One such unpaid leave that could be a benefit to Sabrina would be for her to retain her seniority and benefits during the leave.
What is unpaid leave?It corresponds to a leave policy that guarantees that the employee continues with his employment duties while he is absent from his work for some force majeure reason. In this type of leave, the employee does not receive compensation, as this has exceeded the benefits of the leave whose remuneration is mandatory by law.
Some types of paid leave are:
VacationPaid time offSick leaveTherefore, an unpaid leave is a legal way for the employee to leave for more days if necessary, not compromising their duties and not impacting the company's compensation plan.
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Martha Pim is a general partner in PLF Partnership. This year, Martha received a $48,000 guaranteed payment from PLF, and her distributive share of PLF's ordinary business income was $93,200. Which of the following is accurate?
A. Martha must pay income tax on $141,200 and self-employment tax on $48,000.
B. Martha must pay income tax on $141,200 and self-employment tax on $93,200.
C. Martha must pay both income tax and self-employment tax on $141,200.
D. Martha must pay income tax on $48,000 and self-employment tax on $93,200.
Martha must pay the income tax on $141,200 and the self-employment tax on $48,000 is accurate.
What is an income tax?An income tax is a charge levied against people or organizations (taxpayers) in relation to the income or profits they make. In most cases, income tax is calculated as the sum of the tax rate and the amount of taxable income. Taxable income for taxpayers who live in the jurisdiction is typically their total income less any additional deductions and costs incurred in earning that income. Only net gains from the sale of assets, including items held for sale, are typically included in income. Distributions of profits made by a firm are typically included in the income of its shareholders. Every item that generates money or is related to a business, including a provision for the cost of commercial assets, is normally deductible. Many jurisdictions permit hypothetical deductions for people as well as the possible deduction of some personal expenses.
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what is the net present value of investment ii assuming an 9% minimum rate of return? (pv of $1 and pva of $1) (do not round intermediate calculations. round your answer to nearest whole dollar.)
$5215 is the net present value of investment
Present value of annuity= Annuity [ 1 - (1+interest rate)^- time period ]/rate
=3400[1 - (1.09)^-4] / 0.09
=3400 x 3.239719877
=$11015.05
NPV = Present value of inflows - Present value of outflows
=$11015.05 - $5800
=$5215 (Approx.)
Present value (PV) refers to the present value of all future cash inflows in the company during a particular period of time whereas net present value (NPV) is the value derived by deducting the present value of all the cash outflows of the company from the present value of the total Cash inflows of the company.
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The federal funds rate is the interest rate at which banks can borrow and lend _____ in the _____ market.
The federal funds rate is the interest rate at which banks can borrow and lend reserves in the federal funds market. Correct answer: letter A.
The federal funds rate is the most important interest rate in the US economy because it influences other short-term interest rates, including those for mortgages, credit cards, and other types of loans.
By setting the federal funds rate, the Federal Reserve (the "Fed") is able to control the money supply and, in turn, the pace of economic growth.
What are federal funds?Federal funds are part of the federal budget and are used to finance government activities, such as:
EducationHealth careInfrastructureDefenseThey are also used to help stabilize the economy by providing money to banks and other financial institutions. The Federal Reserve holds a portion of these funds and lends them to the government when needed.
The federal funds rate is the interest rate at which banks can borrow and lend _____ in the _____ market. Indicate which option is the correct one:
A. Reserves; federal funds
B. Money; interbank
C. Money; federal funds
D. Reserves; interbank
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6. if the reserve ratio is 20 percent, then $100 of new reserves can generate a. $60 of new money in the economy. b. $250 of new money in the economy. c. $500 of new money in the economy. d. $2,000 of new money in the economy.
If the reserve ratio is 20 percent, then $100 of new reserves can generate $500 of new money in the economy.
We must identify the economy's money multiplier in order to determine how much a new reserve can contribute to that economy. We can determine the money multiplier if we are aware of the reserve ratio of the banking system.
The formula for money multiplier is 1/Reserve ratio
In the question the reserve ratio is 20% or 0.2 we will put this in the formula in order to find the money multiplier
Money multiplier = 1/0.2= 5
Now in order to find how much can a new reserve generate we will multiply the new reserve by the multiplier.
New reserve = $100
Money multiplier = 5
5*100= 500
So a $100 new reserve can generate $500 of new money in the economy.
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what is one of the advantages of monetary policy over fiscal policy? group of answer choices the opportunity for broad political influence its control over the size of federal budget deficits it can guarantee an expansion of aggregate demand when needed the quickness with which it can be used
One benefit of monetary policy over fiscal policy is that financial, banking, and monetary policy experts, not politicians, make the decisions.
What advantages do monetary policies have over fiscal ones?Monetary policy expansion can raise company earnings while having little effect on GDP by increasing asset prices and lowering borrowing costs. In contrast to monetary policy, which attempts to promote economic growth, fiscal policy focuses on either total spending, the general makeup of spending, or both.
What sets fiscal policy apart from monetary policy?A central bank's actions with the goal of influencing the amount of credit & money in an economy are referred to as "monetary policy." The government's decisions about taxation and expenditure are referred to as fiscal policy, on the other hand. Both monetary and fiscal policies are used to hold down the economy over time.
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for every happy customer who shares their satisfaction regarding a particular product or service with another person, a dissatisfied customer is likely to share his/her dissatisfaction with other people
For every happy customer who shares their satisfaction regarding a particular product or service with another person, a dissatisfied customer is likely to share his/her dissatisfaction with eight other people.
One example of customer service is when a purchaser gets a product (say, a sweatshirt) and the item would not healthy. you'll need to provide a manner for the purchaser to reach out to you in an effort to either go back the product or trade it for a distinct size.
If you're in a person's carrier that means you figure for her. the provider can also mean a verb that means "to restore," like while the upkeep whiz offerings the photocopier, or the mechanic services your vehicle. In church, a ceremony is likewise known as a provider. Definitions of the provider. an act of assist or assistance.
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breeze inc. receives payment of $800,000 for 4 wind turbines that were delivered and invoiced on credit in the previous month. how would this receipt impact the accounting equation of breeze inc.? select all that apply.
Assets rise by $800,000 as a result of the company receiving cash and fall by $800,000 as a result of the company losing the right to do so.
In order to take advantage of the inherent benefits of working as a team, such as significantly lowering the risks of the investment, one can invest money alongside other investors through an investment fund. These benefits include the capacity for: Increase asset diversification to lessen some unsystematic risk; employ professional investment managers who may give better returns and better risk management; take advantage of economies of scale, i.e., lower transaction costs. It is still unknown if professional active investment managers can consistently increase risk-adjusted returns by a sum greater than their fees and costs. Investment funds are frequently referred to as investment pools, collective investment vehicles, collective investment schemes, managed funds, or collective investment plans, depending on the language used.
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management is using its borrowed funds to enhance the earnings for shareholders of (a) gps corporation, (b) tru, inc., (c) both firms, or (d) neither firm during the period 2017-2021?
Management is using its borrowed funds to enhance the earnings for GPS corporation, Thus option (A) is correct.
What is management?In order to achieve desired goals and objectives, a person or group of people must be challenged and managed, according to the concept of management. Furthermore, the capacity to organize, supervise, and guide people is a component of management.
A fund is a collection of funds set aside for a certain objective. A fund may be created for a variety of objectives, including a city administration setting aside funds to construct a new civic center,
Therefore, Thus option (A) is correct.
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In 2021, Southwestern Corporation completed the treasury stock transactions listed below. February March May 2: Reacquired 77,000 shares at $12.70. 17: Sold 27,000 shares at $14.35. 17: Sold 32,800 shares at 58.35. Southwestern had issued 100,000 shares of its $1 par common stock for $10 several months ago Required: Prepare the journal entries to record the above transactions, using the cost method. (If no entry is require select "No journal entry required" in the first account field.)
Using the cost method Equity shares journal entry for feb 2 will be Bank A/c Dr. 9,77,900 To equity share application A/c 9,77,900, mar 17 equity share application A/c Dr, 3,87,450 To Bank A/c 3,87,450 may 17 equity share application A/c Dr 2,67,200 To Bank A/c 2,67,200.
Certain investments are recorded using the cost method of accounting in a company's financial statements. When an investor owns an investment that it has little or no control over—typically represented as owning less than 20% of the company—they use this method.
The investor lists the investment's cost as an asset. Dividend income is recorded as income when it is received and appears on the income statement. In either the investing section or the operating section of the cash flow statement, receiving a dividend also results in an increase in cash flow.
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Figure: A Real ShockReference: Ref 18-2 (37-2)(Figure: A Real Shock) Refer to the figure. After a real shock, the economy is operating at point Y in the figure. In the presence of crowding out, fiscal policy that would have shifted aggregate demand from AD 0 to AD 2 will only move the economy to point:(ALSO)(Figure: A Real Shock) Refer to the figure. After a real shock, the economy is operating at point Y in the figure. In the presence of crowding out, fiscal policy that would have shifted aggregate demand from AD0 to AD2 will only move the economy to point:X
In presence of crowding out, the fiscal policy that would have shifted the aggregate demand from AD0 to AD2 will only move economy to point X.
What is fiscal policy?In economics and political science, fiscal policy refers to the use of public revenue collection (taxes or tax cuts) and expenditure to influence a country's economy. The tenets of British economist John Maynard Keynes, whose Keynesian economics claimed that changes in the amount of government spending and taxation have an effect on aggregate demand and the level of economic activity, serve as the cornerstone of fiscal policy. The primary tools a government and central bank use to advance their country's economic objectives are fiscal and monetary policy. Combining these approaches enables these administrations to reduce inflation and increase employment. This implies that fiscal policy is used to maintain economic stability over the course of the business cycle.
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Toyota is designing its print media advertisements. It decides to use the least complexcopy technique to highlight the urgency of acting immediately. Which of the followingcopy techniques is it more likely to have chosen?a.Direct response copyb. Narrativec. Dialogued. Straight-line copy
Toyota is designing its print media advertisements. It decides to use the least complex copy technique to highlight the urgency of acting immediately. Direct response copy more likely to have chosen.
By narrating a tale before recommending a good or service which can assist in resolving their issue, narrative copy captures readers' attention. The strength of narrative advertising is that it's a soft sell, allowing readers to relate to the story and foster positive feelings towards the company.
Only a small percentage of us respond positively to being instructed to buy a product. Background story, flashbacks or retrospect, flash-forward, and foreshadowing are examples of common plot devices that can be used in a narrative. Plot is the series of events that constitute a narrative.
First person, second person, third person, and third-person omniscient are common strategies related to narrative viewpoint, or who is telling the story.
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a portfolio consists of $17,800 in stock m and $29,900 invested in stock n. the expected return on these stocks is 10.20 percent and 13.80 percent, respectively. what is the expected return on the portfolio?
The expected return on the portfolio is 11.53%.
How do we derive the expected return on the portfolio?Given that
Value in stock M = $17,800
Value in stock N = $29,900
Expected return on Stock M = 10.20%
Expected return on Stock N = 13.80%
Total value :
= Value in stock M + Value in stock N
= $17,800 + $29,900
= $47,700.
Expected Portfolio return on stock M:
= Return × Investment weight
= $17,800/ $47,700 * 13.80%
= 0.0514968553
= 5.14%
Expected Portfolio return on stock M:
= Return × Investment weight
= $29,900/ $47,700 * 10.20%
= 0.0639371069
= 6.39%
Expected return on the portfolio:
= Expected Portfolio return on stock M + Expected Portfolio return on stock N
= 5.14% + 6.39%
= 0.1153
= 11.53%
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a scrum team is experiencing a growing list of impediments. which techniques would most be helpful in this situation
Inform management of the obstacles and their effects. Speak with the creation techniques. Work through the list in order of priority. The Scrum Team benefits from the Scrum Master.
By giving the team members cross-functional and self-management coaching. Concentrate on producing high-value incremental changes that adhere to the Definition of Done. Encourage the eradication of obstacles preventing the Scrum Team's advancement. The daily scrum is controlled by the scrum techniques. Daily sprint preparation, review, and retrospectives are required. Eliminating obstacles and assisting the team in becoming more structured and empowered to develop and make decisions are their main responsibilities.
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using information systems to help foresee corporate business opportunities and threats might be done by all levels of management, but it is most important for which management level?
Foresee corporate business opportunities and threats might be done by all levels of management, but it is most important for top level managers
Top level managers :
Top level managers are the people who represent the highest level of leadership. Top His manager often uses the word "chief" for titles, such as Chief Executive Officer, Chief Financial Officer. These managers help keep the company growing and execute plans for the long term.
What role does the top manager play?The top-level manager is responsible for creating and implementing organizational plans and policies and is an executive at his level of expertise. They act as an intermediary between top and bottom management levels. These professionals can work to guide the overall direction of the organization.
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the power to raise price above marginal cost without fear that other firms will enter the market is: cost power. firm power. marginal power. market power.
Market power is the ability to raise prices above marginal costs without worrying that rival businesses may enter the market. The correct answer is market power.
What is market power?
Market or monopolistic power is defined as a company's (or group of companies) capacity to increase and maintain prices above the level that would prevail in the absence of competition. Reduced output and decreased economic welfare result from the use of market power. If there is a major lowering of competition, it either already exists or is expected to happen based on the present or projected exercise of market power.
An approach used in the administration of merger policy in the United States and Canada aims to foresee whether the parties can implement a non-transitory price increase above a specific threshold level (say, 5 or 10 percent), which will vary depending on the case, without luring in new firms or spurring the production of substitute products after the merger. An in-depth analysis of factors affecting corporate behavior, market structure, and both qualitative and quantitative market structure determines their capacity to maintain or beyond this price threshold.
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jed invents a self-walking dog leash, and his neighbor watched through the window as jed invented this leash. jed would need to file which of the following to protect his invention from copying? a. copyright b. trademark c. patent d. service mark
Jed leads to self dog leash, but his neighbor observed from his window as he worked on this patent.
What else could I use in place of the a dog leash?Any length of strong cord or wire that can be safely fastened to your dog's collar will work. You might make use of extra rope, string, stockings, or an old belt.
Which leash is ideal for dogs?Traditional 6-foot cotton or leather leashes work well for walking dogs. 6 feet is a sufficient length to allow for mobility while still having your dog close by or under your control. You can choose between nylon and leather. However, stay away from other materials like cotton and rubber because they aren't as sturdy or long-lasting.
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unearned revenue, an operating liability, arises when a company receives cash before any goods are delivered or services are rendered. select one: true false
It is accurate to say that when a business receives money before providing any goods or services, unearned income, an operating liability, results. Therefore, the statement is true.
What is operating liability?Operating liabilities are the costs that businesses incur to maintain their operations, such as income taxes and accounts payable.
Accounts payable amounts owed to creditors who have expensed the company, accrued expenses, and amounts owed to suppliers for whom the company has not yet received an invoice and must estimate the liability are examples of operating liabilities that are related to the day-to-day operations of the business.
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Jaxson has a collection of 280 coins. How many coins represent 20% of his collection?.
56 coins represent 20% of his collection 280.
The percentage is a ratio expressed as a term of 100. Often represented by the percent sign percent. Latin expressions came to English in the 16th century. It was later abbreviated to percent. Ultimately the period was removed and the two parts were combined to produce the modern percent of his one-word form.
calculation:-
Total coins = 280
percentage = 20 %
number of collection = 20% of 280
= 56 coins.
Percentages are part of a whole numbers and are expressed as numbers from 0 to 100, not fractions. Everything is 100%, half of it is 50%, and nothing is 0%. To determine percentages, divide part of the whole by itself and multiply by 100. Percentages can be calculated by dividing the value by the total and multiplying the result by 100.
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duke corporation is issuing $5 million in 30-year, 8% bonds, with bonds bearing a par value of $1,000. flotation costs will be 3% of the par value. what is the net proceeds from the sale of each bond, assuming that the bonds sell at par
When a bond with a $1,000 par value can be purchased for more than $1,000, it is selling at a premium, and when it can be purchased for less than $1,000, it is selling at a discount.
What exactly does it imply when a bond trades at par?A bond's yield is equal to its coupon when it trades at par. For the risk of lending money to the bond issuer, investors anticipate receiving a return equivalent to the coupon.
Why is par value important?A single common share's par value is determined by the charter of a corporation. It usually has nothing to do with the shares' actual worth. Actually, it's frequently lower. The par value is stated on each stock certificate that is issued for shares that are bought. A firm has the option to specify a par value when authorizing shares or not.
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Question:
duke corporation is issuing $5 million in 30-year, 8% bonds, with bonds bearing a par value of $1,000. flotation costs will be 3% of the par value. what is the net proceeds from the sale of each bond, assuming that the bonds sell at par?
If the bonds sell, then bonds buy = 970, which represents the net revenues from each bond sale.
What Do Bonds Do?In consideration for monthly interest expenses, a bondholder loans money to a business or the government for a predetermined length of time. The investor makes a fixed-term loan of wealth (the capital) to a business and the sovereign in exchange for a stream of loan repayments (the yield).
What is a bond, for instance?There are various types of bonds: the federal government issues Treasury securities; state and local governments issue municipal bonds; and businesses issue corporate bonds. High-yield bonds, government securities, including wealth securities are some more varieties of bonds.
Briefing:Bonds sell = Sale Price - Float Coast
= (1000)-(1000x.03)
= 1000-30
= 1000-30
Bonds sell = 970
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When raw material acquisitions were recorded, the improper unit price was included in the perpetual inventory master file. Therefore, the inventory valuation was misstated because the physical inventory was priced by referring to the perpetual records.
Examine appropriate unit price of raw material in master file with perpetual records.
The incorrect unit price was recorded when purchasing raw materials, and it was stored in the perpetual inventory master file. The physical inventory was priced using the permanent records, hence the inventory valuation was inaccurate.
With computerised point-of-sale systems, perpetual inventory is a form of accounting that continuously records inventory changes in real time, doing away with the necessity for physical inventory inspections. With fast reporting of the amount of inventory on hand and an accurate reflection of the quantity of goods in stock, it offers a highly detailed perspective of changes in inventory.
When using this approach, a business does not make any effort to maintain thorough records of the products it has on hand; instead, purchases are noted as debits to the inventory database. The price of things is actually high.
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you work for a large company as the it administrator. with the many external attacks being perpetrated in the form of security breaches, you are concerned that your windows 11 computers may be vulnerable. you also want to ensure that windows is using the latest features.
You work as an IT administrator for a large corporation and are subject to numerous external attacks in the form of security breaches, you should update your window.
A window is a distinct viewing area on a computer display screen that is part of a system that allows multiple viewing areas as part of a graphical user interface ( GUI ). As part of a windowing system, windows are managed by a windows manager.
A window is, for example, the browser window you're using to view this web page. Windows allows users to work with or view multiple programs at the same time.
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the trucking firm hired by your transportation manager provides a trucking service between the city of sacramento and the surrounding towns on a regular schedule and at fixed prices. the trucking firm saves transportation costs by transporting the goods using trains as well as trucks, instead of trucks alone. your transportation manager has hired a(n) carrier.
If the trucking firm saves transportation costs by transporting the goods using trains as well as trucks, instead of trucks alone. your transportation manager has hired a(n) piggyback carrier.
What is piggyback?Piggyback carrier can be defined as the way in which load or goods are transported using the back of a person. Example of piggyback is when a person carries another person on their back.
Piggyback is a mode of transportation as people can use this method to transport goods. This scenario is an example of piggyback carrier based on the fact the goods are been transported using the back of the train as well as the truck.
Therefore this is example of piggyback.
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how much should the emergency fund hold, according to the recommendation for creating a responsible financial plan for personal finances?
A typical emergency fund is 3-6 months of living expenses. This also equates to roughly four months' salary.
While the size of your emergency fund will vary depending on your lifestyle, monthly costs, income, and dependents, the general rule is to save three to six months' worth of expenses.While emergencies cannot always be avoided, having emergency savings can take some of the financial stings out of dealing with these unexpected events.
An emergency fund is a cash reserve set aside specifically for unplanned expenses or financial emergencies. Car repairs, home repairs, medical bills, or a loss of income are all common examples.
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when a country opens its markets to international trade, if the world price is greater than the domestic equilibrium price,:
The statement reflects that when a country opens its markets to international trade, if the world price is greater than the internal equilibrium price, the foreign quantity supplied will increase, so total production increases
International TradeIt is about any economic movement in which people or entities from different countries are involved, This activity is the engine of growth for the world, through this, it incorporates imports and exports of products and services through different countries and their markets.
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the key question you want to keep in mind while undertaking a social media audit is: ""what value is your organization adding to your customers through social media now vs. ?""
According to the scenario, "what value is your organization adding to your customers through social media now vs. the value you want to be adding."
What is a social media audit?An analysis of your company's analytics to determine growth, prospects, and what can be done to enhance your social presence is known as a social media audit. By the way, don't let the word "audit" scare you. Auditing social media accounts don't have to be time-consuming or difficult.
By doing social media audits, you can eliminate marketing's element of guessing and find and monitor the KPIs that allow you to gauge your ROI. In the always-evolving world of social media, these insights might provide you with a competitive advantage in growing your reach and converting leads.
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the strategy whereby one compares the current state to the goal state, often using this information to break a large problem into smaller subproblems, is called
The means-end analysis method compares the current condition to the desired state, frequently using this information to divide a major problem into smaller subproblems.
What is a sample of an end analysis?In a means-ends analysis, the issue solver starts by imagining the end result, or ultimate objective, and then decides the best course of action for achieving the objective given his existing circumstances. For instance, if you wanted to drive between York City to Massachusetts as quickly as you could.
What's the mean final analysis like?the target state and the issues with the current situation. You can carry out this on a large or small scale. Compare the present situation to the desired outcome that you outlined. If both of these situations are present, don't take any further action.
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your client, devin, asks about the risks and benefits of locking in a rate. you explain that which of the following is a risk he should consider?
The risk of locking the interest rate is that some shady lenders let lock periods expire, if interest rates rise under the pretense that the borrower could not process the paperwork in time and the client may also incur loss if interest rates are lowered than the locked rate.
What happens when you lock an interest rate?If your interest rate is locked, as long as you close within the allotted time frame and make no modifications to your application, your rate won't change from the time you receive the rate lock and closing.
When you lock your interest rate, it will remain the same during the duration of the rate lock, regardless of shifting market conditions. If there are adjustments made before your loan closes, your final interest rate can be greater or lower than what you were first offered. When buying a property, a mortgage rate lock can help eliminate financial uncertainties.
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an equity alliance creates weaker ties between the alliance partners when compared to a nonequity alliance. an equity alliance is based on contractual agreements rather than partial ownership. in an equity alliance, a standalone organization is created that is jointly owned by two or more parent companies. in an equity alliance, the partners frequently exchange personnel to make the acquisition of tacit knowledge possible.
In an equity partnership, individuals are routinely swapped between the partners to facilitate the accumulation of tacit knowledge.
What does equity mean in its simplest form?The amount of money that a company's owner has invested in or owns is known as equity. The difference between a firm's obligations and assets on its balance sheet indicates how much capital the company has. The equity value is calculated using the stock price or even a value established by valuation specialists or investors.
Which four categories of equity are there?Incentives stock grants (ISOs), quasi restricted stock (NSOs), restricted share or stock options units (RSUs), and employee purchase plans (ESPPs) are the four varieties of stock splits you are most likely to come across (ESPPs).
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true or false: as the pressure to reduce costs increases, the best entry modes are franchising and joint ventures.
Businesses can use franchising as a model for scaling up with limited resources.International franchising is a way for businesses to enter new markets that gives them little control and little risk.
Which three statements about franchising are accurate?
A royalty is typically paid to the franchiser.It has a longer time commitment than a license, but it is similar to one.The franchisee agrees to follow strict business regulations.
What three benefits do joint ventures offer?
Sharing the costs and risks of opening a foreign market, as well as gaining local knowledge and political influence, are advantages of joint ventures.The possibility of losing control over technology and a lack of tight control are disadvantages.
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financial leverage. given the results of the break-even analysis, natural bodyworks has decided to produce the ab stretcher and forecasts sales of 4,000 units, with an expected noi of $480,000. they face a 21% tax rate. the managers now face the financing decision. the project has initial costs of $2,000,000, which must be raised by issuing financial securities. they can raise the entire amount by selling 40,000 shares of stock at $50 per share. they can raise $800,000 via bonds, and the remaining $1,200,000 by selling 24,000 shares of stock. the bonds would require annual interest payments of $80,000. what is the eps of the preferred capital structure?
The preferred capital structure's earnings per share (EPS) (mixed equity and debt) is $13.17.
What are the earnings per share?The earnings per share represent the percentage or ratio of the net income available for distribution to common stockholders.
The earnings per share are computed by dividing the net income by the number of common stockholders.
Given the tax advantage provided by the interest on bonds, it seems that a mixture of equity and debt provides the preferred capital structure for earnings per share.
All-equity financing:Forecast sales = 4,000 units
Net operating income = $480,000
Tax expense (21% of $480,000) = $100,800
Net income with all-equity financing = $379,200 ($480,000 - $100,800)
The number of shares = 40,000
Earnings per share (EPS) = $9.48 ($379,200 ÷ 40,000)
Mixed Capital Structure:Net operating income = $480,000
Annual interest on bonds = $80,000
Income before tax = $400,000
Tax expense (21% of $400,00) = $84,000
Net income = $316,000 ($400,000 - $84,000)
The number of shares = 40,000
Earnings per share (EPS) = $13.17 ($316,000 ÷ 24,000)
Thus, the earnings per share of the preferred capital structure are $13.17 because common stockholders benefit more from a mixed capital structure than all-equity financing.
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