fiat money is generally issued by group of answer choices major multinational corporations. private banks. central banks. brokerage firms.

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Answer 1

Fiat money is generally issued by central banks. These institutions are responsible for managing a country's monetary policy and regulating its money supply.

Central banks, such as the Federal Reserve in the United States or the European Central Bank in the Eurozone, issue fiat money as a form of legal tender, which means it is recognized and accepted for all debts, public and private.

Unlike commodity-backed money, fiat money has no intrinsic value and derives its worth from the trust placed in the issuing authority.

Central banks play a crucial role in ensuring the stability and functionality of the financial system by controlling the money supply, setting interest rates, and overseeing the overall economic health of a nation.

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a person-to-person payment app could be used in each of the following scenarios except... * 1 point tina pays her neighbor $200 for breaking his window with a softball rafael writes a check to cover the loss of the window.

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A person-to-person payment app could be used in each of the following scenarios except when Rafael writes a check to cover the loss of the window.

A person-to-person payment app is typically used for making direct, electronic payments between individuals. It allows users to transfer funds quickly and conveniently using their mobile devices. However, writing a check is a traditional payment method that does not involve the use of a person-to-person payment app.

In the given scenario, Rafael writes a check to cover the loss of the window. Writing a check involves the physical act of filling out a paper check and requires the recipient to deposit the check into their bank account. It does not involve the use of a person-to-person payment app, which operates electronically.

In all the mentioned scenarios, a person-to-person payment app could be used except when Rafael writes a check. The use of a person-to-person payment app would allow for a more direct and convenient transfer of funds in a person-to-person manner.

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budgeted overhead for haft, inc. at normal capacity of 60,000 direct labor hours is $3 per hour variable and $2 per hour fixed. in may, $310,000 of overhead was incurred in working 63,000 hours when 64,000 standard hours were allowed. the overhead volume variance is group of answer choices $8,000 favorable $11,000 favorable $5,000 favorable $10,000 favorable

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To calculate the overhead volume variance, we need to determine the difference between the standard hours allowed and the actual hours worked and multiply that by the fixed overhead rate.

Standard hours allowed: 64,000
Actual hours worked: 63,000
Standard hours allowed - Actual hours worked = Volume Variance
64,000 - 63,000 = 1,000 hours (Volume Variance)
Now, we can calculate the overhead volume variance by multiplying the volume variance by the fixed overhead rate:
Volume Variance * Fixed Overhead Rate = Overhead Volume Variance
1,000 hours * $2 per hour = $2,000 (Overhead Volume Variance)
The overhead volume variance is $2,000 unfavorable.
Unfortunately, none of the options provided match the calculated overhead volume variance.

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Group-buying is a tool for price-discrimination among different bidders who are allotted the product. T or F

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True. Group buying is a pricing strategy that allows businesses to offer products or services at a lower price to a group of buyers.

This is a form of price discrimination as the price offered to the group is different from the price offered to individual buyers. This strategy allows businesses to attract a larger customer base and generate more revenue by offering lower prices to a larger group of buyers. Group buying can also help businesses to sell products that may not be as popular with individual buyers. Overall, group buying is an effective tool for businesses to use price discrimination to their advantage and maximize profits.

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5. discuss the future of property tax exemption in your state in the wake of decisions such as provena. tennessee

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Property tax exemptions are typically granted by state or local governments to certain organizations or individuals to exempt them from paying property taxes on specific properties or for specific purposes.

These exemptions are often granted to entities such as nonprofit organizations, religious institutions, or government entities for activities that serve a public or charitable purpose.

The future of property tax exemptions can be influenced by various factors, including legal decisions, legislative actions, and public opinion. Court decisions, such as the Provena case, can set legal precedents and impact how property tax exemptions are granted or interpreted. In some cases, court rulings may lead to changes in the eligibility criteria for exemptions or stricter scrutiny of the organizations seeking exemption status.

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what is the amount of the operating cash flow for a with $342,725 profit before tax 100,000 depreciation expense, and a 35% marginal tax rate?

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The operating cash flow for a company with a $342,725 profit before tax, $100,000 depreciation expense, and a 35% marginal tax rate is $247,354.

To calculate the operating cash flow, we start with the profit before tax of $342,725 and add back the depreciation expense of $100,000, giving us a total of $442,725. We then multiply this by the marginal tax rate of 35% to get the tax amount of $154,970. Subtracting the tax amount from the total gives us an operating cash flow  $247,354. . This represents the cash generated by the company's operations and is used to pay for expenses, invest in assets, and distribute dividends to shareholders.

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your required rates of return for these investments are 3 percent for the bond, 5 percent for the preferred stock, and 12 percent for the common stock. using this information, answer the following questions. which investment would you select? why? what required rates of return would make you indifferent to all three options?

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Based on the given required rates of return, the preferred stock would be the preferred investment choice.

The preferred stock has a required rate of return of 5 percent, which is higher than the bond's 3 percent but lower than the common stock's 12 percent. This suggests that the preferred stock offers a balance between risk and return compared to the other options.

To be indifferent to all three options, an investor would require a rate of return equal to the expected return of each investment. In this case, the investor would need a required rate of return of 3 percent for the bond, 5 percent for the preferred stock, and 12 percent for the common stock.

By setting the required rates of return equal to the expected returns, the investor would consider all three options equally attractive, as they would be receiving the expected returns they desire for each investment.

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true or false. an accumulated depreciation account is considered an account with a natural credit balance, meaning the account increases with debits and decreases with credits.

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True. Accumulated depreciation is a contra-asset account that is credited when recording depreciation expense. The credit balance in the accumulated depreciation account represents the total amount of an asset's cost that has been expensed over time.

Accumulated depreciation is a way to track the total amount of depreciation expense that has been charged against an asset over its useful life. When a company purchases an asset, it is recorded on the balance sheet as a fixed asset. Each year, a portion of the asset's cost is expensed as depreciation. This is recorded as a debit to depreciation expense and a credit to accumulated depreciation. As a result, accumulated depreciation has a natural credit balance, which means it increases with credits and decreases with debits. At the end of an asset's useful life, the accumulated depreciation balance should equal the asset's original cost, and no further depreciation is recorded.

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____ represents the amount of stockholders' equity that the corporation has earned through profitable operations less any dividends declared.

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Retained earnings represent the amount of stockholders' equity that the corporation has earned through profitable operations less any dividends declared.

Operations refer to the core activities or processes within organization that are necessary for its day-to-day functioning and delivery of products or services to customers. These activities can include production, manufacturing, distribution, sales, customer support, and administrative functions. Operations management involves planning, and controlling these activities to ensure efficiency, productivity, and quality. It focuses on optimizing resources, managing supply chains, and meeting customer demands. Effective operations management is crucial for achieving operational excellence, improving competitiveness, or maximizing profitability within an organization.

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information for kent corporation for the year 2024: reconciliation of pretax accounting income and taxable income: pretax accounting income $ 181,100 permanent differences (14,900) 166,200 temporary difference-depreciation (11,500) taxable income $ 154,700 cumulative future taxable amounts all from depreciation temporary differences: as of december 31, 2023 $ 11,500 as of december 31, 2024 $ 23,000 the enacted tax rate was 23% for 2023 and thereafter. what should be the balance in kent's deferred tax liability account as of december 31, 2024?

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The balance in Kent Corporation's deferred tax liability account as of December 31, 2024, should be $2,645.

To determine the balance in Kent Corporation's deferred tax liability account as of December 31, 2024, we need to calculate the cumulative temporary difference related to depreciation and apply the enacted tax rate.

The cumulative temporary difference related to depreciation is the difference between the tax basis and the book basis of the assets. From the given information, we can calculate the change in the cumulative temporary difference from December 31, 2023, to December 31, 2024, which is $23,000 - $11,500 = $11,500.

Next, we need to calculate the deferred tax liability based on the cumulative temporary difference and the enacted tax rate. Since the enacted tax rate is 23%, we multiply the cumulative temporary difference of $11,500 by 23% to get the deferred tax liability.

Deferred tax liability = $11,500 * 0.23 = $2,645

Therefore, the balance in Kent Corporation's deferred tax liability account as of December 31, 2024, should be $2,645.

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Filter Corp. has a project available with the following cash flows: Year Cash Flow 0 −$16,000 1 5800​ 2 7100​ 3 6100​ 4 4900​What is the project's IRR? Group of answer choices a. 18.84% b. 20.93%c. 21.98%d. 19.62%e. 20.41%

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The project's Internal Rate of Return (IRR) is a measure of the project's profitability and represents the discount rate at which the net present value (NPV) of the cash flows becomes zero. In this case, we have the following cash flows:

Year 0: -$16,000

Year 1: $5,800

Year 2: $7,100

Year 3: $6,100

Year 4: $4,900

To find the IRR, we need to find the discount rate that equates the present value of these cash flows to zero. By applying various discount rates, we can determine that the IRR of the project is approximately 21.98%.

This implies that the project is expected to generate a return of 21.98% on the invested capital over its lifetime. It indicates that the project's cash inflows are sufficient to yield a rate of return that exceeds the cost of capital.

The IRR is commonly used as a decision-making tool to assess the attractiveness of an investment project. If the IRR exceeds the required rate of return or hurdle rate, it suggests that the project is potentially viable and may generate positive returns.

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suppose in a country you're given the following information: - the number unemployed is 88 - the total population is 1,675 - the number employed is 880 - the number of discouraged workers is 51. the unemployment rate is equal to

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The unemployment rate in this country is 9.09%.

Unemployment rate = (number of unemployed / labor force) x 100%

So, the labor force is:

Labor force = number of employed + number of unemployed

Labor force = 880 + 88

Labor force = 968

Therefore, the unemployment rate is:

Unemployment rate = (88 / 968) x 100%

Unemployment rate = 9.09%

Unemployment is a phenomenon where a significant portion of the workforce in a country or region is without a job and actively seeking employment. It is usually measured as a percentage of the total workforce or labor force participation rate. The causes of unemployment can be many, including economic downturns, technological advancements that replace human labor, and structural changes in the economy.

Unemployment has far-reaching consequences for individuals, families, and society at large, such as loss of income, poverty, reduced consumer demand, and social unrest. Governments and international organizations often implement policies and programs to address unemployment, such as providing job training and education, creating job opportunities, and supporting industries that generate employment. Measuring and understanding the dynamics of unemployment is crucial for policymakers and economists to ensure the stability and growth of economies and societies.

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costs and benefits of inflation a. explain why unexpectedly high inflation rates benefit borrowers. (4 points) b. explain why unexpectedly low inflation rates benefit lenders. (4 points) c. define hyperinflation and list at least two costs it imposes on individuals or the society.

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a. Unexpectedly high inflation rates benefit borrowers because the value of money decreases over time.

When borrowers repay loans with inflated currency, the real value of the debt is reduced. For example, if someone borrowed $1,000 and experienced high inflation, they could repay the debt with money that has a lower purchasing power. This effectively reduces the burden of the debt for borrowers.

b. Unexpectedly low inflation rates benefit lenders because the value of money remains relatively stable.

Lenders receive loan repayments in currency that has retained its purchasing power. As a result, lenders are repaid with money that has the same or similar value as when the loan was granted. This preserves the real value of the funds lent out and allows lenders to maintain their purchasing power.

c. Hyperinflation refers to an extreme and rapid increase in prices within an economy.

It is characterized by extremely high inflation rates, typically exceeding 50% per month. Hyperinflation imposes significant costs on individuals and society. Two major costs include eroding purchasing power and economic instability. As prices skyrocket, people's savings lose value rapidly, making it difficult for individuals to afford basic necessities. Additionally, hyperinflation often leads to economic instability, with disruptions in production, investment, and employment, causing significant hardships for individuals and leading to social and political unrest.

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assume a firm employs debt in its capital structure. which of the following statements is accurate? multiple choice the wacc will remain constant unless a company retires some of its debt. the wacc would most likely decrease if the firm replaced its preferred stock with debt. in the wacc calculation, the weight of equity is based on the number of shares outstanding and the book value per share. the wacc will decrease as the corporate tax rate decreases. in the wacc calculation, the weight assigned to preferred stock decreases as the market value of the preferred stock increases.

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The statement that is accurate is:"The WACC will decrease as the corporate tax rate decreases."

WACC (Weighted Average Cost of Capital) is the average cost of all the capital sources used by a company, including debt, equity, and preferred stock. The cost of debt is tax-deductible, which means the effective cost of debt is lower than the nominal rate. Therefore, as the corporate tax rate decreases, the cost of debt decreases, leading to a decrease in the overall WACC. The other statements are not accurate.

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do creditors always report activity on your account and all new accounts to the three credit reporting bureaus?

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Not all creditors report activity on your account and all new accounts to the three credit reporting bureaus.

While many creditors do report to the major credit bureaus (Equifax, Experian, and TransUnion), some may only report to one or two, and some may not report at all. In addition, the timing of when a creditor reports to the bureaus may vary, and some may report more frequently than others. It is important to review your credit reports regularly to ensure that all of your accounts are being reported accurately and to dispute any errors. It is also a good idea to communicate with your creditors to understand their reporting policies and to request that they report to all three bureaus if they are not already doing so.

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what waterway opened up the great lakes to improved global trade connections?

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The waterway that opened up the Great Lakes to improved global trade connections is the St. Lawrence Seaway.

The St. Lawrence Seaway is a system of locks, canals, and channels that allows ships to navigate from the Atlantic Ocean to the Great Lakes. It connects the seaport of Montreal in Canada to the Great Lakes, providing access to the cities of Toronto, Chicago, Detroit, and other major industrial and commercial centers located along the Great Lakes region.

The opening of the St. Lawrence Seaway in 1959 had a significant impact on trade and transportation, as it allowed larger ocean-going vessels to reach the inland ports of the Great Lakes. This facilitated the movement of goods and raw materials between the Great Lakes and global markets, enhancing trade connections and opening up new economic opportunities for the region.

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which of the following identifies an unintended result from recycling programs?responsesrecycling is a cost-effective and low-energy process that turns waste into usable goods.recycling is a cost-effective and low-energy process that turns waste into usable goods.recycling plastic wrappers from food allows for increased compost material.recycling plastic wrappers from food allows for increased compost material.when items are placed in recycling that cannot be recycled, the cost of recycling increases.when items are placed in recycling that cannot be recycled, the cost of recycling increases.when materials are recycled, it reduces the need for extracting and processing raw materials.

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The unintended result of recycling programs is: when items are placed in recycling that cannot be recycled, the cost of recycling increases.

While recycling programs aim to promote sustainability and reduce waste, one unintended consequence is the improper disposal of items that are not recyclable. When non-recyclable items are mistakenly placed in recycling bins, it can lead to contamination of the recycling stream. Contamination increases the cost of recycling because it requires additional sorting, processing, and disposal of non-recyclable materials. Recycling programs work most efficiently when only recyclable materials are included. Therefore, it is important for individuals to be aware of what can and cannot be recycled in their specific recycling programs. Proper education and clear labeling can help minimize contamination and maintain the cost-effectiveness of recycling initiatives.

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the following represents the probability distribution for the daily demand of computers at a local store. demand probability 0 0.05 1 0.3 2 0.25 3 0.25 4 0.15 what is the probability of having a demand for at least two computers?

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The probability distribution provided shows the different probabilities for the demand of computers at a local store.

To find the probability of having a demand for at least two computers, we need to add up the probabilities for demand of 2, 3, and 4 since those represent demands of at least two computers.
Thus, the probability of having a demand for at least two computers is:
0.25 + 0.25 + 0.15 = 0.65
This means that there is a 65% chance that the local store will have a daily demand for at least two computers. It is important to note that the total probabilities in the distribution add up to 1, indicating that all possible outcomes are accounted for.

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suppose a government estimates that each pack of cigarettes' consumed causes $3 in external damage in the form of second-hand smoke. if 4 million packs of cigarettes are sold per year, and the government decides to use a pigouvian tax to regulate this market, how much should it tax each pack of cigarettes, in dollars?

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To determine the appropriate pigouvian tax on each pack of cigarettes, the government must take into account the external costs associated with smoking. In this scenario, the estimated external damage caused by each pack of cigarettes is $3 in the form of second-hand smoke.

Therefore, the government should impose a tax that is equal to the external cost per pack, which is $3.To calculate the total tax revenue that would be generated from this tax, we can multiply the tax per pack by the number of packs sold per year. In this case, 4 million packs of cigarettes are sold annually, so the total tax revenue would be:
4 million packs x $3 per pack = $12 million in tax revenue

This revenue can be used by the government to address the negative externalities of smoking, such as funding public health campaigns or subsidizing smoking cessation programs. By implementing a pigouvian tax, the government can incentivize smokers to internalize the external costs of their behavior and reduce the harm caused to non-smokers.

In conclusion, the government should tax each pack of cigarettes by $3 to account for the external damage caused by second-hand smoke. This Pigouvian tax aims to correct market inefficiencies and encourage consumers to consider the societal costs of their consumption choices.

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9. how do the three major financial statements of a government hospital differ from a private not-for-profit hospital?

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The three major financial statements of a government hospital differ from a private not-for-profit hospital in terms of their reporting requirements and sources of funding.

Explanation:

1. Reporting Requirements: A government hospital is required to follow the Generally Accepted Accounting Principles (GAAP) and prepare financial statements that are consistent with these standards. In contrast, a private not-for-profit hospital may follow either GAAP or Financial Accounting Standards Board (FASB) standards, depending on their organizational structure.

2. Sources of Funding: Government hospitals receive a significant portion of their funding from government sources such as Medicare, Medicaid, and other federal or state programs. Private not-for-profit hospitals, on the other hand, may receive funding from donations, grants, and private insurers.

Now let's take a closer look at the three major financial statements and how they differ between these two types of hospitals:

1. Income Statement: The income statement of a government hospital would report revenues and expenses based on GAAP standards and would reflect the sources of funding, including government sources. In contrast, a private not-for-profit hospital may report revenues and expenses based on either GAAP or FASB standards, depending on their organizational structure. Additionally, the income statement of a private not-for-profit hospital may reflect donations and grants as sources of funding.

2. Balance Sheet: The balance sheet of a government hospital would report assets and liabilities based on GAAP standards, including any investments and cash balances held in trust. In contrast, a private not-for-profit hospital may report assets and liabilities based on either GAAP or FASB standards, depending on their organizational structure. Additionally, the balance sheet of a private not-for-profit hospital may reflect any endowments or other restricted funds.

3. Cash Flow Statement: The cash flow statement of a government hospital would report the sources and uses of cash based on GAAP standards, including any cash inflows or outflows related to government funding sources. In contrast, a private not-for-profit hospital may report cash flows based on either GAAP or FASB standards, depending on their organizational structure. Additionally, the cash flow statement of a private not-for-profit hospital may reflect any cash inflows or outflows related to donations or grants.

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what are the two main functions of the foreign exchange market?a. trading of equities of foreign companies and currency conversionb. reducing currency volatility and setting interest ratesc. insuring companies against interest rate risk and enabling imports and exportsd. currency conversion and providing some insurance against foreign exchange risk

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The two main functions of the foreign exchange market are to convert currencies and to provide some insurance against currency risk.

1. Currency Conversion: One of the primary functions of the foreign exchange market is to facilitate the conversion of one currency into another. This is essential for international trade and investment. When companies or individuals engage in cross-border transactions, they often need to convert their home currency into the recipient's foreign currency. The foreign exchange market provides a platform where currencies can be bought and sold, allowing participants to exchange one currency for another at the prevailing exchange rate.

2. Providing insurance against currency risk: The foreign exchange market also serves as a means of managing and mitigating currency risk. Fluctuations in exchange rates can bring uncertainty and risk to businesses engaged in international trade and investment. The foreign exchange market allows market participants to engage in hedging activities, such as buying or selling forward contracts or options, to protect themselves against adverse currency movements. These financial instruments provide a level of insurance by allowing participants to lock in exchange rates in advance, reducing the potential impact of currency fluctuations on their transactions.

While options A, B and C mention some elements related to the foreign exchange market, they do not include comprehensive functions. Trading in shares of foreign companies is not the primary function of the foreign exchange market, although it may be facilitated in some cases. Similarly, although reducing currency volatility and setting interest rates may be indirectly influenced by the foreign exchange market, they are not its primary function. Insurance against interest rate risk and enabling imports and exports (variant C) primarily fall under the purview of other financial markets and institutions, such as the bond market or trade financing mechanisms.

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The length of time for which a firm will borrow money often depends on how long it takes to convert inventory into ___________.

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The length of time for which a firm will borrow money often depends on how long it takes to convert inventory into cash.

When a firm borrows money, it typically does so to finance its operations, invest in growth, or manage cash flow gaps.

The length of time for which the firm needs to borrow money can vary depending on several factors, one of which is the time it takes to convert inventory into cash.

Inventory refers to the goods or products that a company holds for sale in the ordinary course of business . It represents an investment of capital for the firm. The process of converting inventory into cash involves selling the products to customers and collecting payment.

The time it takes to convert inventory into cash is influenced by various factors, including the nature of the business, industry dynamics, market demand, production cycle, and sales cycle. For example, a retail company selling fast-moving consumer goods may have a relatively short inventory conversion period, as the products have high demand and sell quickly. On the other hand, a manufacturing company producing complex machinery may have a longer inventory conversion period, as it takes time to manufacture, deliver, and ll the equipment.

However, if the inventory conversion period is long, the firm may face challenges in generating cash from its inventory to cover expenses, such as paying suppliers, meeting payroll, or repaying existing debts. In such cases, the firm may need to borrow money to bridge the gap between inventory investment and cash inflows.

In summary, the length of time for which a firm needs to borrow money is influenced by various factors, including the time it takes to convert inventory into cash. Understanding the inventory conversion period helps businesses plan their borrowing needs and manage their cash flow effectively.

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which of the following statements would a person most likely make when talking about warehouse retailers?

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A person most likely would make the following statement when talking about warehouse retailers:

"I love shopping at warehouse retailers because they offer bulk quantities of products at discounted prices."

Warehouse retailers, such as Costco, Sam's Club, or BJ's Wholesale Club, are known for their large store formats and membership-based business models. They typically offer a wide range of products, including groceries, household items, electronics, and more, in larger quantities than traditional retailers. Customers often appreciate the value and savings they can get by purchasing in bulk, as it allows them to stock up on essentials and enjoy lower prices per unit compared to regular retail stores.

The statement highlights the key features and benefits of warehouse retailers, including the availability of bulk quantities and discounted prices.

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a company has a market capitilization of $20,000,000. it has 30% of its market cap sold under preferred stock and 70% under common stock? haow much money of the market capitalization is preferred stock?

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To calculate how much of the market capitalization is preferred stock, we need to first find out the total market value of the company's preferred and common stocks. Since the market capitalization of the company is $20,000,000, we can say that the total market value of the preferred and common stocks combined is also $20,000,000.

The market capitalization of the company is $20,000,000. Out of this, 30% is sold under preferred stock and 70% is sold under common stock. To find out how much of the market capitalization is preferred stock, we can use the following formula: Preferred Stock = Market Capitalization x % of Market Cap sold under Preferred Stock Let X be the market value of preferred stock.

Therefore, the market value of common stock would be (20,000,000 - X). Now, we know that 30% of the market cap is sold under preferred stock. Therefore: X = 0.3 * 20,000,000 X = 6,000,000 Hence, the market value of the preferred stock is $6,000,000.  To summarize, out of the company's market capitalization of $20,000,000, $6,000,000 is represented by preferred stock, and the remaining $14,000,000 is represented by common stock.

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the annual amount of a series of payments to be made at the end of each of the next 12 years is $500. what is the present worth of the payments at 7 percent interest compounded annually?

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The present worth of the series of payments at 7% interest compounded annually is $5,156.49.

To calculate the present worth of a series of payments, we can use the present value formula:

[tex]PV = PMT x [1 - 1 / (1 + r)^n] / r[/tex]

where PV is the present value, PMT is the annual payment, r is the interest rate, and n is the number of payments.

In this case, PMT is $500, r is 7%, and n is 12. Plugging these values into the formula, we get:

[tex]PV = $500 x [1 - 1 / (1 + 0.07)^12] / 0.07[/tex]

PV = $500 x [1 - 0.395849] / 0.07

PV = $500 x 10.31298

PV = $5,156.49

Therefore, the present worth of the series of payments at 7% interest compounded annually is $5,156.49.

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what mus be provided by an approve va appraiser showing the vlaue of the property to be equal or greater than the sales price

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An approved VA appraiser must provide a VA appraisal report showing the value of the property to be equal to or greater than the sales price.

The VA appraisal report is a document prepared by an approved VA appraiser that provides an assessment of the value of the property. It includes an evaluation of the property's condition, location, and comparable sales in the area. The report will typically contain an appraised value, which is the estimated fair market value of the property. For a property to meet the requirements of a VA loan, the appraised value needs to be equal to or greater than the sales price. This is to ensure that the property's value aligns with the amount being financed and protects the interests of both the borrower and the lender.

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Your coworker has just finished preparing a formal report for his manager. You notice that he has used several different fonts and some clip art on the cover page.What advice can you give him?a. Consider using photos instead of clip art.b. Use more colors.c. Keep the cover page simple and professional.

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The advice that can be given to the coworker is to keep the cover page simple and professional.

When it comes to creating a professional report, it is important to maintain a consistent and professional look throughout the document. Using several different fonts and clip art on the cover page can make the report look unprofessional and distracting.

Instead of using clip art, it would be better to use high-quality photos that are relevant to the report's topic. Additionally, using too many colors can make the report look chaotic and unprofessional. Therefore, the best advice is to keep the cover page simple and professional, using a standard font and minimal use of color.

This will help to create a clean, professional look for the report that is visually appealing and easy to read.

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All of the following are private businesses that collect and publish financial information on similar businesses and industries EXCEPT
a. Standard and Poor's.
O b. the National Federation of Independent Business.
c. Dun and Bradstreet.
d. Value Line.

Answers

The National Federation of Independent Business (NFIB) is not a private business that collects and publishes financial information on similar businesses and industries. Option B

Instead, NFIB is a nonprofit organization that provides advocacy, education, and networking opportunities for small businesses in the United States.

Standard and Poor's (S&P) is a leading provider of financial market intelligence, including credit ratings, indices, and analytics. S&P provides independent research, ratings, and benchmarking tools that help investors make informed decisions about investments.

Dun and Bradstreet (D&B) is another leading provider of business intelligence, providing data analytics, credit reporting, and other risk management solutions. D&B collects and analyzes data on millions of businesses worldwide to provide insights into market trends, financial performance, and other business metrics.

Value Line is an independent investment research firm that provides in-depth analysis and commentary on individual stocks, mutual funds, and other investments. Value Line's research tools and reports are widely used by investors and financial advisors to help them make informed investment decisions.

Overall, all of these private businesses are essential sources of financial information and analysis for investors, business owners, and other stakeholders. While NFIB does not provide financial data, its advocacy and education programs are critical for small businesses, which are an important driver of economic growth and job creation. Option B

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monica wants to sell her share of an investment to barney for $190,000 in 5 years. if money is worth 6% compounded semiannually, what would monica accept today?

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The present value of Monica's share of the investment, which she wants to sell for $190,000 in 5 years, given a semi-annual interest rate of 6% is approximately $138,700.

To calculate the present value of Monica's share of the investment, we can use the formula for present value of a future sum: PV = FV/(1+i)^n, where PV is the present value, FV is the future value, i is the interest rate per period, and n is the number of periods. In this case, FV is $190,000, i is 3% (6% divided by 2 since the interest is compounded semi-annually), and n is 10 (5 years times 2 since the interest is compounded semi-annually). Plugging in these values into the formula, we get: PV = $190,000/(1+0.03)^10 = $138,700.

Therefore, if Monica wants to sell her share of the investment for $190,000 in 5 years given a semi-annual interest rate of 6%, she should accept approximately $138,700 today.

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the buyer's assessment of the risk associated with a supplier is influenced by whether it is a non-critical, leverage, bottleneck, or strategic purchase.

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The buyer's assessment of the risk associated with a supplier is influenced by whether it is a non-critical, leverage, bottleneck, or strategic purchase.

When assessing suppliers, buyers consider various factors, including the level of risk associated with each supplier. The nature of the purchase plays a significant role in determining the perceived risk. Non-critical purchases refer to items or services that are readily available from multiple suppliers, making it easier for buyers to switch suppliers if needed.

Leverage purchases involve suppliers who have a significant impact on the buyer's business, often due to their market dominance or unique offerings. Bottleneck purchases refer to suppliers who provide critical inputs or services that are challenging to replace or find alternatives for.

Finally, strategic purchases involve suppliers that are crucial to the buyer's long-term strategy, such as key partners or suppliers of innovative technologies. The risk assessment for each of these purchase types differs based on their importance and the potential impact on the buyer's operations.

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magenta company purchased a machine from pink corporation on october 31, 2024. in payment for the $300,000 purchase, magenta issued a one-year installment note to be paid in equal monthly payments of $26,655 at the end of each month. the payments include interest at the rate of 12%. the amount of interest expense that magenta will report in its income statement for the year ended december 31, 2024, is:

Answers

To calculate the interest expense for the year ended December 31, 2024, we need to first determine the portion of the note payable that was outstanding during that year.

The note was issued on October 31, 2024, so there are two months remaining in the year (November and December). The outstanding balance of the note on December 31, 2024, can be calculated as follows:

Outstanding balance = $300,000 - ($26,655 x 2) = $246,690

Next, we need to calculate the interest expense for the two months. The interest rate is 12% per year, so the monthly rate is 1% (12% / 12 months). The interest expense for each of the two months is:

November interest expense = $246,690 x 1% = $2,467

December interest expense = $246,690 x 1% = $2,467

Therefore, the total interest expense for the year ended December 31, 2024, is $2,467 + $2,467 = $4,934.

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