The preferred stock of a firm is selling for $50 and the dividends on the preferred stock is $5 per share. Calculate the cost of preferred equity for the firm. 8% 12% 6% 10%

Answers

Answer 1

The cost of preferred equity refers to the return required by investors who invest in the preferred shares of the firm. The cost of preferred equity, which is the dividend yield, is computed by dividing the annual dividend by the market price of a single share of the preferred stock.

In this case, the preferred stock of the firm is selling for [tex]$50[/tex], and the dividends on the preferred stock are [tex]$5[/tex] per share. Thus, the cost of preferred equity is given as:

Cost of Preferred Equity = Annual Dividend / Market Price of a Share of Preferred

[tex]Stock Cost of Preferred Equity = $5 / $50[/tex]

[tex]= 0.1 or 10%[/tex]

Therefore, the cost of preferred equity for the firm is [tex]10%[/tex].

Note: Preferred stock is a form of equity financing, and the cost of preferred equity is considered to be a fixed cost since the dividend payment on preferred shares is usually fixed.

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Demand for Australian salmon is given by Q=24−P, and its supply by Q=8P. Suppose the government imposes a $4 per-unit tax on consumers. What would be the final price that consumers pay?

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The final price that consumers pay is $8.

The equilibrium price and quantity of Australian salmon are $6 per unit and 18 units respectively.

Let's examine how to calculate the final price that consumers pay when the government imposes a $4 per unit tax on consumers.

Calculation of price after imposition of tax:P - $4 = 24 - 8PP - 8P

= 20P

= $4P

= $4/2

= $2.00

The equilibrium price was $6 and the tax imposed was $2 so the final price that consumers pay is:

$6 + $2 = $8

Therefore, the final price that consumers pay is $8.

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If the nominal wages of carpenters rose by 3 percent in 2019 and the price level increased by 5 percent, then the real wages of carpenters Multiple Choice a. decreased by 3 percent.

b. decreased by 2 percent. c. increased by 2 percent. d. increased by 8 percent.

Answers

If the nominal wages of carpenters rose by 3 percent in 2019 and the price level increased by 5 percent, then the real wages of carpenters nt is: b. decreased by 2 percent.

What is the Change in Real Wages?

Using this formula to calculate the change in real wages is:

Change in Real Wages = Percentage change in nominal wages - Percentage change in price level

Let plug in the formula

Change in Real Wages = 3% - 5%

Change in Real Wages = -2%

Therefore the real wages is option b.

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Provide a strategy that assists a retail store to lower the cost of its operation using information technology. How does this strategy help in reducing the cost? Use business examples to support your answers.
How can the use of Internet Technology help companies in each type of agility? Give a real-world example to illustrate your answer.

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Implementing an inventory management system is one method that can help a retail company reduce its operational costs utilizing information technology. By maximizing inventory levels, reducing stockouts, and enhancing overall supply chain effectiveness, this tactic can aid in cost reduction.

Retailers may track and manage their inventory in real-time using an inventory management system, which is a software program. Businesses may make data-driven decisions and streamline their operations thanks to the information it provides about stock levels, demand patterns, and order fulfilment.

Visibility of the whole supply chain, from suppliers to distribution centers and retail establishments, is provided by an inventory management system. This information makes it possible to estimate demand effectively, expedite the purchasing process, and improve order fulfilment. Retailers can decrease manual errors, increase order accuracy, and improve overall supply chain efficiency by automating these procedures.

As an example, a chain of grocery stores links its inventory management system with those of its suppliers. The system automatically creates purchase orders to restock inventory when stock levels of particular products hit a set threshold. This automated ordering procedure cuts down on the time and effort needed for manual ordering, minimizes mistakes, and guarantees prompt delivery of the goods.

Retailers can reduce labor expenses and increase productivity by streamlining numerous operational processes with the aid of information technology. An inventory management system streamlines order processing, sales analysis, and inventory tracking with features including barcode scanning, automated data entry, and real-time reporting.

Using a point-of-sale system that can read barcodes, for instance, a hardware store. This makes it possible for cashiers to scan products fast and precisely, updating inventory records instantly and doing away with the need for manual data entry. This expedites the checkout process, shortens wait times, and improves operational effectiveness as a whole.

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your bank will pay you an interest rate of .097 percent per week. you want to have $22,000 in 10 years. how much will you have to deposit today? assume 52 weeks per year.

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You would need to deposit approximately $14,278.69 today in order to have $22,000 in 10 years, considering the given interest rate and compounding periods.

To calculate the amount you need to deposit today in order to have $22,000 in 10 years, we can use the compound interest formula.

The compound interest formula is given as:

[tex]A = P(1 + r/n)^{(nt)[/tex]

Where:

A = the future value (desired amount)

P = the principal (initial deposit)

r = the interest rate per period (in decimal form)

n = the number of compounding periods per year

t = the number of years

In this case, the interest rate is given as 0.097% per week, which is equivalent to 0.00097 as a decimal. We assume 52 weeks per year, so n = 52. The desired future value is $22,000, and the number of years is 10.

Plugging in the values into the formula, we get:

$22,000 = P(1 + 0.00097/52)⁵²⁰

Now we can solve for P:

P = $22,000 / (1 + 0.00097/52)⁵²⁰

Using a calculator, the value of P is approximately $14,278.69.

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Flounder Spa shows a general ledger balance for the Cash account of $4,002.35 on June 30 and the bank statement as of that date indicates a balance of $4,165.00. When the statement was compared with the cash records, the following facts were determined: 1. There were bank service charges for June of $34.00. 2. A bank memo stated that Bao Dai's note for $904.00 and interest of $44.00 had been collected on June 29 . and the bank had charged $4.00 for the collection. Any interest revenue has not been accrued. 3. Deposits in transit June 30 were $2,900.00. 4. Cheques outstanding on June 30 totalled $2,131.05. 5. On June 29, the bank had charged Flounder Spa's account for a customfr's NSF cheque amounting to \$473.20. 6. A customer's cheque received as a payment on account of $81,00 had been entered as $63.00 in the cash receipts journal by Flounder Spa on June 15. 7. Cheque no. 742 in the amount of $479.00 had been entered in the books $434.00, and cheque no. 747 in the amount of $46.20 had been entered as $568.00. Both cheques were issued as payments on account. 8. In May, the bank had charged a $20.50 Wella Spa cheque against the Flounder Spa account. The June bank statement indicated that the bank had reversed this charge and corrected its error. Prepare a bank reconciliation at. June 30 . (List items that increase balance as per bank \& books first. Round answers to 2 decimal places, e.g. 52.75.) Prepare any journal entries that are needed to adjust the Cash account at June 30 . (Credit account titles are automatically indented when the amount is entered. Do not indent manually. If no entry is required, select "No Entry" for the account titles and enter O for the amounts. Round answers to 2 decimal places, eg. 52.75.)

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No entry is needed to adjust the balance of Flounder Spa’s Cash account on June 30th, since the total of the adjustments is zero.

Bank Reconciliation Statement of Flounder Spa for June 30, 20XX:

Particulars Amount (USD)

Amount (USD)Balance as per Bank4,165.00

Add: Deposits in transit2,900.00Less: Outstanding Cheques(2,131.05)

Adjusted Bank Balance5,934.95Balance as per Books4,002.35Add: Bao Dai's Note904.00

Less: Service charges (34.00)NSF cheque (473.20)

Customer's cheque error (18.00) (525.20)

Adjusted Book Balance4,381.15

Adjustments: Bank collection for Bao Dai's note and interest 904.00+ 44.00- 4.00= 944.00

NSF Cheque is already subtracted in the book adjustment.

Deposit in Transit is already added to the bank adjustment.

Customer's Cheque error of $18.00 (81.00 - 63.00) was entered incorrectly in the cash receipts journal.

Therefore, it needs to be added.

2 cheques (No. 742 for $479.00 and No. 747 for $46.20) were issued as payments on account and the amounts were entered incorrectly.

Therefore, both cheques need to be deducted from the adjusted book balance.

Bank Collection for Bao Dai's Note and Interest Journal Entry:

Account TitlesDebitCreditCash944.00Notes Receivable900.00Interest Revenue44.00

Bank Service Charges Journal Entry:

Account Titles Debit Credit Bank Service Charges34.00Cash34.00Customer's Cheque Error Journal Entry:

Account TitlesDebitCreditCash18.00Accounts Receivable18.00

Cheques Error Journal Entry:

Account Titles Debit Credit Accounts Payable45.80Cash45.80

Therefore, the adjusted balance for Flounder Spa’s cash account on June 30th is $5,205.95.

The journal entries needed to adjust the cash account at June 30th are: Bank collection for Bao Dai's note and interest Journal Entry:

Account TitlesDebitCreditCash944.00Notes Receivable900.00Interest Revenue44.00Bank service charges Journal Entry:

Account Titles Debit Credit Bank service charges34.00Cash34.00

Customer's Cheque Error Journal Entry:

Account TitlesDebitCreditCash18.00Accounts Receivable18.00

Cheques Error Journal Entry:

Account Titles Debit Credit Accounts Payable45.80

Cash45.80

No entry is needed to adjust the balance of Flounder Spa’s Cash account on June 30th, since the total of the adjustments is zero.

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There are 3 categorles of suppliers. Which of the following is not one of them? Tracesactional Strategc Professional Preferred

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There are 3 categories of suppliers. The following is not one of them: Transactional, Strategic, Professional, and Preferred.

Correct Answer: Transactional

Transactional, strategic, professional, and preferred are the four categories of suppliers that are commonly used in procurement to segment suppliers based on their importance and impact on the organization's business.

The term "Transactional" is not a category of the supplier; therefore, the correct answer is transactional.

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The Peridot Company purchased machinery on January 2, 2019, for $970,000. A five-year life was estimated and no residual value was anticipated. Peridot decided to use the straight-line depreciation method and recorded $194,000 in depreciation in 2019 and 2020. Early in 2021, the company revised the total estimated life of the machinery to eight years.
Required:
1. What type of change is this?
2. Is Peridot required to revise prior years’ financial statements as a result of the change?
3. Is Peridot required to provide a disclosure note to report the change?
4. Determine depreciation for 2021.

Answers

1. The change in the estimated life of the machinery from five years to eight years is a change in accounting estimate.

2. Peridot is not required to revise prior years' financial statements as a result of the change in accounting estimate. Changes in accounting estimates are applied prospectively, meaning they affect future periods and do not require restatement of prior periods.

3. Peridot is required to provide a disclosure note to report the change in accounting estimate. According to accounting standards, significant changes in accounting estimates should be disclosed in the financial statements to provide transparency and enable users to understand the impact of such changes on the financial results and future periods.

4. To determine the depreciation for 2021, we need to calculate the annual depreciation expense for the remaining useful life of the machinery.

The original estimated life was five years, and depreciation of $194,000 was recorded in 2019 and 2020. Therefore, the total depreciation recorded so far is $194,000 + $194,000 = $388,000.

To calculate the annual depreciation expense for the remaining three years (2021, 2022, and 2023), we can subtract the accumulated depreciation from the initial cost of the machinery:

Initial cost of the machinery: $970,000

Accumulated depreciation: $388,000

Remaining book value: $970,000 - $388,000 = $582,000

Depreciation expense for 2021 and subsequent years will be allocated over the remaining useful life of the machinery, which is now eight years. Therefore, the annual depreciation expense for 2021 would be:

Depreciation expense for 2021 = Remaining book value / Remaining useful life

Depreciation expense for 2021 = $582,000 / 3 years

Depreciation expense for 2021 = $194,000

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True or False. Organizational issues are often the least difficult part of working on and managing projects.

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The given statement that organizational issues are often the least difficult part of working on and managing projects is false.

Organizational issues refer to the problems that arise within a project's team structure or the organization's culture, policies, or processes that may impede a project's progress.

Managing projects has become a significant aspect of modern-day businesses. Projects involve several challenges and complexities that demand expert project management skills, including the ability to manage organizational issues.

These organizational issues are often a significant source of difficulty for project managers. As projects grow in size, complexity, and duration, so do organizational challenges that require management.

Project managers must address and manage these challenges to ensure that the project is successful. Therefore, organizational issues are considered one of the most challenging parts of working on and managing projects.

To conclude, Organizational issues can significantly impact a project's success, and ignoring them can lead to project failure. Therefore, it is essential to manage these issues to ensure successful project outcomes.

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Agarwal Technologies was founded 10 years ago. It has been profitable for the last 5 years, but it has needed all of its earnings to support growth and thus has never paid a dividend. Management has indicated that it plans to pay a 50.25 dividend 3 years from today, then to increase it at a relatively rapid rate for 2 years, and then to increase it at a constant rate of 8.00% thereafter. Management's forecast of the future dividend stream, along with the forecasted growth rates, is shown below. Assuming a required return of 11.00%, what is your estimate of the stock's current value? Use the dividend values provided in the table below for your calculations. Do not round your intermediate calculations. $12.23 $11.28 $13.65 $11.87 $13.30

Answers

Agarwal Technologies is a profitable company for the last five years but has not paid a dividend. Management plans to pay a dividend of $50.25 three years from today, then increase it for two years at a rapid rate and then increase it at a constant rate of 8.00%.

The present value of the dividends is calculated as follows: $50.25 ÷ (1 + 0.11)³ = $34.28. The future value of dividends is calculated as follows: Year 1: $50.25 × (1 + 0.20) = $60.30 Year 2: $60.30 × (1 + 0.25) = $75.38 Year 3: $75.38 × (1 + 0.08) = $81.37 Year 4: $81.37 × (1 + 0.08) = $87.85 Year 5: $87.85 × (1 + 0.08) = $94.77

The present value of future dividends is calculated as follows: PV = $60.30 ÷ (1 + 0.11)¹ + $75.38 ÷ (1 + 0.11)² + $81.37 ÷ (1 + 0.11)³ + $87.85 ÷ (1 + 0.11)⁴ + $94.77 ÷ (1 + 0.11)⁵PV = $49.19Total present value of dividends is $34.28 + $49.19 = $83.47 Therefore, the stock's current value is $83.47.

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the type of performance management system where a company assembles performance data on an individual from most or all of his/her daily contacts both within and outside of the company is:

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The type of performance management system where a company assembles performance data on an individual from most or all of his/her daily contacts both within and outside the company is 360-degree performance appraisals. Hence, Option (D) is correct.

In a 360-degree performance appraisal, feedback is gathered from various perspectives, including supervisors, peers, subordinates, and even external stakeholders such as customers or clients.

This holistic approach provides a comprehensive view of the individual's performance by considering input from individuals who have different relationships and perspectives.

By incorporating feedback from different sources, a 360-degree performance appraisal aims to provide a more well-rounded and objective assessment of an individual's strengths, weaknesses, and overall performance.

Thus, it allows for a broader understanding of performance by including insights from individuals who interact with the employee in different contexts, promoting a more comprehensive evaluation process.

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The type of performance management system where a company assembles performance data on an individual from most or all of his/her contacts within and outside the company is known as:

A. the critical incidents technique.

B. behavioral observation scales.

C. management by objectives.

D. 360-degree performance appraisals.

During an interview for a medical coding position that requires AHIMA or AAPC coding certification, which of the following questions may legally be asked of the interviewee?
a) "To which organizations do you belong?"
b) "Are you a certified coder through AHIMA or AAPC?"
c) "Do you hold membership in coding organizations?"
d) "May I see a list of all the organizations to which you belong?"

Answers

 During an interview for a medical coding position that requires AHIMA or AAPC coding certification, the legally acceptable question to ask the interviewee would be:

b) "Are you a certified coder through AHIMA or AAPC?"

This question directly pertains to the job requirement of having AHIMA or AAPC coding certification, which is relevant to the candidate's qualifications for the position. Asking about the candidate's certification status is a legitimate and appropriate way to assess their eligibility for the role.

The other options, a), c), and d), may potentially be seen as inappropriate or even discriminatory. Asking about the organizations to which the candidate belongs or holds membership could be perceived as seeking information about their personal affiliations, which is unrelated to the job requirements. It is generally advisable to focus on job-related qualifications, skills, and experiences during an interview to ensure fairness and avoid potential discrimination issues.

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Identify some SAMSUNG practices that specifically fulfill a motivation theory. Be sure to explain which theory and how SAMSUNG'S practices fulfill it.
EXAMPLES:
Intrinsic and Extrinsic Motivators
Fulfillment Need Theories – Maslow’s, Hertzberg, or McClelland
Goal Setting – Examples of goals & how they are determined. Are they SMART?
Expectancy Theory – Are choices & motivators offered to enhance effort and outcomes?

Answers

Sam sung fulfills Maslow's hierarchy of needs by providing competitive salaries and a safe working environment, fostering teamwork and a positive work environment. They use SMART goals and offer incentives to enhance effort and outcomes, aligning with motivation theories and promoting employee motivation and satisfaction.

One motivation theory that can be applied to Samsung's practices is the fulfillment of need theories, specifically Mas low's hierarchy of needs. Maslow's theory suggests that individuals have a hierarchy of needs that must be met in order to achieve motivation and satisfaction.

Sam sung fulfills the physiological needs of its employees by providing competitive salaries, benefits, and a safe working environment. By offering a stable income and ensuring the basic needs are met, Samsung motivates employees to focus on higher-level needs.

Additionally, Sams ung addresses the social needs of its employees by promoting teamwork, collaboration, and a positive work environment. They foster a sense of belonging through team-building activities, employee recognition programs, and open communication channels.

Moreover, Sams ung incorporates elements of goal setting theory. The company sets specific, measurable, achievable, relevant, and time-bound (SMART) goals for its employees.  

For instance, employees may be given sales targets or project deadlines that are clearly defined and attainable. By providing employees with clear goals, Samsung enhances motivation by giving individuals a sense of direction and purpose.

Furthermore, Sam sung embraces the expectancy theory by offering choices and motivators to enhance effort and outcomes. The company provides various performance incentives, such as bonuses, promotions, and career development opportunities.

These rewards create a link between individual effort, performance, and desired outcomes, increasing employees' motivation to excel in their roles.

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Thinking about an organizational culture with which you are familiar, what benefits can socialization provide for the organization? For the new employee? Describe the concept of socialization fully. Provide a specific example from your own experience to explain the concept.

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Benefits of socialization in an organization: Promotes collaboration, knowledge sharing, and team cohesion. Facilitates employee onboarding and reduces turnover. Enhances organizational culture and employee engagement.

Socialization in the workplace refers to the process of integrating new employees into the organization's culture, values, and norms. It involves interactions, communication, and informal learning among employees. For example, in my previous job, new hires were assigned mentors who guided them through the company's practices, introduced them to colleagues, and facilitated their integration into the team, resulting in a smoother transition and faster adaptation to the organizational environment.

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Using the discounted cash flow (DCF) valuation method, what is the maximum loan that can be made on a property with the following annual net before-tax cash flow, assuming an 11.5% discount rate and underwriting criteria that specify a maximum loan/value ratio of 70%? Cash flows: $1 million in year 1, 1.1 million in years 2 through 4, 1.5 million in years 5 through 9, and $12 million in year 10 including reversion.

Answers

$9,080,898, is the maximum loan that can be made on a property with the following annual net before-tax cash flow.

[tex]PV = CF / (1 + r)^n[/tex]

Year 1: PV = $1,000,000 / (1 + 0.115)^1 = $892,857

Years 2 - 4:

PV = $1,100,000 / [tex](1 + 0.115)^2[/tex] + $1,100,000 / [tex](1 + 0.115)^3[/tex]+ $1,100,000 / [tex](1 + 0.115)^4[/tex] = $2,707,317

PV = $1,500,000 / [tex](1 + 0.115)^5[/tex] + $1,500,000 / [tex](1 + 0.115)^6[/tex] + $1,500,000 / [tex](1 + 0.115)^7[/tex] + $1,500,000 / [tex](1 + 0.115)^8[/tex] + $1,500,000 / [tex](1 + 0.115)^9[/tex] = $6,870,634

Year 10: PV = $12,000,000 / [tex](1 + 0.115)^{10}[/tex]

= $2,501,904

Total PV = $892,857 + $2,707,317 + $6,870,634 + $2,501,904

Total PV = $12,972,712.

Maximum loan = $12,972,712 x 70%

Maximum loan = $9,080,898.

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Max Wholesaler borrowed $5,500 on a 10%, 120-day note, After 45 days, Max paid $1,925 on the note. Thirty days later, Max paid an additional $1,650. Use ordinary interest. a. Determine the total interest using the U.S. Rule. Note: Round your intermediate balances and interest amounts to the nearest cent. Round your final answer to the nearest cent. b. Determine the ending balance due using the U.S. Rule. Note: Round your intermediate balances and interest amounts to the nearest cent. Round your final answer to the nearest cent.

Answers

a. The total interest using the U.S. Rule is approximately $96.98, calculated by determining the interest for each payment and summing them up.

b. The ending balance due using the U.S. Rule is approximately $2,021.98, obtained by subtracting total payments from the principal and adding the total interest.

a. To calculate the total interest using the U.S. Rule, we need to determine the interest for each payment made by Max and then sum them up.

First, let's calculate the interest for the first payment of $1,925 made after 45 days:

Interest = Principal × Rate × Time

Interest = $5,500 × 0.10 × (45/365) ≈ $67.12

Next, let's calculate the interest for the second payment of $1,650 made 30 days after the first payment:

Interest = Principal × Rate × Time

Interest = ($5,500 - $1,925) × 0.10 × (30/365) ≈ $29.86

The total interest is the sum of the interest for each payment:

Total Interest = $67.12 + $29.86 ≈ $96.98

Therefore, the total interest using the U.S. Rule is approximately $96.98.

b. To determine the ending balance due using the U.S. Rule, we need to subtract the total payments made by Max from the principal amount and add the total interest.

Starting with the principal of $5,500, Max made two payments: $1,925 and $1,650.

Remaining Principal = Principal - Total Payments

Remaining Principal = $5,500 - ($1,925 + $1,650) = $5,500 - $3,575 = $1,925

Finally, we add the total interest calculated in part a to the remaining principal:

Ending Balance Due = Remaining Principal + Total Interest

Ending Balance Due = $1,925 + $96.98 ≈ $2,021.98

Therefore, the ending balance due using the U.S. Rule is approximately $2,021.98.

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1.) With the aid of a diagram, illustrate and discuss Physical operations (as in manufacturing) in operations management with proper examples.

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Physical operations (as in manufacturing) in operations management can be defined as the transformation of raw materials into finished products through various manufacturing processes. Physical operations are often used in the production of goods or in the provision of services.

Operations management is the management of the processes used in producing goods and services, and it includes the management of physical operations.

Manufacturing operations include a variety of processes, such as design, material sourcing, fabrication, assembly, testing, packaging, and shipping. Physical operations are used in various manufacturing industries, including automotive, electronics, pharmaceuticals, food and beverages, and many more.

Physical operations involve the use of machines, equipment, and tools, as well as labor, to transform raw materials into finished products. These operations can be divided into four main types:

1. Form utility: Form utility is the process of changing the form of raw materials into a finished product. For example, a car manufacturer transforms metal, plastic, and rubber into a finished car.

2. Place utility: Place utility is the process of moving goods from one location to another. For example, a courier service transports goods from one location to another.

3. Time utility: Time utility is the process of making goods available at the right time. For example, a fast-food restaurant provides food quickly to customers.

4. Possession utility: Possession utility is the process of transferring ownership of goods. For example, a retail store sells goods to customers.

Physical operations are an essential part of manufacturing operations. They help to ensure that goods are produced efficiently, with minimum waste and maximum quality. Manufacturers must also ensure that physical operations are safe for workers and meet environmental standards.

Physical operations also play an essential role in the provision of services. For example, a hospital must ensure that physical operations, such as the use of medical equipment and the provision of medical supplies, are safe and effective in treating patients.
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Registration by notification Wh nequired for thase issuers of securities who must register with the Secutities and Fxthange Commission (SEC) and the dupici are ficed with the stafes aitministrative agoriey Whyes issuers to olter securities for sale automabicalty arter a stated rime period expire uniess the administrative agency takes a the difences

Answers

Registration by notification is required for those issuers of securities who must register with the Securities and Exchange Commission (SEC) and the duplicates are fixed with the states administrative agency.

This is because issuers to offer securities for sale automatically after a stated time period expires unless the administrative agency takes all the defences.

What is Registration by notification?Registration by notification (RN) is an abbreviated registration process that enables certain businesses to register and operate in a state after filing a notification form with the state.

Registration by Notification is a simpler procedure for those issuers who have securities in more than one state, thus they must file duplicate copies with the states administrative agency if they register with the SEC.

The Uniform Securities Act, a model act that serves as a basis for most state securities regulation, allows for registration by notification.

Under this act, an issuer who satisfies particular requirements may register securities by filing a notice of the transaction with the administrator and paying a filing fee.

When the registration takes effect, securities are considered "exempt securities," which may be sold in that state without further registration.

Registration by Notification is an exemption from the full registration provisions of federal securities laws that may be utilized by issuers to offer securities for sale in states where they are not registered.

The issuer may file a notice with the state administrator in the states where it intends to sell securities, and the securities may be sold after a waiting period has expired. The issuer must also file a copy of the notice with the Securities and Exchange Commission (SEC).

Thus, it can be concluded that RN is a much simpler and less burdensome option than full registration with the SEC, and it is only available to issuers that meet certain qualifications.

However, Registration by notification requires the issuer to provide periodic updates to the state administrator, as well as any material changes to the issuer's business, operations, or ownership.

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The DuPont System of Analysis is a diagnostic tool that uses financial ratios to evaluate a company’s financial health. It can be used to identify the primary driver(s) behind an increase or a decrease in the ROA (or ROE). The end result is a breakdown of the components that make up the ROA (or ROE). Which of the following is false?
Group of answer choices
The net profit margin can be viewed as the product of operating profit margin, a ratio that measures the impact of interest expenses on profits, and a ratio that measures the impact of taxes on profits.
A firm’s ROA is indicative of its profitability and efficiency.
A firm with a leverage of 3 would indicate that $3 in assets have been financed by $1 in liabilities.
For any given ROA, the greater the use of debt in the firm’s capital structure, the greater the ROE.

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The false statement related to the DuPont System of Analysis is "A firm with a leverage of 3 would indicate that $3 in assets have been financed by $1 in liabilities.
"The DuPont System of Analysis is a diagnostic tool that uses financial ratios to evaluate a company’s financial health. It can be used to identify the primary driver(s) behind an increase or a decrease in the ROA (or ROE). The end result is a breakdown of the components that make up the ROA (or ROE).

This tool is named after DuPont Corporation because of its widespread use at the corporation.The true statements related to the DuPont System of Analysis are:Firms use the DuPont analysis to decompose the return on assets (ROA) into net profit margin and asset turnover.ROA is indicative of a firm’s profitability and efficiency.

ROE measures how much profit a company makes for each dollar of equity.Leverage is the ratio of assets to equity. The greater the use of debt in the company’s capital structure, the greater the ROE. An increase in leverage raises the risk of default, which lowers the company's stock price.

The net profit margin is the profit margin that is viewed as the product of operating profit margin, a ratio that measures the impact of interest expenses on profits, and a ratio that measures the impact of taxes on profits.In conclusion, the false statement is "A firm with a leverage of 3 would indicate that $3 in assets have been financed by $1 in liabilities." as a leverage of 3 would indicate that $3 in assets have been financed by $2 in liabilities.

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The budget components for Sheffield Company for the quarter ended June 30 appear below. Sheffield sells high performance coolers for $120 each, Budgeted sales and production for the next three months are: Sheffield desires to have coolers on hand at the end of each month equal to 30 percent of the following month's budgeted sales in units. On March 31, Sheffield had 6,090 completed units on hand. Five' pounds of plastic are required for each cooler. At the end of each month, Sheffield desires to have 10 percent of the following month's production material needs on hand. At March 31. Sheffield had 13.250 pounds of plastic on hand. The materials used in production cost $0.50 per pound. The production of each cooler requires 0.10 hours of direct labor. Determine the budgeted cost of direct materials purchases for the month of April. Budgeted cost of direct materials purchases for April

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We must first calculate the material requirements for April before estimating the cost based on the available data in order to determine the budgeted cost of direct materials purchases for the month of April.

Let's start by figuring out how many coolers Sheffield expects to manufacture and sell in April. 5,400 coolers (or 45% of 12,000) are the budgeted sales for April. The production goal for April will be 6,750 coolers (5,400 + 30% of 5,400) since Sheffield wants to have ending inventory equal to 30% of the following month's sales in units. Let's now determine the amount of material needed in April. It takes five pounds of plastic to make one cooler. The material need for April will be because Sheffield wishes to have 10% of the production material requirements for the following month on hand. 33,750 pounds of plastic are used for every one of the 6,750 coolers, or 5 pounds each cooler. The budgeted cost of direct material purchases for April can now be determined. Materials are listed as being $0.50 per pound. Therefore, 33,750 pounds of plastic multiplied by $0.50 per pound will make up the $16, 875 estimated cost of direct material purchases for April. As a result, $16, 875 has been allocated as the cost of direct material purchases for the month of April.

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Terri is a friend of yours who knows you are taking a Business Law at Niagara College. She wants to check with you before she speaks to the general partner of the limited partnership in which she is a limited partner. - Specifically, she attended a conference, and she saw some new office furniture/storage systems that she feels would help the business, and she would like to be able to tell management of the limited partnership about these systems. Because she receives information of this nature regularly, and she is a very empowered lady, she wonders if she can provide advice to management from time to time. She does not like to hear the word "no." Based on the material in Chapter 10, advise her in your own words, on this matter while considering the following: The nature of legal relationships in a limited partnership (4) The legal significance/risks re: the division of responsibilities in partnerships. (4) The legal significance of providing advice/participating in management decisions in partnerships. (4) From a business perspective, what is the best course of action overall for Terri? (4)

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Terri wants to know if she can provide advice to the management of the limited partnership from time to time. She wonders whether she should approach the general partner of the limited partnership.

She attended a conference where she saw some new office furniture/storage systems that she feels would help the business. She receives information of this nature regularly, and she is a very empowered lady.

However, she is not sure about the nature of legal relationships in a limited partnership. She also wonders about the legal significance/risks re: the division of responsibilities in partnerships and the legal significance of providing advice/participating in management decisions in partnerships.

Lastly, from a business perspective, she wants to know what is the best course of action overall for her.Legal relationships in a limited partnershipThe nature of legal relationships in a limited partnership is such that a partnership is defined as an association of two or more people engaged in business for profit. Each partner shares in the management of the business and has an equal right to its profits and losses.

The partnership is a legal entity, which means that it can sue or be sued, own property, and enter into contracts. However, a limited partnership is a type of partnership where there are two types of partners: general partners and limited partners.The legal significance/risks re: the division of responsibilities in partnershipsThe division of responsibilities in a limited partnership is such that general partners are responsible for the day-to-day management of the business, while limited partners are passive investors who do not participate in the management of the business.

Limited partners have limited liability, which means that they are only liable for the debts of the business up to the amount of their investment. However, if they participate in the management of the business, they lose their limited liability protection.

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In a market characterized by vigorous competition, look-alike products and customer loyalty that depends on quality relationships, as well as quality products, the salesperson should fully utilize the:

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To thrive in a competitive market, the salesperson should focus on building relationships, product knowledge, effective communication, continuous learning, exceptional service, and value-added services.

The salesperson should fully utilize the following strategies to thrive in a market characterized by vigorous competition, look-alike products, and customer loyalty that depends on quality relationships and products:

1. Build and nurture customer relationships: Develop strong connections with customers by understanding their needs, preferences, and pain points. Regularly engage with them through personalized interactions, such as follow-up calls or emails, to build trust and loyalty.

2. Product knowledge: Deeply understand the features, benefits, and unique selling points of the products being sold. This knowledge will enable the salesperson to effectively communicate the value proposition to customers and differentiate their offerings from competitors.

3. Effective communication skills: Master the art of effective communication, including active listening and clear articulation. By actively listening to customers, the salesperson can identify their specific needs and tailor their approach accordingly. Clear and persuasive communication helps in conveying the product's benefits and addressing any concerns or objections raised by customers.

4. Continuous learning and adaptability: Stay updated with industry trends, market dynamics, and new product developments. Embrace a growth mindset and be open to learning new sales techniques and strategies. Adapting to changing customer needs and market conditions is crucial for success.

5. Provide exceptional customer service: Offer personalized and prompt assistance to customers. Be proactive in resolving issues and providing solutions to enhance their overall experience. Going the extra mile to exceed customer expectations will foster long-term loyalty.

6. Differentiation through value-added services: Provide additional value to customers through after-sales support, training programs, or exclusive offers. These value-added services can create a competitive edge and strengthen customer loyalty.

By fully utilizing these strategies, the salesperson can navigate the challenges of a competitive market, differentiate their products, and build lasting relationships with customers.

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Case: IBM Transforming 2012-16 Ginni Rometty Steers Watson
How does the case help us to understand how to transform a company to respond to change in an industry, which also requires changes in culture along with new business models?

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The IBM Transforming 2012-16 case involving Ginni Rometty and Watson helps us understand how to transform a company to respond to a change in an industry, which also requires changes in culture along with new business models.

In 2012, IBM began a journey of transformation under the leadership of Ginni Rometty, who recognized the need to address the changing technology industry.

IBM's strategic imperatives included data analysis, cloud computing, and mobile computing as it faced declining revenue from its legacy hardware, software, and service offerings.

IBM realized it was necessary to change the culture of the organization and embarked on a five-year journey to reorient itself toward the strategic imperatives.

IBM transformed the culture of its organization by creating a more agile workforce, encouraging innovation, and changing the way it delivered products and services.

IBM also established a comprehensive training program for employees, emphasizing new technologies such as machine learning, artificial intelligence, and cognitive computing.

To compete in a rapidly evolving industry, IBM changed its business model from a hardware- and software-focused company to a service-focused one.

IBM began to prioritize customer-centricity and focused on creating value for clients by leveraging its strategic imperatives.

IBM also underwent a shift in its acquisition strategy, acquiring companies focused on emerging technologies such as cloud computing, analytics, and mobile computing.

The company's focus on emerging technologies helped IBM adapt to changes in the industry and deliver value to its clients.

Thus, the IBM Transforming 2012-16 case shows us how a company can transform its culture and business model to respond to changes in the industry.

The case study provides valuable insights into the challenges involved in transforming an organization, along with the strategies used to address them.

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During the COVID-19 pandemic, the Australian government said China was responsible for the outbreak of the disease. The Chinese government was offended, and decide to reduce the quantity of coal China imported from Australia. This resulted in shortage of coal, needed to run energy power plants. To shield the public from the impact of the Coal Shortage (which includes high and rising energy prices), the government mandated price controls. In particular, the government froze retail prices of energy, including petrol and diesel. a. What type of price control has China imposed, according to the information above? [2 marks] Explain the impact of China's price controls policy on the markets for coal, petrol, and diesel. Does the impact of the price control policy depend on the elasticity of demand and supply? Illustrate your answer with the demand and supply diagram. [5 marks] b. Explain how China's price controls have changed consumer surplus, producer surplus, total surplus, and the deadweight loss in the markets for coal, petrol, and diesel. [8 marks] c. Is the outcome of China's price control policy fair and efficient? Critically discuss. [5 marks

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Inelastic supply and elastic demand will lead to a reduction in the price of products. Deadweight loss increases as price control is imposed. Price control creates a deadweight loss, resulting in an inefficient allocation of resources.

a) The type of price control that China imposed is a retail price freeze on energy, including petrol and diesel. The impact of China's price control policy on the markets for coal, petrol, and diesel: It will lead to a shortage of coal, petrol, and diesel in the market and it will be hard for producers to maintain their supply level due to the imposed price control. The price control policy depends on the elasticity of demand and supply. Inelastic demand and elastic supply will lead to a shortage of products in the market. Whereas, inelastic supply and elastic demand will lead to a reduction in the price of products. A graph of demand and supply is shown below:

b) Producer Surplus: As a result of price control, the producer's surplus has decreased in all three markets (Coal, Petrol, and Diesel).Consumer Surplus: The impact of price control on consumer surplus can be both positive and negative. For consumers who were already buying at the maximum retail price, there will be no effect on them. For the consumers who were buying at a price higher than the retail price, there will be a positive effect as they are now getting at a lower price. Total Surplus: Total Surplus is the sum of Producer surplus and Consumer surplus. Due to price control, the Producer surplus has decreased in all three markets, but the impact on the Consumer surplus depends on the elasticities of demand and supply. Deadweight Loss: Deadweight loss increases as price control is imposed.

c)The outcome of China's price control policy is neither fair nor efficient. The retail price freeze will lead to a shortage of products in the market, and the consumers who are willing to pay more are restricted from buying it. The lower price will create excess demand, leading to a black market where the price will be higher than the market price. Therefore, price control creates a deadweight loss, resulting in an inefficient allocation of resources.

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a coffee retailer sells 100 bags of coffee per day. the manager wants to keep sufficient inventory for 2 days of supply. what is the number of inventory?

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The term inventory number refers to a serial number or a lot number.

The goods and supplies that a company keeps on hand to resell, produce, or using them are referred to as inventory or stock. The position and form of stocked commodities are the key concerns of inventory management.

Inventory refers to all the products, services, and supplies that a business keeps on hand to resell them for a profit. Example: Only the newspaper itself will be regarded as inventory if a newspaper vendor utilizes a vehicle to distribute newspapers to clients.

Along with unfinished works in progress and any raw materials needed to produce commodities, inventory also comprises finished units of a product that is kept for sale. On the balance sheet of the corporation, it is listed as a current asset.

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Elasticities that are equal to one everywhere along a supply or demand curve are referred to as __________.

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Elasticities that are equal to one everywhere along a supply or demand curve are referred to as unitary elasticities.

Unitary elasticity indicates a proportional relationship between price and quantity, where a percentage change in price leads to an equal percentage change in quantity. When the price elasticity of demand or supply is exactly one, it signifies that the responsiveness of quantity to price changes is exactly balanced, resulting in no net effect on total revenue or expenditure.

In the case of demand, a unitary price elasticity suggests that consumers' responsiveness to price changes is moderate. A price increase or decrease will not significantly alter the total expenditure on the product since the percentage change in quantity demanded matches the percentage change in price.

Similarly, for supply, unitary elasticity implies that producers are capable of adjusting their quantity supplied in proportion to price changes. As a result, the total revenue earned by suppliers remains constant as the price and quantity change in tandem.

Unitary elasticities are important concepts in economics as they represent a state of balance where changes in price have no net effect on total revenue or expenditure.

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the personal auto policy (pap) provides physical damage coverage for a covered auto that is damaged when the car's driver loses control and overturns the car on a sharp curve. this coverage is called

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The coverage you are referring to is called Collision Coverage.

Collision coverage is a type of physical damage coverage that pays for damage to your car if you are involved in an accident, regardless of who is at fault. This includes damage caused by overturning your car on a sharp curve. Collision coverage is typically purchased as part of a comprehensive auto insurance policy. Comprehensive coverage is a type of physical damage coverage that pays for damage to your car caused by events other than a collision, such as theft, vandalism, and hail damage. The amount of collision coverage you purchase will determine how much your insurance company will pay for damage to your car. You can choose to purchase a higher or lower level of collision coverage, depending on your budget and risk tolerance.

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Martin Company purchases $4,200 of merchandise on March 1, with credit terms of 3/10, n/30. lf Martin pays on March 9, what is the cost of this purchase?
$4,074
$3,780
$4,200
$3,864

Answers

It is essential to understand the dates and the related percentages. The credit terms of 3/10, n/30 mean that the buyer can get a discount of 3% if they pay the purchase price within ten days of the purchase date.

The total amount must be paid within 30 days of the purchase date. In this scenario, Martin Company purchased 4,200 worth of merchandise on March 1 with credit terms of 3/10, n/30.

If the company pays on March 9, it is within ten days of the purchase date and can get a 3% discount. Therefore, the cost of the purchase will be calculated as follows:

Purchase price = 4,200
Discount = 3% of 4,200 = 126
Amount to be paid = Purchase price - Discount = 4,200 - 126 = 4,074
the cost of the purchase when Martin Company pays on March 9 is 4,074.

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Rohan purchased a Critical Illness (CI) policy on his own life. A few months later he was diagnosed with a covered illness. Rohan died of the covered illness 40 days after the 30 day survival period. Will the insurer pay the benefit and to whom will it be paid out? Select one: a. Yes the insurer will pay the benefit to his beneficiary b. No because he had to survive 90 days from the date of diagnosis c. The insurer will not pay since critical illness is a living benefit product d. Yes the insurer will pay the benefit to Rohan's estate

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Rohan died of the covered illness 40 days after the 30 day survival period. Therefore, the-A.  insurer will pay the benefit, and it will be paid out to Rohan's beneficiary.

What is the reason?

The insurer will pay the benefit and it will be paid out to Rohan's beneficiary.

Rohan purchased a Critical Illness (CI) policy on his own life and was later diagnosed with a covered illness.

The policyholder selects the beneficiary when he purchases the policy. The beneficiary is the person who will receive the benefit amount in the event of the policyholder's death.

A critical illness policy is a contract in which the insurer pays a lump sum if the policyholder is diagnosed with a covered illness, such as cancer, stroke, or heart attack, and meets the policy's survival period requirements.

However, the benefit amount is paid out only if the policyholder survives the survival period as defined in the policy, which is usually 30 to 90 days after the date of diagnosis.

Therefore, in this case, Rohan met the survival period requirements.

Hence, option a. is correct.

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ABC Co. shares are currently trading for $54. Assume t ere is no new information about the company. If the company does a 10 percent bonus slare issue, what will the approximate price of the share be after the issued?
Select one:
O a. $49.09 per share
b.
$54.00 per share
c. $47.80 per share
d. $48.60 per share

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Bonus Share issue is when a company distributes its accumulated earnings as shares among its shareholders. The number of shares increases but their value per share decreases. For instance, if a company has issued 100,000 shares with a total value of 5.4 million (54 per share), and it issues 10,000 bonus shares,

It will have a total of 110,000 shares. Each share's value, on the other hand, will be 49.09 (i.e., the total value divided by the number of shares, i.e., 5.4 million divided by 110,000 shares).Therefore, the approximate price of the share will be 49.09 after the company does a 10% bonus share issue (option A).Formula used:Number of shares after the bonus issue = Total shares before the bonus issue * (100%+ bonus%)

Therefore, the number of shares after the bonus issue= 100,000 * (100% + 10%) = 110,000 shares New share price = Total value after bonus issue / Number of shares after the bonus issue New share price = 5.4m / 110,000 shares New share price= 49.09 per share.

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Kristen and Harrison are equal partners in the KH Partnership. The partners formed the partnership five years ago by contributing cash. Prior to any distributions Harrison has a basis in his partnership interest of $39,000. On December 31, KH makes a proportionate operating distribution of $45,000 cash to Harrison. What is the amount and character of Harrison's recognized gain or loss and what is his remaining basis in KH? Multiple Choice
$0 gain, $0 basis.
$6,000 capital gain, $0 basis.
$6,000 capital loss, $0 basis.
$6,000 capital gain, $39,000 basis.

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The correct answer is: $6,000 capital gain, $39,000 basis.  Since the distribution of $45,000 exceeds his adjusted basis, he recognizes a capital gain of $6,000 ($45,000 - $39,000).

$6,000 capital gain, $39,000 basis. When a partnership makes a proportionate operating distribution, it is generally considered a return of capital to the partners. In this case, Harrison receives a distribution of $45,000, which reduces his basis in the partnership. The amount of gain or loss recognized by a partner upon receiving a distribution is determined by comparing the distribution received to the partner's adjusted basis in the partnership interest. If the distribution exceeds the adjusted basis, the excess is treated as a capital gain. In this scenario, Harrison's adjusted basis in the partnership is $39,000. Since the distribution of $45,000 exceeds his adjusted basis, he recognizes a capital gain of $6,000 ($45,000 - $39,000).

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