When the high-low method is used to estimate a cost function, the variable cost per unit is found by a. performing regression analysis on the associated cost and cost driver database. b. subtracting the fixed cost per unit from the total cost per unit based on either the highest or lowest observation of the cost driver. c. dividing the difference between the highest and lowest observations of the cost driver by the difference between costs associated with the highest and lowest observations of the cost driver. d. dividing the difference between costs associated with the highest and lowest observations of the cost driver by the difference between the highest and lowest observations of the cost driver.

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Answer 1

When using the high-low method to estimate a cost function, the variable cost per unit is found by: dividing the difference between costs associated with the highest and lowest observations of the cost driver by the difference between the highest and lowest observations of the cost driver. The correct option is D.

This method involves identifying the highest and lowest activity levels (cost drivers) and their respective costs, calculating the differences in cost and activity, and then determining the variable cost per unit.

It's a simple way to estimate the cost function, but it doesn't consider all available data points, unlike regression analysis, which is option (a). Option (b) is not accurate, as it refers to subtracting the fixed cost per unit, which is not relevant to finding the variable cost per unit. Option (c) incorrectly reverses the calculation order for the variable cost per unit. The correct option is D.

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Complete question:

When the high-low method is used to estimate a cost function, the variable cost per unit is found by

a. performing regression analysis on the associated cost and cost driver database.

b. subtracting the fixed cost per unit from the total cost per unit based on either the highest or lowest observation of the cost driver.

c. dividing the difference between the highest and lowest observations of the cost driver by the difference between costs associated with the highest and lowest observations of the cost driver.

d. dividing the difference between costs associated with the highest and lowest observations of the cost driver by the difference between the highest and lowest observations of the cost driver.


Related Questions

A company's return on assets will equal its return on equity if there is no debt. true false

Answers

The given statement, A company's return on assets will equal its return on equity if there is no debt is False because Return on assets (ROA) is a measure of how efficiently a company is using its assets to generate profits.

While return on equity (ROE) measures a company's profitability by taking the amount of net income and dividing it by the amount of shareholders' equity. ROA and ROE will differ if a company has any debt, as debt is not included in the calculation of ROE, but is included in the calculation of ROA.

When a company has debt, the ROA will be lower than the ROE, as the interest payments associated with the debt will reduce the profits available to be distributed to shareholders. By contrast, when a company has no debt, the ROA and ROE will be the same, as all profits are available to be distributed to shareholders.

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when will social security recipients get an extra $200 a month

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As an AI language model, I don't have real-time information or the ability to predict future events beyond my knowledge cutoff in September 2021.

Therefore, I cannot provide specific details about when social security recipients will receive an extra $200 a month. Social security benefits, including any potential changes or increases in payment amounts, are determined by the Social Security Administration (SSA) and are subject to various factors, such as legislation, economic conditions, and eligibility criteria. It is recommended to stay updated with official sources, such as the SSA website or relevant government announcements, for the most accurate and current information regarding social security benefits.

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Assume the market for tortillas is perfectly competitive. The market supply and demand curves for tortillas are given as follows:
Supply curve: P = 0.2
Demand curve: P = 1100 − 2
The short-run total cost curve for a typical tortilla factory, ABC, is:
T = 500 + 10 + 4.5 2
a) Determine the market equilibrium price and quantity.
b) Determine the profit-maximizing level of output for factory ABC.
c) Assuming that all of the factories are identical, how many factories are producing tortillas in the short-run?
d) At the level of output determined above, is the factory making a profit, breaking-even (i.e., zero profit), or making a loss?
e) Should the firm operate or shut down in the short run? Why?
f) What is the firm’s short-run supply curve?
g) Determine the producer surplus for factory ABC at the profit-maximizing level of output.
h) Referring to your answer to part (d), if entry and exit are free, explain how the market reaches to its long-run equilibrium.

Answers

a) The market equilibrium price is $550 and the quantity exchanged is zero. b) The profit-maximizing level of output for factory ABC is 60 units.

a) To determine the market equilibrium price and quantity, we need to find the intersection of the supply and demand curves:

0.2 = 1100 − 2P

Solving for P, we get P = 550. The quantity demanded and supplied at this price is:

Q = 1100 − 2(550) = 0  

b) To determine the profit-maximizing level of output for factory ABC, we need to find the output level where marginal cost equals marginal revenue. The marginal cost (MC) function can be found by taking the derivative of the total cost function:

MC = dT/dQ = 9Q + 10

The marginal revenue (MR) function is the same as the market price, since the firm is a price taker:

MR = P = 550

Setting MC = MR, we get:

9Q + 10 = 550

Solving for Q, we get Q = 60.

c) Assuming that all of the factories are identical, the total quantity of tortillas supplied in the short-run is simply the output level of a single factory times the number of factories. So, if there are n factories in the market, the total quantity supplied is:

Q = 60n

Since the market equilibrium quantity is zero, there are no factories producing tortillas in the short-run.

d) At the level of output determined above (Q = 60), we can calculate the total cost (TC) and total revenue (TR) for factory ABC:

TC = 500 + 10Q + 4.5Q^2 = 1,050

TR = P × Q = 550 × 60 = 33,000

The profit (π) for factory ABC is:

π = TR - TC = 33,000 - 1,050 = 31,950

Therefore, the factory is making a profit.

e) The firm should operate in the short run since it is making a profit. However, if the price were to fall below the minimum average variable cost (which is 10 in this case), the firm should shut down in the short run to minimize losses.

f) The firm's short-run supply curve is its marginal cost curve above its minimum average variable cost. In this case, the minimum average variable cost is 10, so the short-run supply curve is given by:

P = MC = 9Q + 10, for Q ≥ 60

g) To determine the producer surplus for factory ABC at the profit-maximizing level of output, we need to find the difference between the total revenue and the variable cost:

PS = TR - VC = P × Q - (500 + 10Q) = 550 × 60 - (500 + 10 × 60) = 18,950

Therefore, the producer surplus for factory ABC is $18,950.

h) If entry and exit are free, new firms will enter the market in the long run, attracted by the profit earned by existing firms. This will increase the supply of tortillas in the market, causing the price to fall. The price will continue to fall until it reaches the minimum of the average total cost curve, at which point firms will be making zero economic profit. At this point, there will be no further incentive for new firms to enter the market, and the market will be in its long-run equilibrium with a price of $500 and a quantity of 550 units.

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.If a public firm has a high credit rating, the lowest-cost source of funds comes from a(n) ____.
Shelf registration
Initial public offering
Underwritten offering
Registered public offering

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If a public firm has a high credit rating, the lowest-cost source of funds comes from a registered public offering. The correct option is Registered public offering.

A registered public offering is a process where a company sells its securities to the public and the securities are registered with the Securities and Exchange Commission (SEC). A high credit rating indicates that the company is financially stable and has a lower risk of defaulting on its debts. This, in turn, makes it easier for the company to raise capital from the public markets through a registered public offering.

This type of offering allows the company to sell its securities directly to investors, without the need for an underwriter, which reduces the cost of issuing the securities. Overall, a registered public offering is a cost-effective way for a public firm to raise capital if it has a high credit rating. The correct option is Registered public offering.

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The current forward price of oil in one year is $100. If the high and low state prices of oil in one year are $122.14 and $81.87, respectively, then the risk-neutral probability (p) is _____

Answers

The risk-neutral probability (p) is approximately 0.4503 or 45.03%

To find the risk-neutral probability (p), we can use the formula:
Forward Price = (High State Price * p) + (Low State Price * (1 - p))
Given the current forward price of oil in one year is $100, the high state price is $122.14, and the low state price is $81.87, we can plug these values into the formula:
$100 = ($122.14 * p) + ($81.87 * (1 - p))
To solve for p, we can follow these steps:
1. Distribute the terms: $100 = (122.14p) + (81.87 - 81.87p)
2. Combine like terms: $100 = 40.27p + 81.87
3. Subtract 81.87 from both sides: $18.13 = 40.27p
4. Divide by 40.27: p ≈ 0.4503
So, the risk-neutral probability (p) is approximately 0.4503 or 45.03%.

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Lowering the nominal interest rate: Suppose the Fed announces today that it is lowering the fed funds rate by 50 "basis points" (that is, by half a percentage point). Using the IS-MP diagram, explain what happens to economic activ- ity in the short run. What is the economics underlying the response in the economy?

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Lowering the nominal interest rate, specifically the fed funds rate, can lead to an increase in economic activity in the short run. This is because lower interest rates make it cheaper for consumers and businesses to borrow money, which can lead to increased spending and investment.

In terms of the IS-MP diagram, a decrease in the nominal interest rate will shift the MP (monetary policy) curve to the right. This is because lower interest rates make it easier for banks to lend money, which increases the money supply and encourages investment. As a result, the equilibrium point on the diagram will shift to the right, indicating an increase in both output and the interest rate.

The economic reasoning underlying this response in the economy is that lower interest rates can stimulate demand and increase investment, leading to higher output and employment in the short run. However, it's important to note that this effect may not last in the long run, and lower interest rates can also lead to inflation and other negative consequences. Therefore, policymakers must carefully consider the trade-offs between short-term and long-term effects when implementing monetary policy.

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Due to _, government outlays have risen quickly since 2000.
a.less tax revenue
b.an aging population
c.increased government borrowing
d.economic expansion
e.lower interest payments on current government debt

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"b. An aging population." Governments around the world have experienced a significant increase in their outlays since the turn of the century, and one of the main drivers of this trend is the aging population.

As people get older, they require more social services and healthcare, which puts pressure on governments to increase their spending.

In many countries, the aging population is also putting pressure on government pension systems, as more people are living longer and drawing benefits for longer periods of time. This has led to the need for governments to reform their pension systems, which can be a politically difficult process.

Other factors that have contributed to the rise in government outlays include increased spending on national security and defense, higher education costs, and rising healthcare costs. However, the aging population is widely regarded as one of the most significant drivers of this trend.

Overall, governments are facing significant challenges in managing their finances in the face of rising demand for social services and the need to balance budgets. Policymakers will need to find creative solutions to these challenges if they hope to maintain the long-term stability of their economies.

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The U.S. savings rate has been around 20-22 percent for many years. Should the govemment try to increase the savings rate?OA. No because higher savings and investment may lead to Diminishing Marginal Product of capital.
OB. No because higher savings means lower consumption.
O C. Uncertain because there is a tradeoff between a smaller fraction of GDP consumed today and higher capital, GDP, and thus consumption tomorrow.
O D. Yes because higher savings increases investment, which increases capital, which increases GDP

Answers

An increase in demand and a decrease in supply can be expected in the country's market for loanable funds. (D)

During the recovery phase of the business cycle, businesses are expected to earn higher profits and may have greater demand for borrowing funds to invest in their operations. This increased demand for loans will result in an increase in demand for loanable funds.

At the same time, the surging stock market will encourage investors to shift their funds from loanable funds to the stock market, resulting in a decrease in the supply of loanable funds. This decrease in supply will further drive up the interest rates for loans.

In summary, during the recovery phase of the business cycle, the country's market for loanable funds can be expected to experience an increase in demand for loans and a decrease in supply of loanable funds. This will result in an increase in the interest rates for loans, making it more expensive for businesses to borrow funds.(D)

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If the designers and builders of the West Fertilizer ammonium nitrate storage facility had had sufficient flexibility to make changes when the facility was built, which of the following changes could have made the explosion less destructive? (Check all that apply and then click 'Submit?) The ammonium nitrate could have been mixed with fuel oil to lower the potential for an explosion. The ammonium nitrate storage bin could have been made wider but shorter so that the same amount was stored. Less ammonium nitrate could have been stored at the facility. The facility could have been constructed to store twice as much ammonium nitrate. Larger amounts decrease the potential for ammonium nitrate to detonate.

Answers

The changes that could have made the explosion less destructive are:

The ammonium nitrate could have been mixed with fuel oil to lower the potential for an explosion.Less ammonium nitrate could have been stored at the facility.

Options A and C are the correct answers.

Mixing ammonium nitrate with fuel oil creates a mixture called ANFO (Ammonium Nitrate Fuel Oil), which is less sensitive to detonation compared to pure ammonium nitrate. This would have reduced the risk of a catastrophic explosion. Additionally, storing less ammonium nitrate at the facility would have reduced the overall quantity of explosive material present, thereby decreasing the potential for a destructive explosion.

Options A and C are the correct answers.

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Sally takes a justice approach to ethics. She will therefore judge a business decision to be ethical so long as: More good than bad results from the decision Everyone is treated fairly. O Sally's rights are not violated. The decision-maker has good character and integrity, Nonely the above

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Based on Sally's justice approach to ethics, she believes that an ethical business decision should result in more good than bad, treat everyone fairly, not violate her own rights, and be made by someone with good character and integrity.

Sally's emphasis on integrity aligns with the importance of having a moral compass and doing what is right, even when it may not be easy or popular. Ultimately, ethical behavior requires both sound decision-making and upholding a strong sense of integrity.

Sally takes a justice approach to ethics, which means she will judge a business decision to be ethical so long as everyone is treated fairly and there is an equitable distribution of benefits and burdens. In this approach, emphasis is placed on fairness, integrity, and ensuring that all parties involved are treated with respect and consideration.

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Emma Company sells services for $888 cash and $1,384 on account this month. Emma Company also pays $783 in salaries and wages, which includes $169 that was payable at the end of the previous month the rest was for salaries and wages of this month. What is the amount that would be included in net income?

Answers

The net income for this month would be $1,658.

First, we'll calculate the revenue:
$888 cash sales + $1,384 sales on account = $2,272 total revenue
Next, we'll calculate the expenses:
$783 total salaries and wages - $169 payable from previous month = $614 salaries and wages for this month

Therefore, the net income of Emma Company can be calculated as:
Net Income = Total Revenue - Total Expenses
Net Income = $2,272 - $614
Net Income = $1,658
So the net income for this month would be $1,658.
It is important to note that this is a simplified calculation and does not take into account any other expenses or revenues that Emma Company may have. However, based on the information given, this is the amount that would be included in their net income.

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Develop and list 7-10 in-depth questions and/or requests for additional information that you would ask the CFO to provide in order to clarify the financial statement data that you read over.

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Here's a list of in-depth questions and requests for additional information to ask the CFO in order to clarify the financial statement data:

1. Can you please provide a breakdown of the revenue streams and their respective growth rates?
2. Could you explain the significant changes in operating expenses over the last fiscal year?
3. Are there any non-recurring or one-time items that have impacted the financial statements?
4. Can you provide an analysis of the company's working capital management and liquidity ratios?
5. How has the company's debt structure evolved over time, and what is the current debt-to-equity ratio?
6. Are there any off-balance sheet liabilities or contingent liabilities that we should be aware of?
7. Can you explain any discrepancies or deviations from generally accepted accounting principles (GAAP)?
8. How do the company's financial performance metrics compare to industry benchmarks and peer companies?
9. Could you provide insights into the company's tax strategies and potential exposure to tax-related risks?
10. Are there any significant changes in accounting policies or estimates that have affected the financial statements?

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establish a causal relationship correlation random assignment temporal order accounting for alternative explanations

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Establishing a causal relationship involves demonstrating that one variable directly influences another variable. To establish causality, several criteria must be met, including correlation, random assignment, temporal order, and accounting for alternative explanations.

Correlation is a necessary but not sufficient condition for causality. Random assignment is a technique used in experimental research to ensure that participants are assigned to different groups in a way that is unbiased and random. Temporal order refers to the sequence of events, such that the cause must precede the effect in time. Accounting for alternative explanations involves ruling out other possible factors that may be influencing the relationship between the variables.

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managers in a cost center are held responsible for both the costs and volumes of inputs used to produce a product or provide a service. (True or False)

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The statement is true. In a cost center, managers are responsible for controlling the costs associated with their department or function.

A cost center is a department or functional area within a company that is responsible for incurring costs but does not generate revenue directly. The primary objective of a cost center is to provide service or support to other departments or the organization as a whole. The managers of a cost center are accountable for the costs incurred in delivering their service or support. They must ensure that the inputs used to produce a product or provide a service are used efficiently and effectively. This means that they must control the volume of inputs used to minimize waste and reduce costs. Therefore, managers in a cost center are held responsible for both the costs and volumes of inputs used to produce a product or provide a service.

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George is a salesman who drives a lot for his job. He bought his new Toyota Prius because i gets 51 MPG is an example of

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George's decision to purchase a Toyota Prius as a sales car was influenced by its fuel efficiency, as it gets 51 miles per gallon.

What is the reason?

As a salesman who spends a lot of time on the road, George recognized the need to minimize fuel costs and reduce his carbon footprint.

The Toyota Prius is a popular choice for eco-conscious consumers due to its hybrid engine, which combines a gasoline engine with an electric motor. This technology enables the car to achieve higher fuel efficiency while emitting fewer pollutants than traditional gasoline-powered cars.

George's choice of the Toyota Prius demonstrates his commitment to reducing his impact on the environment while also saving money on gas expenses.

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What type of entries would close the budgetary and actual accounts?

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The type of entries that would close the budgetary and actual accounts are the closing entries.

These entries are made at the end of an accounting period to transfer the balances of temporary accounts such as revenue, expenses, gains, and losses to the retained earnings account, which is a permanent account. In the budgetary accounts, the closing entry involves transferring the remaining balance in the budgetary fund balance account to the appropriate fund balance account in the general ledger.

This is done to ensure that the budgeted and actual amounts are reconciled, and any variances are identified and analyzed. Once the closing entries are made, the budgetary and actual accounts are reset, and the accounting cycle begins again for the next period. It is important to close the budgetary and actual accounts to ensure accurate financial reporting and to prepare for the next accounting period.

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On the planet of Mercury, 4-year-olds average 2. 8 hours a day unsupervised. Most of the unsupervised children live in rural areas, considered safe. Suppose that the standard deviation is 1. 6 hours and the amount of time spent alone is normally distributed. We randomly survey one Mercurian 4-year-old living in a rural area. We are interested in the amount of time X the child spends alone per day. (Source: San Jose Mercury News) Round all answers to 4 decimal places where possible.


a. What is the distribution of X? X ~ N(,)


b. Find the probability that the child spends less than 0. 8 hours per day unsupervised.


c. What percent of the children spend over 4. 1 hours per day unsupervised. % (Round to 2 decimal places)


d. 70% of all children spend at least how many hours per day unsupervised? hours

Answers

a. Distribution of X:X ~ N(2.8, 1.6²)b. Probability that the child spends less than 0.8 hours per day unsupervised is to be determined.

Here, X ~ N(2.8, 1.6²).Then, we need to standardize the normal distribution to use the standard normal table or calculator. Z = (X - μ) / σZ = (0.8 - 2.8) / 1.6 = -1.25Now, we look up the z-value in the standard normal table or use the calculator to find that P(Z < -1.25) = 0.1056Therefore, the probability that the child spends less than 0.8 hours per day unsupervised is 0.1056.c.Let 1.6 hours be standard deviations .

To determine the percentage of children who spend over 4.1 hours per day unsupervised, we first need to standardize the distribution of X:X ~ N(2.8, 1.6²)Z = (X - μ) / σZ = (4.1 - 2.8) / 1.6 = 0.8125Now, we look up the z-value in the standard normal table or use the calculator to find that P(Z > 0.8125) = 0.2075Therefore, the percent of children who spend over 4.1 hours per day unsupervised is 20.75%.d. Given that 70% of all children spend at least how many hours per day unsupervised is to be determined. Here, X ~ N(2.8, 1.6²).

To find the corresponding z-value, we use the standard normal table or calculator. Let's call this value z*.P(Z > z*) = 0.3We look for the closest probability in the standard normal table which is 0.2995, and its corresponding z-value is 0.84.Now we can use the formula to find the corresponding X-value:z* = (X - μ) / σ0.84 = (X - 2.8) / 1.6X = 2.8 + 1.6(0.84) = 4.04Therefore, 70% of all children spend at least 4.04 hours per day unsupervised.

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and at most 30,000 discs can be produced ion a month, what production level will give the lowest average cost per disc

Answers

We can see that the lowest average cost per disc is achieved at a production level of 20,000 discs.

To determine the production level that will give the lowest average cost per disc, we need to consider the concept of economies of scale. This means that as production levels increase, the cost per unit decreases due to the spreading of fixed costs over a larger number of units.

However, beyond a certain point, the cost per unit starts to increase again due to diminishing returns.

Given that the fixed costs for producing the discs are $10,000 per month, we can calculate the variable cost per disc by dividing the total variable costs (i.e. costs that vary with production levels) by the number of discs produced. Let's assume that the variable costs per disc are as follows:

- 1 to 10,000 discs: $1.50 per disc
- 10,001 to 20,000 discs: $1.20 per disc
- 20,001 to 30,000 discs: $1.80 per disc

Based on these variable costs, we can calculate the total cost per disc for different production levels as follows:

- 1,000 discs: ($10,000 + $1,500) / 1,000 = $11.50 per disc
- 5,000 discs: ($10,000 + $7,500) / 5,000 = $3.50 per disc
- 10,000 discs: ($10,000 + $12,000) / 10,000 = $2.20 per disc
- 15,000 discs: ($10,000 + $16,500) / 15,000 = $1.77 per disc
- 20,000 discs: ($10,000 + $24,000) / 20,000 = $1.70 per disc
- 25,000 discs: ($10,000 + $34,500) / 25,000 = $1.58 per disc
- 30,000 discs: ($10,000 + $54,000) / 30,000 = $1.80 per disc

From the above calculations, we can see that the lowest average cost per disc is achieved at a production level of 20,000 discs. Beyond this level, the variable costs start to increase and outweigh the benefits of economies of scale.

Therefore, producing 20,000 discs per month would be the most efficient and cost-effective production level for this scenario.

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planning budgets are sometimes called blank______ budgets.

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Planning budgets, also known as proactive budgets, are financial tools that organizations use to prepare for future expenses and revenue. These budgets allow businesses to allocate resources efficiently, monitor cash flow, and track progress towards financial goals. By creating a comprehensive plan for the upcoming period, companies can make well-informed decisions and minimize potential financial risks.

A proactive budget typically includes estimates of revenue, expenses, and net income for the upcoming period. This information helps businesses to identify trends, prioritize spending, and set realistic expectations for growth. Moreover, it enables organizations to monitor their financial performance, make adjustments when needed, and stay on track with their financial goals.

In addition to facilitating decision-making, planning budgets can improve communication and collaboration among team members. By providing a clear financial roadmap, these budgets enable all stakeholders to understand the company's priorities and work together to achieve shared objectives. In summary, planning budgets are essential tools for financial management and strategic planning, helping organizations to allocate resources effectively, anticipate challenges, and maintain a strong financial position.

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A protective feature on a preferred stock that requires preferred dividends previously not paid to be disbursed before any common stock dividends can be paid is called _____.?
Select one:
a. ?voting rights
b. ?preemptive right
c. ?cumulative dividends
d. ?sinking fund
e. par value?

Answers

The protective feature on a preferred stock that requires preferred dividends previously not paid to be disbursed before any common stock dividends can be paid is called cumulative dividends . The correct option is c.

This means that preferred stockholders have priority over common stockholders when it comes to receiving dividends. The priority ensures that preferred stockholders are paid their dividends first before any dividends can be paid to common stockholders.

This feature is often included in preferred stocks to make them more attractive to investors because it offers a greater degree of safety and predictability.

It is also a way for companies to reward their preferred stockholders and maintain their loyalty. Overall, dividend priority is an important feature of preferred stocks that investors should be aware of when considering investing in them. Therefore, the correct option is c.

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The price of a stock is $50. In three months, it will either be $47 or $52, with equal probability.a. How much would you pay for an at the end money put option, i.e., a 3-month European-like put option with strike K = $50? Assume for simplicity that the stock pays no dividends and the interest rates are zero.b.Does the value of the put increase or decrease, and by how much, if the probability of the stock going up to $52 were 75% and the probability of the stock going down to $40 were 25%?

Answers

a.) The price of the put option is $1.50.

b.) The price of the put option would increase from $1.50 to $3.25, an increase of $1.75

a. To calculate the value of the put option, we must compute the present value of the option's payoff at expiration. If the stock price at expiration is $47, the put option is worth $3 ($50 - $47);

if the stock price is $52, the put option is worthless ($50 - $52 = -$2, which is less than zero, therefore the option has no value).

Because both outcomes are equally likely, the put option's expected payoff is:

Payoff Expected = 0.5 * $3 + 0.5 * $0 = $1.50

To calculate the present value of the predicted payoff, we must use an appropriate discount rate to discount it back to the present. Because there is no interest rate, the present value is simply the expected payoff, which is $1.50. As a result, the put option costs $1.50.

b. If the stock has a 75% chance of rising to $52 and a 25% chance of falling to $40, then the expected stock price at expiration is:

Stock Price Expected = 0.75 * $52 + 0.25 * $40 = $49

We can compute the expected payoff of the put option using the same method as in part (a):

Payoff Expected = 0.75 * $1 + 0.25 * $10 = $3.25

As a result, the price of the put option would rise from $1.50 to $3.25, a $1.75 increase. This is due to the greater likelihood that the stock price would fall below the strike price, which raises the expected payment of the put option.

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a. To determine how much you would pay for a 3-month European-like put option with a strike price of $50, you would need to calculate the expected value of the option. Since the stock price can either be $47 or $52 with equal probability, the expected stock price is (($47+$52)/2) = $49.50.

If the strike price is $50, this means that the option is "in the money" and has value. The value of the option can be calculated as the difference between the expected stock price and the strike price, which is ($49.50 - $50) = -$0.50. However, since this is a put option, the value is positive and equal to $0.50. Therefore, you would pay $0.50 for this put option.

b. If the probability of the stock going up to $52 were 75% and the probability of the stock going down to $40 were 25%, the expected stock price would be (($52*0.75)+($40*0.25)) = $49. Since the strike price of the put option is $50, the option is no longer "in the money" and has no intrinsic value.

Therefore, the value of the put option would decrease to $0. This is because the option holder would not exercise the option to sell the stock at a lower price than the expected stock price. The decrease in the value of the put option would be equal to the difference between the expected stock price and the strike price, which is ($49 - $50) = -$1. However, since the option has no intrinsic value, the value of the option would be $0.

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Vijay owns land (adjusted basis of $81,400) that he uses in his business. He exchanges the land and $40,700 in cash for a different parcel of land worth $97,680. a. Vijay has a realized loss of b. Can Vijay avoid like kind exchange treatment and recognize his realized loss? because the $1031 like-kind exchange provision Therefore, Vijay the loss,

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Vijay's realized loss can be calculated by subtracting the adjusted basis of his original land from the amount he received in the exchange. In this case, his realized loss would be $81,400 - $97,680 = -$16,280. This means that Vijay has a loss on the exchange.

However, Vijay cannot avoid like-kind exchange treatment and recognize his realized loss because of the $1031 like-kind exchange provision. This provision allows taxpayers to defer the recognition of gain or loss on the exchange of property of like-kind. In order to qualify for this provision, the properties exchanged must be of the same nature or character, even if they differ in quality or grade.
Since Vijay exchanged one parcel of land for another parcel of land, both properties are of the same nature and character. Therefore, the like-kind exchange provision applies, and Vijay cannot recognize his realized loss.
In summary, Vijay has a realized loss of -$16,280 on the exchange of his land, but he cannot recognize it due to the like-kind exchange provision. Instead, he must adjust the basis of the new parcel of land to reflect the loss.

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A vaccine costs $200 per patient. Administration of the vaccine to 1,000 (so, increasing cost by $200,000) people is expected to increase the number of pain-free days for this population from 360,000 to 362,000 (2,000 more pain free days). Calculate the cost per additional pain-free day due to vaccination. Is the vaccination a good investment?

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The cost per additional pain-free day due to vaccination is $100.

To calculate the cost per additional pain-free day due to vaccination, we will follow these steps:

1. Determine the total cost of administering the vaccine to 1,000 people.
2. Calculate the total increase in pain-free days for this population.
3. Divide the total cost by the increase in pain-free days to find the cost per additional pain-free day.

Step 1: Calculate the total cost of administering the vaccine.
Total cost = cost per patient * number of patients
Total cost = $200 * 1,000
Total cost = $200,000

Step 2: Calculate the total increase in pain-free days.
Increase in pain-free days = 362,000 - 360,000
Increase in pain-free days = 2,000

Step 3: Calculate the cost per additional pain-free day.
Cost per additional pain-free day = Total cost / Increase in pain-free days
Cost per additional pain-free day = $200,000 / 2,000
Cost per additional pain-free day = $100

The cost per additional pain-free day due to vaccination is $100. Whether or not the vaccination is a good investment depends on the value placed on pain-free days and the resources available. If the value of an additional pain-free day is considered to be greater than or equal to $100, then the vaccination can be seen as a good investment.

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explain the differences between managerial and financial accounting and give examples of the types of problems and issues examined by each of these areas of accounting.

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The main differences between managerial and financial accounting lie in their purpose, audience, and reporting standards.

Managerial accounting focuses on providing information to internal management to assist with decision-making, while financial accounting presents financial information to external stakeholders, such as investors and creditors.

Managerial accounting deals with issues such as cost allocation, budgeting, and performance evaluation. For example, a managerial accountant might analyze the cost structure of a product line to determine its profitability or prepare a budget for the upcoming year.

This type of accounting often involves non-financial measures, like production efficiency or employee performance.

Financial accounting, on the other hand, follows Generally Accepted Accounting Principles (GAAP) and is concerned with the preparation and presentation of financial statements, including the income statement, balance sheet, and cash flow statement.

These statements provide a snapshot of a company's financial health and performance, allowing investors and creditors to assess its financial stability. For example, a financial accountant might examine a company's revenue recognition practices to ensure compliance with GAAP.

In summary, managerial accounting is geared toward internal decision-making, while financial accounting is focused on providing accurate financial information to external stakeholders.

Both areas of accounting examine different types of problems and issues, with managerial accounting concentrating on internal management and financial accounting emphasizing compliance with reporting standards and accurate financial statement presentation.


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please calculate the net present value of a project that is associated with the following cash flows: year 0 through year 3 cash flows are $-42,398, $13,407, $21,219, $17,800.

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To calculate the net present value (NPV) of a project with the given cash flows, you'll need a discount rate. However, since you didn't provide a discount rate, I'll demonstrate the general formula to calculate NPV.

Once you have the discount rate, you can plug it into the formula.

NPV = (CF0/(1+r)^0) + (CF1/(1+r)^1) + (CF2/(1+r)^2) + (CF3/(1+r)^3)

Where:
- NPV is the net present value
- CF0, CF1, CF2, and CF3 are the cash flows for years 0, 1, 2, and 3, respectively
- r is the discount rate

Using the cash flows provided:
- Year 0: -$42,398
- Year 1: $13,407
- Year 2: $21,219
- Year 3: $17,800

Plug these values into the formula and replace "r" with your chosen discount rate. Once you've done this, you'll get the NPV of the project.

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The net present value of the project is -$1774, which means that the project is not profitable at the given discount rate of 10%.

To calculate the net present value (NPV), we need to discount each cash flow to its present value and then sum them up. Assuming a discount rate of 10%, the present value of each cash flow is:

Year 0: -$42,398 / (1+10%)^0 = -$42,398

Year 1: $13,407 / (1+10%)^1 = $12,188

Year 2: $21,219 / (1+10%)^2 = $17,309

Year 3: $17,800 / (1+10%)^3 = $12,627

The sum of the present values is:

NPV = -$42,398 + $12,188 + $17,309 + $12,627 = -$1774

Therefore, the net present value of the project is -$1774, which means that the project is not profitable at the given discount rate of 10%.

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identify someone you think is an effective leader. what makes him or her effective?

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One person I think is an effective leader is Indra Nooyi, former CEO of PepsiCo. She is a well-known figure in the business world and has consistently demonstrated exceptional leadership skills throughout her career.

One person I think is an effective leader is Indra Nooyi, former CEO of PepsiCo. She is a well-known figure in the business world and has consistently demonstrated exceptional leadership skills throughout her career. What makes Indra Nooyi an effective leader is her ability to lead with empathy and kindness. She believes in creating a workplace culture that values diversity, inclusivity, and promotes teamwork. Nooyi has been vocal about the importance of gender diversity and has pushed for more women to be in leadership positions. Another reason she is an effective leader is her strategic thinking and vision for the company. During her tenure at PepsiCo, she steered the company towards healthier products and sustainability. Her focus on innovation and staying ahead of the curve allowed PepsiCo to remain competitive and relevant in an ever-changing market. Lastly, Nooyi's communication skills are top-notch. She is a clear and concise communicator and always makes time to listen to her employees and stakeholders. This has helped her gain the trust and respect of her team, making her an exceptional leader. Overall, Indra Nooyi's leadership qualities of empathy, strategic thinking, vision, and communication make her an effective leader, inspiring many others to follow in her footsteps.

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What distinguishes persuasive advertising from informative advertising?

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Persuasive advertising aims to convince the audience to take a particular action or change their attitude towards a product or service. It often uses emotional appeals and focuses on the benefits of the product or service, rather than just providing information. In contrast, informative advertising aims to provide the audience with factual information about the product or service, without necessarily trying to persuade them to take a specific action. The focus is on educating the audience about the features, benefits, and advantages of the product or service. Ultimately, the main difference between persuasive and informative advertising is the intent behind the message and the desired outcome.

Persuasive advertising aims to persuade or influence the audience to take a specific action, such as purchasing a product or service, whereas informative advertising aims to educate the audience about a product or service's features and benefits.

Persuasive advertising uses emotional appeals, such as fear, humor, or excitement, to create a sense of urgency or desire in the audience to take action. This type of advertising may also use endorsements from celebrities or experts to lend credibility to the product or service.

In contrast, informative advertising focuses on providing accurate and objective information about a product or service. This type of advertising may use statistics, comparisons, or demonstrations to illustrate how a product or service works or how it is different from competitors.

Overall, the main difference between persuasive and informative advertising lies in their respective goals. Persuasive advertising aims to influence behavior, while informative advertising aims to educate and inform.

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Would you expect long-term or short-term U.S. government bonds to have a higher interest rate? Explain.

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Long-term U.S. government bonds have a higher interest rate compared to short-term bonds.

The reasons that long-term U.S. government bonds have a higher interest rate compared to short-term bonds are as follows.

1. Time horizon risk: Long-term bonds have a greater duration until maturity, exposing investors to more uncertainties over time. To compensate for this additional risk, investors demand a higher interest rate for long-term bonds.

2. Inflation risk: Inflation erodes the purchasing power of money over time. With long-term bonds, there is a greater likelihood that inflation will impact the bond's value. To offset this risk, investors require a higher interest rate for long-term bonds.

3. Liquidity risk: Long-term bonds may be less liquid than short-term bonds, making them harder to buy or sell quickly without affecting their price. A higher interest rate compensates for this potential lack of liquidity.

In summary, long-term U.S. government bonds typically have a higher interest rate than short-term bonds due to the increased risks associated with the longer time horizon, inflation, and liquidity.

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net neutrality is bad for small businesses. true false

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it is not accurate to categorically state that net neutrality is either bad or good for small businesses.

Some argue that net neutrality is beneficial for small businesses because it promotes a level playing field, allowing them to compete with larger established companies on equal terms. It prevents ISPs from favoring certain websites or services by providing faster or more reliable access, which could give an unfair advantage to big businesses with more resources.

On the other hand, some argue that net neutrality regulations impose additional costs and regulations on ISPs, which could potentially limit their investment and infrastructure development. This, in turn, could impact the quality of internet services available to small businesses.

Ultimately, the impact of net neutrality on small businesses depends on various factors, including the specific industry, market conditions, and the regulatory environment. It is a complex and nuanced issue with different viewpoints. Therefore, it is not accurate to categorically state that net neutrality is either bad or good for small businesses.

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Too Big to Fail and banks' ability to create money Consider the following dialog between Frances, a student studying a chapter on "Money and the Banking system and Carlos, her teaching assistant. FRANCES: Hi Carlos. Before I begin my homework, I'd like to make sure that I understand how banks create money. FRANCES: I'm glad you asked this question I Frances. When began studying money and banking, I was fascinated by the banks' ability to create money. It does look like a trick when banks use excess reserves to lend money, and thus increase their assets. Borrowers then deposit new loans which increases both bank deposits and excess reserves. This process is called deposit expansion. As a result, the money supply will increase. CARLOS By the same logic when required reserves fall, banks granting new loans, which causes to decrease. This process is called As a result, the money supply will decrease. FRANCES: I also wanted to ask you about the "too big to fail" notion. What does it entail? I had a feeling that during the lecture our professor criticized big banks but I have always thought that big banks are more reliable than small banks. My parents, for example, have always preferred a big bank operating at a national level over a small local bank.

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The "too big to fail" notion refers to the idea that some banks have become so large and systemically important that their failure would have catastrophic consequences for the entire economy.

This is because these banks have extensive interconnections with other financial institutions and are heavily involved in important financial markets. Therefore, if they were to fail, it would create a domino effect throughout the entire financial system.

However, this notion has also been criticized because it can lead to a moral hazard. If banks believe that they are "too big to fail," they may take on excessive risks and engage in reckless behavior because they believe that the government will bail them out in the event of a crisis. This can create a situation where banks are incentivized to take risks that are not in the best interest of the economy as a whole.

While it may seem that big banks are more reliable than small banks, it is important to remember that their size and complexity can make them more vulnerable to financial instability. Additionally, smaller banks may be more focused on serving their local communities and may have a better understanding of the specific needs of their customers. Ultimately, the decision to choose a big or small bank should be based on a variety of factors, including their level of financial stability, their services and fees, and their commitment to their customers.

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