What is the required return on assets? Multiple Choice 1. 3.12 percent. 16.5 percent. 33.33 percent. 10.85 percent

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Answer 1

The required return on assets is  "10.85 percent". Option D is answer.

The required return on assets refers to the minimum rate of return that investors or companies expect to earn on their investments in assets. It represents the compensation for the risk associated with investing in those assets. The required return on assets is influenced by various factors such as the risk-free rate of return, market risk premium, and specific risk factors related to the asset class or investment. In this case, the required return on assets is determined to be 10.85 percent, indicating the expected rate of return that investors or companies demand from their investment in assets.

Option D is the correct answer.

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Related Questions

the mp curve illustrates the real interest rate. how is the real interest rate determined?

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The real interest rate is determined by the interaction of the supply of and demand for loanable funds in the economy. The loanable funds market includes all types of credit markets, such as banks, bond markets, and other financial institutions.

The supply of loanable funds comes from individuals and institutions who save their money and make it available for lending. The demand for loanable funds comes from individuals and institutions who want to borrow money for various purposes, such as investment in new projects, consumption, or other financial needs.

The real interest rate is the nominal interest rate adjusted for inflation. It represents the true cost of borrowing money and reflects the purchasing power of the interest payments. In other words, it is the amount of interest paid on a loan or investment after accounting for the inflation rate.

Changes in the real interest rate can occur due to shifts in either the supply or demand for loanable funds. For example, an increase in the demand for funds, such as during a period of economic growth, can increase the real interest rate. Conversely, an increase in the supply of funds, such as through increased saving or a decrease in investment demand, can decrease the real interest rate.

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Some misleading footnotes have no effect on financial statement balances.a. Trueb. False

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The statement is true, some misleading footnotes have no effect on financial statement balances. Footnotes in financial statements provide additional information that can help investors and analysts understand the numbers presented in the statements.

However, some footnotes may be misleading or not fully disclose the impact of certain transactions or events on the financial statement balances. In some cases, these misleading footnotes may have no effect on the balances presented in the financial statements, and may only serve to confuse or misinform the reader. This highlights the importance of thoroughly reviewing and analyzing the footnotes in financial statements to ensure a complete understanding of the financial performance and position of a company.
In conclusion, while footnotes in financial statements are important sources of information, it is essential to exercise caution and diligence in interpreting them. Misleading footnotes can lead to erroneous conclusions about a company's financial position, so investors and analysts must carefully scrutinize all footnotes to gain a complete understanding of the financial statements.

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the exchange rate is 1.27 swiss francs per dollar. how many u.s. dollars are needed to purchase 9,000 swiss francs?

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The exchange rate is 1.27 Swiss francs per dollar. $11,430.00 U.S. dollars are needed to purchase 9,000 Swiss francs. The exchange rate tells us the value of one currency in terms of another currency. Therefore, the correct answer is option B.

To determine how many U.S. dollars are needed to purchase 9,000 Swiss francs, we can use the formula:

U.S. dollars = Swiss francs x exchange rate

Plugging in the given values, we get:

U.S. dollars = 9,000 x 1.27

U.S. dollars = 11,430

Therefore, the answer is B. $11,430.00.

The exchange rate tells us the value of one currency in terms of another currency. In this case, the exchange rate tells us that 1 U.S. dollar is equal to 1.27 Swiss francs.

To find out how many U.S. dollars are needed to purchase a certain amount of Swiss francs, we simply multiply the amount of Swiss francs by the exchange rate. This gives us the equivalent amount in U.S. dollars.

In this example, we multiplied 9,000 Swiss francs by the exchange rate of 1.27 to get $11,430.00. Therefore, the correct answer is option B.

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Complete Question:

The exchange rate is 1.27 Swiss francs per dollar. How many U.S. dollars are needed to purchase 9,000 Swiss francs?

A. $7,086.61

B. $11,430.00  

C. $9,258.31

D. $11,700.00

E. $6,442.38

F. $9,258.31

FILL IN THE BLANK. __________ defines how much Interest you will make from a deposit in a given year, factoring in the interest rate and compounding period. Whereas __________ defines how much Interest you will pay on loans and the cost to borrow money.

Answers

The first blank is filled with "APY (Annual Percentage Yield)" and the second blank is filled with "APR (Annual Percentage Rate)".

APY (Annual Percentage Yield) is a term used to define how much interest a deposit will earn in a given year, taking into account the interest rate and the compounding period. It is a percentage that represents the total amount of interest earned on a deposit over a year, including the effect of compounding.

APR (Annual Percentage Rate) is a term used to define how much interest a borrower will pay on a loan or credit card, representing the cost of borrowing money. It includes not only the interest rate but also other fees and charges associated with the loan. It is a percentage that represents the total cost of borrowing money over a year.

Both APY and APR are important concepts in finance, and understanding them can help individuals make informed decisions about their savings and borrowing activities.

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A company’s retained earnings on December 31, 20X1 was $2,190,000 and its shareholders’ equity was $8,760,000. During 20X2 the company reported the following:
Net income $225,000.
A sale of treasury stock costing $75,000 for $79,750.
A treasury stock purchase costing $125,700.
A cash dividend declaration of $73,200.
A 10,000 share "small" common stock ($10 par value) dividend was declared and distributed when the market value was $12.75 per share.
What is the shareholders’ equity balance on December 31, 20X2?
$8,934,300
$8,738,350
$8,865,850
$8,663,350

Answers

The shareholders’ equity balance on December 31, 20X2 is $8,865,850

How to solve for the shareholders’ equity balance

The beginning retained earnings balance was $2,190,000. The company earned a net income of $225,000 during 20X2, which increases retained earnings. However, the cash dividend declaration of $73,200 and the stock dividend will decrease retained earnings.

$8,760,000

Add- Net Income 225000

Add-Sale of treasury stock 79750

Less- purchase of treasury stock (125700)

Less- Cash dividend (73200)

We have $8,760,000 + 225000 + 79750 - (125700) - (73200)

= $8,865,850

This is the equity

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A customer is contacted by a phone and visited by a sales representative. A. Direct b. Indirect

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A customer is contacted by a phone and visited by a sales representative is an example of a direct marketing approach. Option A

What is a  direct marketing approach?

Direct marketing refers to any form of advertising or promotion that is targeted directly to individual consumers, rather than through a mass medium such as TV or print advertising.

This is an example of a direct marketing approach, as the customer is being contacted directly by phone and visited by a sales representative.

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Fill in the blank: ​_____ give the project managers an opportunity to seek input and conduct brainstorming sessions.

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The Answer Is Project status

pursuant to the usa patriot act, when the government requests confidential information from employers about their employees, the employer can choose not to cooperate

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No, pursuant to the USA PATRIOT Act, when the government requests confidential information from employers about their employees, the employer cannot choose not to cooperate.

The USA PATRIOT Act (Uniting and Strengthening America by Providing Appropriate Tools Required to Intercept and Obstruct Terrorism Act) was enacted in response to the 9/11 terrorist attacks in the United States. Its main purpose is to enhance national security by granting law enforcement agencies increased surveillance powers and access to personal information.

When the government requests confidential information from employers under the provisions of the USA PATRIOT Act, the employer is legally obligated to comply. Failure to do so can result in penalties, fines, or even criminal charges. This is because the Act is designed to prevent terrorism and protect national security, which takes precedence over individual privacy concerns in these circumstances. It is important for employers to be aware of their obligations under the Act and to cooperate fully with government requests for information about their employees.

In conclusion, the USA PATRIOT Act grants the government significant powers to obtain confidential information from employers about their employees in the interest of national security. Employers are required to comply with these requests and cannot choose not to cooperate.

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The american recovery and reinvestment act (arra) of 2009, which is commonly known as the "stimulus," was aimed at: ___________

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The American Recovery and Reinvestment Act (ARRA) of 2009, also known as the "stimulus," was aimed at providing economic relief and recovery measures in response to the Great Recession.


The ARRA was enacted by President Barack Obama in February 2009, with the goal of creating jobs, supporting economic growth, and investing in infrastructure and education. The Act provided approximately $787 billion in funding for various programs and initiatives, including tax cuts, unemployment benefits, healthcare reform, energy efficiency and renewable energy projects, transportation infrastructure, and education programs. The ARRA was designed to provide immediate relief to individuals and families impacted by the economic downturn, while also stimulating long-term economic growth and job creation. While the Act faced criticism and debate over its effectiveness and implementation, it is widely considered to have played a significant role in stabilizing the economy and preventing a deeper recession.
In summary, the American Recovery and Reinvestment Act of 2009, or the "stimulus," was aimed at providing economic relief and recovery measures through a range of initiatives and programs designed to create jobs, support economic growth, and invest in infrastructure and education.

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when conducting assessments of the organization's indirect compensation, the assessment should look at all of the following except ________. A. What employees prefer to see the organization doingB. What the organization is doingC. What benefits are the least expensive, regardless of employee preferencesD. What other organizations are doing

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When conducting assessments of the organization's indirect compensation, it is important to take into account various factors that could impact employee satisfaction, engagement, and retention. These factors include the benefits, perks, and incentives that the organization provides to its employees, as well as how they compare to what other organizations in the industry are doing.

However, there is one option in the question that stands out as not being relevant to the assessment process, and that is option C: "What benefits are the least expensive, regardless of employee preferences." This option implies that the organization should focus solely on reducing costs, even if it means providing benefits that employees may not value or appreciate. This approach could lead to a lack of employee motivation, loyalty, and productivity, and could ultimately harm the organization's overall performance.

Therefore, when assessing indirect compensation, it is important to consider what employees prefer to see, what the organization is currently doing, and what other organizations are doing, in order to make informed decisions that align with the organization's values, goals, and culture.

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when setting advertising objectives, what is the difference in a push and a pull strategy? provide an example of when each might be used.

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When setting advertising objectives, businesses have two options: a push strategy or a pull strategy. The difference between the two is in the direction of promotion.

A push strategy involves promoting a product or service to the distributor, retailer, or sales team, and letting them push it to the end consumer. On the other hand, a pull strategy involves promoting the product or service directly to the end consumer, creating demand that pulls the product through the distribution channel.

A push strategy is typically used in industries where the products are highly competitive, and businesses want to create demand through distribution channels. For example, the pharmaceutical industry uses a push strategy. Pharmaceutical companies promote their products to doctors, who then prescribe them to patients. By doing this, the pharmaceutical companies create a demand for their products, and the patients purchase them.

A pull strategy is often used when the product or service is unique, or when it's essential to create brand awareness. For instance, Apple uses a pull strategy. They market their products directly to consumers, creating a brand image that consumers want to be associated with. Apple has built a reputation for having innovative and stylish products that people want to be seen with.

In conclusion, a push strategy is used to create demand through distribution channels, while a pull strategy is used to create brand awareness and demand through direct promotion to consumers. Both strategies have their benefits and drawbacks, and businesses need to choose the one that best suits their products or services.

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Andrew is sixteen years old. He would like to become a lawyer. Write an appropriate long- term goal for him. Then, write one short-term goal that would move him toward his long-term goal.

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Long-term goal: Andrew's long-term goal could be to become a successful and reputable lawyer, specializing in a specific field of law. This goal encompasses not only achieving the necessary educational qualifications but also gaining experience and recognition in the legal profession.

Short-term goal: One short-term goal for Andrew could be to focus on his academic performance and excel in high school by maintaining a high GPA and actively participating in relevant extracurricular activities. This short-term goal will lay a solid foundation for his future education and help him gain admission to a reputable undergraduate institution, which is an important step towards pursuing a career in law. Additionally, he can start exploring various legal internships or volunteer opportunities to gain exposure to the field and develop a deeper understanding of the legal profession.

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How do true cycles and the cycles typically found in business data differ?

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True cycles and the cycles typically found in business data differ in their underlying characteristics and causes.

True cycles, also known as natural or economic cycles, refer to the inherent fluctuations in economic activity that occur over time. These cycles are driven by various factors such as changes in technology, consumer behavior, business investments, and macroeconomic policies. They are considered to be intrinsic to the economic system and can span several years or even decades. True cycles consist of periods of expansion, peak, contraction, and trough.

On the other hand, the cycles typically found in business data refer to shorter-term fluctuations observed in specific economic indicators, such as GDP, employment, or industrial production. These cycles are influenced by a combination of factors, including true cycles, but are also affected by more immediate factors like seasonal variations, business cycles, and short-term economic shocks. Business data cycles tend to be more frequent and have a shorter duration compared to true cycles.

While true cycles reflect the broader patterns and long-term trends in the economy, business data cycles provide insights into the short-term fluctuations and business activity within specific sectors or industries.

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list and briefly describe the three basic theories used to describe the term structure of interest rates

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There are three basic theories used to describe the term structure of interest rates: the expectations theory, the liquidity preference theory, and the market segmentation theory.



The expectations theory suggests that long-term interest rates are determined by the expectations of investors about future short-term interest rates. This theory assumes that investors are risk-neutral and prefer to hold short-term bonds to minimize risk. Therefore, long-term bond yields must be equal to the expected future short-term interest rates.



The liquidity preference theory suggests that investors prefer more liquid investments and require a premium to hold long-term bonds, which are less liquid. This theory assumes that investors are risk-averse and prefer to hold short-term bonds to avoid interest rate risk.



The market segmentation theory suggests that the bond market is segmented into different maturities, and investors only invest in bonds that match their investment horizons.

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Application of Bayes' theorem enables us to compute
a. the conditional probability of the sample outcomes given each state of nature
b. the posterior probability of each sample outcome
c. the prior probability of each state of nature
d. the conditional probability of the states of nature given each sample outcome

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d. the conditional probability of the states of nature given each sample outcome.

Bayes' theorem is a mathematical formula used to update the probability of a hypothesis, given new evidence. It allows us to compute the conditional probability of the states of nature given each sample outcome, which helps in decision-making and prediction when dealing with uncertain events.

The application of Bayes' theorem enables us to compute all four of the given options. Bayes' theorem provides a way to update the probability of a hypothesis (state of nature) based on new evidence (sample outcome). This involves calculating the conditional probabilities of both the sample outcomes given each state of nature and the states of nature given each sample outcome. From these, we can compute the prior probabilities of each state of nature and the posterior probabilities of each sample outcome. Therefore, all four options listed in the question can be determined using Bayes' theorem.

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Assume, BSi's process shows a Process Capability Ratio (Cp) of 1.321. Does the process meet the minimal threshold for process capability?

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The process meets the minimal threshold for process capability.

To determine whether the process meets the minimal threshold for process capability, we need to compare the Process Capability Ratio (Cp) to a threshold value.

The threshold value for Cp depends on the level of quality that the company wishes to achieve.

In general, a Cp value of 1 or higher is considered acceptable, indicating that the process is capable of meeting the desired specifications.

In this case, the Cp value is 1.321, which is greater than 1. This suggests that the process is capable of meeting the desired specifications and is considered acceptable.

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a process capability ratio (cp) value of _____ occurs when the natural variation in the process equals the customer’s tolerance range.

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A process capability ratio (Cp) value of 1 occurs when the natural variation in the process equals the customer's tolerance range.

The process capability ratio, also known as Cp, is a statistical measure used to determine how well a process can meet the specified limits set by customers or industry standards. It is calculated by dividing the difference between the upper specification limit (USL) and the lower specification limit (LSL) by six times the standard deviation (6σ) of the process:

Cp = (USL - LSL) / 6σ

When the Cp value is 1, it indicates that the process variation (6σ) is equal to the customer's tolerance range (USL - LSL). In other words, the process is just capable of producing products within the acceptable limits set by the customer. However, this does not account for the process means being off-center, which is evaluated by another measure called Cpk.

A Cp value of 1 is considered the minimum acceptable level for a process to be deemed capable. Higher Cp values indicate a more capable process, while lower Cp values indicate a less capable process. It is important for manufacturers to monitor and improve their process capability ratios to ensure they consistently meet customer requirements and maintain product quality.

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true/false. the ratio of sales to invested assets is termed the investment turnover component of the rate of return on investment.

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The given statement "the ratio of sales to invested assets is termed the investment turnover component of the rate of return on investment" is true because the rate of return on investment (ROI) is a crucial metric for evaluating the performance of an investment.

It helps investors to measure the efficiency and profitability of their investments, making it easier to compare different opportunities.

The ROI is typically composed of two parts: the profit margin component and the investment turnover component. The profit margin component is calculated by dividing the net income by the sales, which represents the percentage of profit generated from each dollar of sales. On the other hand, the investment turnover component is determined by dividing the sales by the invested assets, which shows how effectively the invested assets are being used to generate sales.

The investment turnover component of the ROI is essential because it highlights the efficiency of asset utilization. A higher investment turnover ratio indicates that a company is using its assets more effectively to generate revenue. In contrast, a lower ratio suggests that the company may not be utilizing its assets optimally and could improve its asset management.

In conclusion, the statement is true, as the ratio of sales to invested assets indeed represents the investment turnover component of the rate of return on investment. This component plays a vital role in determining the overall efficiency and profitability of an investment.

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How did President Reagan try to influence the federal court system on the Roe decision? Appointed judges based on credentials Appointed pro-abortion judges to federal posts O Appointed anti-abortion judges to federal posts Left federal posts vacant

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President Reagan attempted to influence the federal court system on the Roe decision by appointing anti-abortion judges to federal posts. During his presidency, Reagan appointed over 350 judges to various federal courts, including the Supreme Court. He sought to appoint judges who were conservative and would uphold traditional values, including opposition to abortion. Reagan believed that overturning Roe v. Wade would be an important step in protecting the sanctity of life and he hoped that his appointments to the federal bench would help achieve that goal.

In addition to appointing anti-abortion judges, Reagan also sought to leave federal posts vacant in order to prevent pro-abortion judges from being appointed. This strategy was criticized by some as being detrimental to the functioning of the federal court system, but Reagan defended it as a necessary step to ensure that judges who shared his views would be appointed.

However, it is important to note that Reagan also appointed judges based on their credentials rather than solely on their stance on abortion. While his overall goal was to influence the federal court system on the Roe decision, he recognized the importance of appointing qualified and competent judges. Therefore, his approach to judicial appointments was multifaceted and aimed at achieving his larger goals while still respecting the importance of a functioning and effective judiciary.

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an important factor in growing inequality over the last 30 years is technological change that has _____ the demand for college graduates and the demand for less-educated workers.

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An important factor in growing inequality over the last 30 years is technological change that has polarized the demand for different skill levels.

On one hand, technological progress has increased the demand for highly skilled workers, particularly those with college degrees, who are able to perform complex tasks and adapt to rapidly changing technological landscapes. These workers have seen significant wage gains and have experienced increased job security. On the other hand, technological change has reduced the demand for less-educated workers who perform routine, repetitive tasks that can be automated or outsourced. These workers have seen their wages stagnate or decline, and they have experienced increased job insecurity as their jobs become increasingly vulnerable to technological disruption.

This polarization of the labor market has contributed to growing income inequality, as those with higher levels of education and skills have captured a larger share of the gains from economic growth, while those with lower levels of education and skills have been left behind. Addressing this inequality will require a range of policy responses, including investments in education and training, efforts to promote the creation of good jobs for all workers, and policies that support workers and families at the bottom of the income distribution.
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Assume that a secure baseline operating system is planned for wide...
Assume that a secure baseline operating system is planned for wide deployment in a large organization. However, the baseline configuration prevents a mission-critical application from working. Over 100 employees use the mission-critical application daily.
The administrators researched the issue exhaustively and found no solution.
Should the administrators weaken security by not using the baseline settings? Why or why?
Is there another solution? Explain your answe

Answers

Assuming that a secure baseline operating system is planned for wide deployment, there may be another solution available.

What are the options?

One option could be to use a secure virtual machine or container environment that runs on top of the existing operating system. This would allow for a secure environment to be created without the need to completely replace the existing operating system.

The virtual machine or container can be isolated from the host operating system, providing an added layer of security.

Additionally, it may be easier to deploy and manage compared to a complete replacement of the operating system. Ultimately, the best solution will depend on the specific security requirements and limitations of the organization.

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Write a business plan for krest liquid detergents to be located in kampala with intial required budget of 15million. In your business plan include the following, an executive summary,industrial analysis,company overview,product design,marketing plan,management plan,chances and critical risk analysis,financial plan and other relevant surveys in the market. Make it long and detailed

Answers

By following this comprehensive business plan, Krest Liquid Detergents aims to achieve its objectives and become a leading player in the Ugandan detergent market.

Sure, here is a summary of the business plan for Krest Liquid Detergents: Krest Liquid Detergents is a new startup in Kampala, Uganda, which aims to produce high-quality liquid detergents for both household and commercial use. The company will require an initial budget of 15 million Ugandan shillings to start its operations.

The business plan starts with an executive summary, which outlines the purpose of the company, its target market, and key objectives. The industrial analysis provides an overview of the detergent industry in Uganda, including market size, growth potential, and competitive landscape. The company overview includes details of the legal structure, management team, and production facilities.

The product design section describes the types of detergents the company plans to produce, their ingredients, and benefits to customers. The marketing plan outlines the target market, distribution channels, pricing, and promotional strategies. The management plan highlights the roles and responsibilities of the management team and the organizational structure.

The chances and critical risk analysis identifies potential risks to the company's success and outlines strategies to mitigate them. The financial plan includes projected income statements, balance sheets, and cash flow statements for the next five years.

Finally, the business plan includes relevant surveys in the market, such as customer surveys, competitor analysis, and industry trends. By following this comprehensive business plan, Krest Liquid Detergents aims to achieve its objectives and become a leading player in the Ugandan detergent market.

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Shane Hamby processed a non-existent purchase transaction payable to himself. He then processed a check to pay for the purchase and forged the controller's signature. Recommend one or more internal controls to prevent or detect this kind of error or fraud.

Answers

There are several internal controls that could be implemented to prevent or detect this kind of error or fraud. One control is the segregation of duties. This means that no one employee should be responsible for initiating, approving, and recording transactions.

By separating these responsibilities, it becomes more difficult for an employee to process a fraudulent transaction and cover it up.Another control is the use of pre-numbered checks, which makes it easier to detect missing or forged checks. The controller should also review and approve all checks before they are signed to ensure that they are legitimate.

Additionally, regular audits should be conducted to ensure that all transactions are properly recorded and that there are no irregularities. Finally, employees should receive training on ethical behavior and the consequences of fraud to create a culture of accountability and honesty within the organization.

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The amount of the tax that is paid by buyers (the buyer's tax burden) is always equal to the price that buyers pay after the tax minus the (equilibrium or seller) price (the price they paid before the tax).

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The amount of tax paid by buyers, also known as the buyer's tax burden, is determined by the difference between the price they pay after the tax and the equilibrium or seller price they paid before the tax.

This difference is essentially the additional cost that buyers have to bear due to the tax. It is important to note that the burden of the tax may not always be evenly distributed between buyers and sellers, and can vary depending on market conditions and other factors. When a tax is imposed on a good or service, it increases the price that buyers must pay and decreases the price that sellers receive.

The amount of the tax that buyers pay is equal to the difference between the price they pay after the tax and the price they would have paid before the tax, which is the equilibrium price in the absence of the tax.

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a project has estimated annual net cash flows of $63,000. it is estimated to cost $239,400. determine the cash payback period. round your answer to one decimal place.

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The cash payback period for this project is 3.8 years. This means that it would take approximately 3.8 years for the project to generate enough cash flow to recover the initial investment of $239,400



To calculate the cash payback period, we need to divide the initial investment by the annual net cash flow. So, in this case, the payback period would be:



Cash Payback Period = Initial Investment / Annual Net Cash Flow

Cash Payback Period = $239,400 / $63,000

Cash Payback Period = 3.8 years



Therefore, It is important to note that the cash payback period is just one of many financial metrics that can be used to evaluate a project's viability and should be considered in conjunction with other metrics such as the net present value and internal rate of return.

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explain the relationship between a company's growth possibilities and its dividend policy.

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Companies with high growth possibilities tend to reinvest their earnings back into the business and offer lower dividends, while companies with lower growth possibilities tend to offer higher dividends to attract investors.

Dividend policy refers to the practices and decisions made by a company regarding the payment of dividends to its shareholders. Companies with high growth possibilities usually reinvest their earnings back into the business in order to fuel future growth.

This means that they may offer lower dividends or no dividends at all to their shareholders, as they prefer to use the cash to finance new projects or expand operations. This is because they believe that reinvesting the earnings will lead to greater long-term benefits for the company and its shareholders.

On the other hand, companies with lower growth possibilities tend to have less need for reinvestment and may offer higher dividends to attract investors. This is because they believe that their current business model is likely to generate stable, predictable cash flows in the long term, and therefore, they can afford to distribute a larger portion of their earnings to shareholders in the form of dividends.

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When calling on the ultimate decision-maker, product benefits should usually be expressed in dollars saved or earned
. a. True
b. False

Answers

The statement " When calling on the ultimate decision-maker, product benefits should usually be expressed in dollars saved or earned" is true because ultimate decision-makers are often concerned with the financial impact of a product on their organization.

When calling on the ultimate decision-maker, it is important to express the product benefits in terms of dollars saved or earned, as this is typically the language that decision-makers understand and value. This helps to make a compelling business case for the product and increases the likelihood of a successful sale.
By expressing the product benefits in terms of dollars saved or earned, you make it easier for them to understand and evaluate the value of the product.

Product benefits are any positive impact that a good or service has on the experience of a consumer interacting with it. Customers may note immediate benefits or long-term benefits, which they might experience at increasing levels the longer they use your product or service.

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cost behavior analysis applies to group of answer choices wholesalers manufacturers. retailers. all entities.

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Cost behavior analysis applies to all entities, including wholesalers, manufacturers, and retailers.

This type of analysis helps businesses understand how their costs change in response to varying levels of activity or output. By examining cost behavior, companies can better manage expenses, create accurate budgets, and make informed decisions regarding their operations.

For wholesalers, this may involve assessing the costs related to acquiring and distributing goods. For manufacturers, cost behavior analysis can focus on production costs, such as raw materials and labor. Retailers can utilize this analysis to determine store operating costs and inventory management expenses.

Ultimately, cost behavior analysis is a valuable tool for all entities, as it allows them to identify and control costs effectively.

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The following is the sales budget for Coore, Inc., for the first quarter of 2019: January $137,000 Sales budget February $154,000 March $169,000 Credit sales are collected as follows:
65 percent in the month of the sale 20 percent in the month after the sale 15 percent in the second month after the sale The accounts receivable balance at the end of the previous quarter was $95,750 ($69.650 of which was uncollected December sales). a. Compute the sales for November. (Do not round intermediate calculations and round your answer to the nearest whole number, e.9., 32.) b. Compute the sales for December. (Do not round intermediate calculations and round your answer to the nearest whole number, e.g. 32.) c. Compute the cash collections from sales for each month from January through March. (Do not round intermediate calculations and round your answers to the nearest whole number, e.g., 32.) a November sales b. December sales c. January collections February collections March collections

Answers

a) November sales are estimated to be $40,154, b) December sales are estimated to be $167,562, and c) the cash collections from sales for January, February, and March are $88,850, $102,110, and $120,292 respectively.

To compute the sales for November, we need to know the sales from the previous quarter that were uncollected in December. Therefore, we subtract $69,650 from the accounts receivable balance of $95,750 to get $26,100 in collected sales. Then, we divide that number by the percentage of credit sales collected in the month of the sale (65%), which gives us $40,154. This is the estimated sales for November.
To compute the sales for December, we take the remaining 35% of credit sales from November (which would be collected in December) and add it to the sales budget for December. This gives us $154,000 + ($40,154 x 0.35) = $167,562. This is the estimated sales for December.
To compute the cash collections from sales for each month from January through March, we need to apply the given percentages to the sales budgets for each month. For January, we collect 65% of $137,000, which is $88,850. For February, we collect 20% of January's credit sales ($40,150) and 65% of February's credit sales ($100,100), which gives us a total of $102,110. For March, we collect 15% of January's credit sales, 20% of February's credit sales, and 65% of March's credit sales ($109,850), which gives us a total of $120,292.

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Groovy Bottles Products is a manufacturer of large flower pots for urban settings. The company has these standards: Click the icon to view the standards.) Requirements 1. Compute the standard cost of each of the following inputs per pot: direct materials, direct labor, variable manufacturing overhead, and fixed manufacturing overhead. 2. Determine the standard cost of one flower pot Standard Guantity Standard price - Standard cost of input Direct materials 11.20 pound XS 4.25 por pound = $ 47.60 Direct labor 1.00 hour * S 15.75 per hour - $ 15.75 Variable manufacturing overhead 1.00 hour XS 3.15 per hour = $ 3.15 Forced manufacturing overhead 1.00 hour XS .15 per hour 6.15 Requirement 2. Determine the standard cost of one flower pot. (Enter your answer to the nearest cent) The standard cost of one flower pot is $

Answers

The standard cost of one flower pot is $72.65.

To determine the standard cost of one flower pot, we need to add up the standard costs of all the inputs.

The standard cost of direct materials is calculated by multiplying the standard quantity (11.20 pounds) by the standard price ($4.25 per pound), which gives us $47.60.

The standard cost of direct labor is simply the standard rate ($15.75 per hour), which is $15.75.

The standard cost of variable manufacturing overhead is also the standard rate ($3.15 per hour), which is $3.15.

The is the standard rate ($0.15 per hour) multiplied by the standard hours per pot (1.00 hour), which gives us $0.15. standard cost of fixed manufacturing overhead

Adding up all these standard costs gives us a total of $66.65.

To this, we need to add the company's standard markup of 10%, which is $6.00.

Therefore, the standard cost of one flower pot is $66.65 + $6.00 = $72.65.

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