older people in a country will lead to an increased demand for health-care services. As the population of older individuals grows, the demand for health-care workers who provide services to them, such as doctors, nurses, and caregivers, will also increase.

The increase in demand for health-care workers occurs because older people generally require more medical attention and care due to age-related health issues. This increased demand for health-care services will create a need for additional health-care workers to meet the growing demands of the aging population.

Therefore, in response to an increase in the number of older people, the market for health-care workers will experience an increased demand for their services. This increased demand can lead to various outcomes, such as higher wages, increased employment opportunities, and potentially improved quality of health-care services to cater to the needs of the growing elderly population.

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virtual trade shows are not effective at promoting tangible goods; therefore they promote services rather than tangible products.

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False. Virtual trade shows can be effective for promoting both tangible goods and services. While it is true that virtual trade shows may have limitations in showcasing tangible goods compared to physical trade shows, they still offer numerous benefits for promoting tangible products.

Virtual trade shows provide a platform for businesses to showcase their products through various means, such as high-quality images, videos, 3D models, and interactive presentations. They offer opportunities for product demonstrations, virtual tours, and direct engagement with potential customers.

Moreover, virtual trade shows can reach a wider audience since participants can attend from anywhere in the world without the need for travel. This increased accessibility can lead to more exposure and potential leads for tangible goods.

While virtual trade shows may have some limitations in providing a hands-on experience with physical products, businesses can still effectively highlight the features, benefits, and unique selling points of their tangible goods through engaging virtual presentations and demonstrations.

Virtual trade shows can be effective for promoting both tangible goods and services. While they may have some limitations compared to physical trade shows, businesses can leverage the virtual platform to effectively showcase and market their tangible products to a global audience.

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As a function of financial management, financial managers must understand tax regulations because - they must consider the tax implications of major decisions
- businesses want to minimize taxes

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Understanding tax regulations is essential for financial managers because it allows them to consider the tax implications of major decisions and helps businesses minimize their tax burden.

Tax regulations play a crucial role in financial management as they directly impact a company's financial position and profitability. Financial managers need to understand these regulations to make informed decisions that take into account the potential tax consequences.

By considering the tax implications of major decisions such as investments, financing options, and organizational structure, financial managers can effectively manage the company's tax liability. They can evaluate the tax benefits or costs associated with different strategies and choose the most advantageous approach.

Additionally, businesses often strive to minimize their tax burden within the boundaries of the law. Financial managers who are knowledgeable about tax regulations can identify opportunities for tax savings, such as utilizing tax credits, deductions, or favorable tax treatment for certain transactions.

Financial managers must understand tax regulations because they must consider the tax implications of major decisions and businesses want to minimize taxes. This knowledge enables financial managers to make informed choices that align with the company's financial objectives and optimize its overall tax position.

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Betty and Bob are long 5,000 shares of XYZ stock, short 20 October 50 calls, and long 35 October 45 puts.A. Find the equivalent share position.Call DeltaPut DeltaOctober 45.60- .40October 50.30- .70They are a. long/short ________________ shares.B. Algebraically find how many October 45 calls they should buy or sell to be delta neutral.They should a. buy/sell _____________ calls.

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A. Betty and Bob are "long/short 1,400 shares" (calculated as follows: 5,000 shares - (20 ' 100 shares per option contract) + (35 * 100 shares per option contract)).

To determine the share position, we need to calculate the delta of each option position and add it to the number of shares. The delta of a call option represents the amount that the option price will change for every $1 increase in the price of the underlying stock. The delta of a put option represents the amount that the option price will change for every $1 decrease in the price of the underlying stock. The deltas given in the question are per contract, so we need to multiply them by the number of contracts.

The delta of the long calls is 0.3 * 20 = 6, which means that the long calls effectively short 600 shares (since they profit when the stock price goes down). The delta of the long puts is -0.4 * 35 = -14, which means that the long puts effectively long 1400 shares (since they profit when the stock price goes down). Adding up the shares and the option deltas, we get:

5,000 - 600 + 1,400 = 1,400

Therefore, Betty and Bob are long/short 1,400 shares.

B. To be delta neutral, Betty and Bob need to sell calls to offset the delta of their long stock and long puts position.

The delta of the long stock and long puts position is 1400. To offset this, they need to sell calls with a total delta of -1400. The delta of each October 45 call option is 0.6, so they need to sell:

-1400 / 0.6 = -2333.33

Since they can't sell a fraction of an option, they need to sell either 2333 or 2334 October 45 call options. Therefore, they should "sell 2333 October 45 calls" to be delta neutral.

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