Mabel suffered from credit risk.
What is Credit risk?
Credit risk is the risk that an investor will face a loss due to a borrower's or bond issuer's failure to repay its loan. Credit risk occurs whenever an investor extends credit to a borrower.
The company's bankruptcy puts Mabel's coupon bond at risk since they won't be able to pay her back the loan.
Credit risk can be addressed by thorough due diligence and credit analysis before investing in bonds or loaning money to others. This will minimize the chance of a borrower failing to repay a loan.
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5-7 present and future values of a cash flow stream an investment will pay $100 at the end of each of the next 3 years, $200 at the end of year 4, $300 at the end of year 5, and $500 at the end of year 6. if other investments of equal risk earn 8% annually, what is its present value? its future value?
The present value of the investment with an annual earn of 8% is $1,025.79 and the future value is $1,995.05.
What is present value and future value?In one year, investment will pay = $100
In year 2, investment will pay = $100
In year 3, investment will pay = $100
In year 4, investment will pay = $200
In year 5, investment will pay = $300
In year 6, investment will pay = $500
The discount rate r = 8%
To calculate the present value of the investment, we will use the formula for the present value of the cash flow stream.
PV = FV/(1+r)ⁿ
For the year 1, the present value of the cash flow stream investment will be calculated as follows:
PV(Year1) = 100/(1+0.08)¹ = 92.59
For year 2, the present value of the cash flow stream investment will be calculated as follows:
PV(Year2) = 100/(1+0.08)²= 85.73
For year 3, the present value of the cash flow stream investment will be calculated as follows:
PV(Year3) = 100/(1+0.08)³= 79.40
For year 4, the present value of the cash flow stream investment will be calculated as follows:
PV(Year4) = 200/(1+0.08)⁴= 142.61
For year 5, the present value of the cash flow stream investment will be calculated as follows:
PV(Year5) = 300/(1+0.08)⁵= 201.49
For year 6, the present value of the cash flow stream investment will be calculated as follows:
PV(Year6) = 500/(1+0.08)⁶= 424.97
The present value of the investment is the sum of all of the present values.
Present value of investment = PV(Year1) + PV(Year2) + PV(Year3) + PV(Year4) + PV(Year5) + PV(Year6)
Present value of investment = $92.59 + $85.73 + $79.40 + $142.61 + $201.49 + $424.97= $1,025.79
To calculate the future value of the investment, we will use the formula for the future value of the cash flow stream.
FV = PV(1+r)ⁿ
For the cash flow stream investment, the future value of the investment can be calculated as follows:
FV = PV(1+r)ⁿ= $1,025.79 (1+0.08)⁶= $1,995.05
Hence, the present value of the investment is $1,025.79 and the future value is $1,995.05.
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while there is no specific number of comparables that is required for every appraisal assignment, how many comparable sales are considered adequate as long as the properties are very similar to the subject property?
While there is no specific number of comparables that is required for every appraisal assignment, three comparable sales are considered adequate as long as the properties are very similar to the subject property. The use of comparable sales is an essential tool used by appraisers in determining the value of a property.
What are Comparable Sales?Comparable sales are the sales of similar properties that are compared to the subject property. The properties are compared to determine the subject property's value.
Appraisers can use three different types of comparables. They are:
1. Direct Comparables: These are properties that have the same size, design, and features as the subject property.
2. Indirect Comparables: These are properties that are not exactly the same as the subject property but are similar in many ways.
3. Appraisal Comparables: These are properties that have been appraised recently and are similar to the subject property. These are the most reliable comparables used by appraisers.
The use of comparable sales is the best approach to determining the value of a property. They give an accurate representation of what the market value of the property is. The selection of comparable sales must be carefully chosen to ensure that they are similar to the subject property.
The use of comparables also ensures that the value of the property is not under or overvalued.
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three years ago, x company acquired equipment for $100,000. the equipment was depreciated using the straight line method with a 5 year useful life and $10,000 salvage value. now the equipment has an estimated market value of $50,000 and a replacement value of $55,000. at what net amount should x company report this equipment on its balance sheet?
The net amount that X Company should report this equipment on its balance sheet is $45,000.
This is calculated by subtracting the estimated market value of $50,000 and the salvage value of $10,000 from the original cost of $100,000.
This means that after three years of depreciation using the straight line method, the balance sheet would show an amount of $45,000 for the equipment.
To further explain, straight line depreciation is a method in which the same amount of depreciation is taken for each year of the useful life of an asset. In this case, the asset was acquired for $100,000, had a useful life of five years, and a salvage value of $10,000.
This means that each year $18,000 would be taken off of the original cost of $100,000 (100,000 - 10,000/5). This means that after three years, the balance sheet should report the equipment at a net amount of $45,000 (100,000 - (18,000 x 3)).
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The cliché "You get what you expect" is indicative of
Multiple Choice
a self-fulfilling prophecy.
the recency effect.
a self-serving bias.
a causal attribution.
The cliché "You get what you expect" is indicative of a self-fulfilling prophecy. A self-fulfilling prophecy is a prediction that directly or indirectly affects the outcome of a situation due to the expectation that the event will occur.
The self-fulfilling prophecy operates in a manner that reflects expectations and beliefs. When an individual anticipates an event or circumstance, they may unconsciously or consciously alter their conduct, thoughts, or actions in ways that eventually lead to the event's fulfillment. In most circumstances, the self-fulfilling prophecy creates negative results.
In general, people with low expectations of themselves and others often create self-fulfilling prophecies, and those with higher expectations frequently get better results than those with lower expectations. As a result, people's expectations may impact the choices they make, as well as the results they get from those choices.
In conclusion, the cliché "You get what you expect" indicates a self-fulfilling prophecy that can cause people to subconsciously or consciously alter their actions, conduct, or thoughts to achieve the event's expected outcome.
The correct option is A.self-fulfilling prophecy.
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a long-standing team from the new south bbq and grill company is comprised of experts from the marketing, communication, production, and accounting departments. they are tasked with finding cost-cutting measures for producing the company’s signature grill and accessory products. this is what type of team?
The given team is a cross-functional team because it consists of experts from different departments with diverse skills and knowledge.
Cross-functional teams are made up of individuals from different departments within an organization, each with a unique set of skills and knowledge. The purpose of cross-functional teams is to accomplish a specific goal that requires the input and knowledge of various departments, resulting in a more efficient process and outcome.
In the given scenario, the team is made up of individuals from the marketing, communication, production, and accounting departments, all working together to find cost-cutting measures for producing the company's signature grill and accessory products. Therefore, it can be concluded that the given team is a cross-functional team.
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to make valid computations of adjustments for the market comparison approach to value, elements of comparison must be applied in a specific order. which of these elements has the highest priority?
Adjustments are made for differences in location, size, features, and amenities, and they are based on the principle of substitution, which states that a buyer will pay no more for a property than the cost of acquiring a comparable substitute.
To make valid computations of adjustments for the market comparison approach to value, elements of comparison must be applied in a specific order. The element of comparison that has the highest priority is the time or date of the sale. The market comparison approach is a property valuation technique that is based on the assumption that the price of a property is determined by the market.
In this method, the value of a property is assessed by comparing it to similar properties in the same area that have recently sold. This method works best for properties that are similar in nature, and it is primarily used for residential properties. The following are the elements of comparison:
Location: The location of the property, such as the neighborhood or street, can significantly impact its value. Similar properties in the same location are compared.
Age of Property: The age of a property can affect its value. Properties of similar age in the same location are compared.
Size of Property: The size of a property, measured in square footage, is a significant factor in determining its value. Properties of similar size in the same location are compared.
Features and Amenities: Properties with similar features and amenities, such as the number of bedrooms and bathrooms or the presence of a garage, are compared.
Time or Date of Sale: The time or date of the sale is critical because it reflects the market conditions at that time. Properties that sold recently under similar market conditions are compared. Adjustments are the changes made to the value of a property to account for differences between it and the comparable properties used in the market comparison approach.
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you are a founder of messi inc and initially invested $2,000,000 and received 5 million shares of stock. a venture capitalist will invest $4 million and wants to own 20% of the company after the investment is completed. [ 10 points] a. how many shares must the venture capitalist receive to end up with 20% of the company? what is the implied price per share of this funding round? b. what will the value of the whole firm be after this investment (the post-money valuation)?
The venture capitalist must receive 8 million shares of stock to end up with 20% of the company. The implied price per share of this funding round would be $0.50 and The value of the whole firm after the investment (post-money valuation) is $6 million.
These value are calculated as follows:
A. The venture capitalist must receive 8 million shares of stock to end up with 20% of the company. The implied price per share of this funding round would be $0.50 ($4,000,000 divided by 8,000,000 shares).
B. The value of the whole firm after the investment (post-money valuation) is $6 million ($2,000,000 + $4,000,000). To explain further, post-money valuation is the value of a company after an investment has been made. It is calculated by taking the total amount of money invested in a company and adding it to the company's existing value.
For example, if a company has a pre-money valuation of $2 million and an investor invests $4 million, the post-money valuation of the company will be $6 million. This calculation is important to understand when making decisions around venture capital investments.
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tj company stock has a beta of 1.47, the current risk-free rate is 5.77 percent, and the expected return on the market is 14.02 percent. what is tj company's cost of equity?
The cost of equity for TJ Company is therefore 17.90%. The return that a business must offer to its shareholders as payment for the risk they took when purchasing its common stock is known as cost of equity.
The formula for the Capital Asset Pricing Model (CAPM) can be used to determine the cost of equity:
Cost of Equity = Beta x Risk-Free Rate (Market Return - Risk-Free Rate)
By entering the specified values, we obtain:
Cost of Equity is 5.77% plus 1.47 times (14.02% minus 5.77%)
Equity Cost: 5.77% + 1.47 x 8.25%
Equity Cost = 5.77% + 12.13%
Equity Cost = 17.90%
The cost of equity for TJ Company is therefore 17.90%.
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Family is one of the ______ factors that influence consumer behavior. Select one: a. personal b. business c. social d. regional e. psychological
Family is one of the social factors that influence consumer behavior. Option C is correct.
Family is one of the social factors that influence consumer behavior. Social factors include reference groups, family, social roles and status, and other factors related to the social environment in which consumers live. Family is a particularly important social factor that can have a significant impact on consumer behavior.
Family members may influence each other's purchasing decisions, either directly or indirectly, through their attitudes, values, and behavior. Family members may also serve as reference groups, influencing each other's preferences and perceptions of products and brands. Overall, social factors, including family, play a significant role in shaping consumer behavior and are an important consideration for marketers and businesses. Option C is correct.
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a convenience store robbery has occurred, and the merchant's association has offered a $2,000 reward for information leading to the arrest and conviction of the robber. several people are claiming to be entitled to the money. which of them would not be eligible?
An on-duty sheriff's deputy in the county where the arrest occurred would not be eligible.
The benefit each party gets in return for the contract's concessions is referred to as consideration in legal agreements. It is a crucial component that must be present in a contract in order for the parties to have legal recourse against it.
According to the Bargain-for-Exchange theory of consideration, when a promisor makes a commitment in exchange for something else, sufficient consideration is present. In this case, the crucial requirement is that the promisor received a gift intended to motivate them to make the pledge.
When a promisor makes a promise to a promisee who later depends on that promise to his disadvantage, that promise is legally binding even if it was made without formal deliberation, according to the legal concept known as promissory estoppel.
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if the makers of a luxury good with high consumer acceptance extend their brand name to a line of less expensive products such as clothing featuring the brand logo, what is the most likely result?
The most likely result if the makers of a luxury good with high consumer acceptance extend their brand name to a line of less expensive products such as clothing featuring the brand logo is that it will reduce the value of the original product.
When a company extends a brand, they use their existing brand name and extend it to another product. It's a common marketing tactic that is frequently used to create brand recognition and appeal across various product lines. The following are some of the advantages of brand expansion:
Creating brand awareness- When a brand is extended, it reaches a broader audience and thus increases brand awareness. By doing this, the brand can develop a solid presence in the market.
Improved sales- As a result of brand recognition and enhanced exposure, the company may expect an increase in revenue when expanding its brand into new product lines.
Brand value is improved- A company can enhance its brand's value by diversifying and expanding its product range. However, it's important to note that there are risks to expanding a brand that one should be aware of.
For example, extending a brand to a new product line might potentially diminish its value. A brand extension may also detract from the company's core product, making it less exclusive and less appealing to its original customers.
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suppose that real gdp per capita in the united states is $32,000, while its annual growth rate is 2%, and that real gdp per capita in china is $4,000, while its annual growth rate is 7%. how long will it take china's real gdp per capita to double?
China's real GDP per capita will double in about 11 years. This can be determined by applying the compound annual growth rate (CAGR) formula to the respective countries' real GDP per capita and growth rates.
The CAGR formula is [tex]CAGR = (FV/PV)^{1/n}- 1[/tex],
where FV is the future value, PV is the present value, and n is the number of years.
Plugging in the values for the United States, we have [tex]CAGR = (2*32,000/32,000)^{1/11} - 1 = 0.02[/tex], which confirms that the US real GDP per capita is growing at a rate of 2% per year.
Plugging in the values for China, we have [tex]CAGR = (2*4,000/4,000)^{1/11} - 1 = 0.07[/tex], which confirms that the Chinese real GDP per capita is growing at a rate of 7% per year.
Given the present values and growth rates of the two countries, it would take 11 years for China's real GDP per capita to double. This is because the Chinese real GDP per capita is growing at a rate 7% higher than the US real GDP per capita, which will allow it to double faster.
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you are planning to make monthly deposits of $475 into a retirement account with an apr of 10 percent interest compounded monthly. if your first deposit will be made one month from now, how large will your retirement account be just after two months (just after your second deposit)? round your answer to the nearest dollar.
The retirement account will be $976 after rounding it off to the nearest dollar.
The present value of the retirement account after 2 months can be calculated as follows: Formula: FV = P (1 + i) n
where P is the principal amount (in this case, the monthly deposit), i is the interest rate per month, and n is the number of months for which the deposit is made.
After 2 months, the principal amount will be $475 * 2 = $950. The interest rate per month is 10% / 12, or 0.833%. The account will be compounded monthly, which means interest will be added at the end of each month. To calculate the FV of the retirement account after 2 months, we can apply the formula: FV = P (1 + i) n= 950 (1 + 0.00833)²= $976.94
Thus, the retirement account will be $976.94 after 2 months (just after the second deposit). Therefore, the retirement account will be $976 after rounding it off to the nearest dollar.
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at the end of its 2024 fiscal year, a triggering event caused a company to perform an impairment test for one of its manufacturing facilities. the following information is available: book value $ 65 million estimated undiscounted future cash flows 60 million fair value 50 million the manufacturing facility is:
The manufacturing facility is impaired because its fair value is less than its book value and the impairment loss is $15 million, which represents the excess of the book value over the fair value, up to the carrying value.
To determine if the manufacturing facility is impaired, the company needs to compare its book value to its fair value. If the fair value is less than the book value, an impairment loss must be recognized. In this case, the fair value of $50 million is less than the book value of $65 million, indicating that an impairment loss is necessary.
However, the impairment loss is not simply the difference between the book value and fair value.
The impairment loss is the excess of the book value over the fair value, up to the amount of the carrying value. In this case, the carrying value is $50 million, which is the lower of the book value and fair value.
Therefore, the impairment loss is $15 million, which represents the excess of the book value over the fair value, up to the carrying value.
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snapface is a firm that manufactures polaroid cameras. suppose snapface sells its polaroid cameras to online retailers for $159 each and requires those online retailers to charge at least $179 to shoppers for each polaroid camera. true or false: the only reason for snapface to require retailers to sell polaroid cameras at a certain price is to reduce competition and extend its market power to the retail market. therefore, this practice is always economically inefficient. true false
False. Although requiring retailers to sell Polaroid cameras at a certain price may reduce competition and extend Snapface's market power to the retail market, this practice is not always economically inefficient.
In some cases, the price imposed by Snapface could result in an economically efficient outcome. For example, if Snapface's cost of production is higher than $159 per Polaroid camera, the imposed price of $179 could help Snapface to recover its cost of production and make a profit. Moreover, if the online retailers have market power and are charging higher prices than the competitive level, Snapface's imposed price could reduce market prices and help to reach an economically efficient outcome.
Thus, it is not always the case that Snapface's requirement of a certain price is economically inefficient. In some cases, it could help to reach an economically efficient outcome, while in other cases it could be economically inefficient.
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on september 1, horn co. accepted a 60-day, 5% note in the amount of $3,000 from a customer. on the due date of the note, the customer dishonors the note and fails to pay. the journal entry that horn would make on the due date would include debit to: multiple choice question. cash for $3,150 accounts receivable for $3,025 accounts receivable for $3,000 cash for $3,025 accounts receivable for $3,150 cash for $3,000
The journal entry that Horn Co. would make on the due date of the note would include a debit to Accounts Receivable for $3,150.
This is because Horn Co. accepted a 60-day, 5% note in the amount of $3,000 from a customer, and when the due date of the note comes around and the customer fails to pay, Horn Co. must debit Accounts Receivable for the face value of the note plus the interest of 5%.
The face value of the note is $3,000 and the 5% interest for a 60-day note would be ($3,000 x 5%)/360 x 60 = $25.
Therefore, the total amount debited to Accounts Receivable is $3,000 + $25 = $3,150.
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10. calculating average payables period. heritage, inc., had a cost of goods sold of $68,314. at the end of the year, the accounts payable balance was $15,486. how long on average did it take the company to pay off its suppliers during the year? what might a large value for this ratio imply?
A large value for this ratio might imply that the company is taking longer than usual to pay off its suppliers.
To calculate the average payables period, we need to divide the accounts payable balance by the cost of goods sold and multiply by 365 (the number of days in a year):
Average Payables Period = (Accounts Payable / Cost of Goods Sold) x 365
In this case, the average payables period for Heritage, Inc. is:
Average Payables Period = ($15,486 / $68,314) x 365 = 82.8 days
This means that, on average, it takes Heritage, Inc. 82.8 days to pay its suppliers.
This could be due to financial difficulties or cash flow problems. It could also indicate that the company is taking advantage of its suppliers by delaying payment, which could damage relationships and lead to future supply chain issues. It is important for companies to manage their payables period effectively to maintain good relationships with suppliers and ensure their own financial stability.
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pursuant to a complete liquidation, carrot corporation distributes to its shareholders real estate held as an investment (basis of $997,600, fair market value of $1,296,880). a. determine the gain or loss recognized by carrot on the distribution if no liability is involved. if no liability is involved, carrot has a recognized gain of $fill in the blank 2 299,280 on the distribution. b. determine the gain or loss recognized by carrot on the distribution if the real estate is subject to a liability of $1,097,360. if the real estate is subject to a liability of $1,097,360, carrot has a recognized loss of $fill in the blank 4 798,080 . c. determine the gain or loss recognized by carrot on the distribution if the real estate is subject to a liability of $1,396,640. if the liability were $1,396,640, carrot's recognized loss on the distribution would be $fill in the blank 6 .
If no liability is involved, Carrot Corporation has a recognized gain of $299,280 on the distribution and If the real estate is subject to a liability of $1,097,360, Carrot Corporation has a recognized loss of $798,080.
Liability refers to the legal responsibility for one's actions or omissions that result in harm or damage to another party. In other words, liability is the obligation to pay compensation or make amends for any losses or damages caused by one's actions. Liability can take different forms, such as legal liability, financial liability, product liability and professional liability.
A liability is a company's obligation that results in the company's future loss of economic benefits to other entities or businesses. A liability, like debt, can serve as an alternative to equity as a source of financing for a business. Furthermore, some liabilities, such as accounts payable or income taxes payable, are critical components of daily business operations.
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andre works as a sales representative primarily in the industrial market. he develops long-term relationships with his customers, has a deep knowledge of their business, and helps them find creative solutions to problems. andre's customers consider him to be a trusted advisor. what kind of sales representative is andre?
Andre is a consultative sales representative.
What is Consultative selling?
Consultative selling is an approach in which the salesperson tries to understand a customer's specific business requirements before offering a product or service. By understanding their customers' requirements, they may supply solutions that directly solve their customers' problems.
Consultative sales is a method of selling that involves providing the buyer with tailored solutions to their specific business problems through one-on-one consultations.
In Andre's case, he primarily works in the industrial market and establishes long-term connections with his customers. Also, he understands his customer's business in-depth and assists them in discovering innovative solutions to their problems. Andre's customers consider him a trusted adviser. As a result, Andre is a consultative sales representative.
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why might the dates on your checking account statement (either your online, mobile app activity, or the bank statement your bank mails you) vary from your checkbook register?
The dates on your checking account statement might vary from your checkbook register for several reasons are Processing Time, Posting Order, Electronic Transactions, Check Clearing Time, Bank Holidays and Weekends, and Human Error.
1. Processing Time: Financial institutions often need time to process and clear transactions. As a result, the transaction date on your statement might differ from the date you recorded in your checkbook register.
2. Posting Order: Banks have their own methods of organizing and posting transactions, which might not match the chronological order in your checkbook register. This could lead to a discrepancy in the dates between the two records.
3. Electronic Transactions: Online or mobile app transactions, such as bill payments, may have different processing times compared to paper checks. The date you initiate the transaction might differ from the date it is processed and appears on your statement.
4. Check Clearing Time: When you write a check, the recipient may not deposit it immediately. This delay can cause a discrepancy between the date you wrote the check and the date it appears on your account statement.
5. Bank Holidays and Weekends: Transactions may not be processed on bank holidays or weekends. This could cause a difference in the dates between your checkbook register and your account statement.
6. Human Error: Mistakes can occur while manually recording transactions in your checkbook register, leading to discrepancies in the dates.
To minimize these discrepancies, it's essential to regularly review and reconcile your checking account statement with your checkbook register. This will help you identify any errors, track your spending, and ensure that your account balance is accurate.
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which of the following statements about business ethics is true?group of answer choicesthey are self-formulated values prioritized and adhered to by individuals in business.they measure the extent to which employees care for the needs of the business.they are commonly held principles in the business community for acceptable behavior.
The correct statement about business ethics is that they are commonly held principles in the business community for acceptable behavior.
Business ethics are rules and standards of behavior that guide and govern the actions of members of the business community. They encompass such values as honesty, trust, respect, fairness, and integrity, and are commonly accepted across industries and nations.
Business ethics represent the standards of conduct that individuals, corporations, and organizations should follow in order to behave ethically and responsibly.
They include the principles of corporate social responsibility, which is an organization's commitment to the well-being of its stakeholders, such as customers, employees, shareholders, and the community.
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explain why using net sales to calculate the receivables turnover ratio might not be a good indicator of a company's ability to efficiently manage receivables for a retail company
The records Receivable Turnover ratio is an efficiency ratio and is calculated by dividing "Net Credit Sales " by Average Accounts Receivable. The total sales figure is taken from the Income statement and it consists of both cash sales and credit sales.
At the point when the organization is making an enormous number of money deals, "net deals " won't be a decent proportion of " net credit deals ". Consequently, utilizing net deals ( rather than net credit deals ) to compute the Records Receivable Turnover proportion will exaggerate an organization's capacity to oversee receivables effectively.
The proportion is utilized to quantify how successful an organization is at broadening credits and gathering obligations. For the most part, the higher the records receivable turnover proportion, the more effective your business is at gathering credit from your clients.
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disney bought pixar in 2004 to extend and begin a new partnership in its renewed focus on animation. in the deal, steve jobs, the ceo of pixar at the time, vowed to preserve the independent nature of pixar. since then, the two have put out hits such as the toy story, the incredibles, and nemo franchises. this partnership is an example of a(n):
This partnership is an example of a merger. In the agreement, Steve Jobs, Pixar's CEO at the time, promised to keep the company independent. Since then, the two have released blockbusters such as Wall-E and Up.
Stockholders of acquired firms frequently earn below-average returns as a result of acquisitions, whereas stockholders of acquiring firms frequently earn above-average returns as a result of acquisitions. When a business undergoes restructuring, it makes significant changes to its financial or operational structure, usually while under financial duress. Companies may also restructure in order to prepare for a sale, buyout, merger, shift in overall objectives, or ownership transfer.
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mask corporation generated a net operating loss of $24,000 in 2021 and taxable income of $10,000 in 2022. how much nol can mask use in 2022 to reduce taxable income (assume no carryback is possible)? a.$10,000 b.$24,000 c.$19,200 d.$8,000
Mask Corporation can use a net operating loss of $10,000 in 2022 to reduce taxable income (assuming no carryback is possible).
Explanation:Net operating loss of $24,000 in 2021 and taxable income of $10,000 in 2022 are given. Mask Corporation can carry forward its net operating loss to future years to reduce taxable income.
Net operating losses incurred in taxable years beginning after December 31, 2017, are allowed to be carried forward indefinitely, but no carryback is permitted.
Hence, assuming no carryback is possible, Mask Corporation can use its net operating loss of $24,000 in 2021 to reduce taxable income in 2022.
Therefore, the maximum net operating loss that can be used to reduce taxable income is $10,000.
Therefore, option a is correct.
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assume a purely competitive firm is selling 200 units of output at $3 each. at this output, its total fixed cost is $100 and its total variable cost is $350. this firm:
The total revenue will be $450, total cost will be $250, and the firm's profit will be $200.
This firm is making a profit, as its total revenue of $600 ($3 x 200 units) is greater than its total costs of $450 ($100 in fixed costs plus $350 in variable costs). At this rate, it is earning a profit of $150. This profit is created by charging a higher price for the output than what it is actually costing the firm to produce it, as total revenue is greater than total cost.
The profit-maximizing quantity for a purely competitive firm is where marginal revenue (MR) equals marginal cost (MC). In this case, the marginal revenue would be $3, and the marginal cost would be the variable cost per unit, which is $1.50. To maximize profit, the firm needs to produce 150 units, as this is the quantity where MR = MC.
At this output, total revenue will be $450, total cost will be $250, and the firm's profit will be $200. This profit is higher than when the firm was producing 200 units, showing the importance of knowing the optimal quantity to produce to maximize profits.
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what is the first process involved in project schedule management? select one: a. estimating activity durations b. sequencing activities c. planning schedule management d. defining activities
The first process involved in project schedule management is "defining activities."
The first process involved in project schedule management is "Defining Activities." This process involves identifying the specific activities that need to be performed in order to complete the project, and breaking them down into smaller, more manageable tasks. This is a crucial step in project planning, as it helps to ensure that all necessary activities are identified and accounted for, and that the project team has a clear understanding of the work that needs to be done. Once activities are defined, the other processes of project schedule management, such as sequencing activities and estimating activity durations, can be carried out.
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if nicolai earns an 7 percent after-tax rate of return, $12,500 today would be worth how much to nicolai in five years? use
If Nicolai earns a 7 percent after-tax rate of return, $12,500 today would be worth $17,588.75 to Nicolai in five years.
Step-by-step explanation:
Nicolai's after-tax rate of return is 7%.
The present value of $12,500 is PV = $12,500.
Nicolai wants to know the future value (FV) of $12,500 in five years.
The formula to calculate future value is: FV = PV * (1 + r)n where:
FV = future value
PV = present value
r = rate of return
n = number of years
Using the formula: FV = $12,500 * (1 + 0.07)5
FV = $12,500 * 1.4071
FV = $17,588.75
The future value of $12,500 in five years at a 7% after-tax rate of return is $17,588.75.
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in terms of douglas mcgregor's theory of motivation, how would you best describe shandra's management style? select an option from the choices below and click submit.
McGregor's idea of motivation is referred to as idea X. We can well describe the idea of Shandra's management style through this theory, which explains the method of employees developing their self-interest beyond the limit of their highest level of capability. All business policies clearly define employees' basic responsibilities.
The policies outline each employee's obligation and responsibility to offer valid services in exchange for monetary compensation. Employees, on the other hand, must completely realize their full potential and strive to develop their duty awareness by honing their working skills. Shandra's working style promotes the best idea of utilizing abilities with utmost intelligence by transforming employees' actions from laziness to active operation of work.
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assume you have a bond with a semi-annual interest payment of $, a par value of $, and a current market price of $. what is the current yield of the bond?
To calculate the current yield of a bond, you need to divide the annual interest payment by the current market price of the bond, and then multiply the result by 100 to express the yield as a percentage.
The step by step calculation about how to calculate the current yield value of the bond is given below:
Current Yield = (Annual Interest Payment / Current Market Price) x 100%
Since the bond pays semi-annual interest, we first need to calculate the semi-annual interest payment by dividing the annual interest payment by 2.
So the formula becomes:
Current Yield = ((Annual Interest Payment / 2) / Current Market Price) x 100%
Let's say the semi-annual interest payment is $50, the par value is $1000, and the current market price is $950.
Using the formula above, we get:
Current Yield = (($50 / 2) / $950) x 100%
= ($25 / $950) x 100%
= 2.63%
Therefore, the current yield of the bond is 2.63%.
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veronica co. produces three products: rain, snow and wind. rain requires 80 machine setups, snow requires 60 setups, and wind requires 180 setups. veronica has identified an activity cost pool with allocated overhead of $480,000 for which the cost driver is machine setups. how much overhead is assigned to each product? rain snow wind group of answer choices $160,000 $160,000 $160,000 $100,000 $75,000 $225,000 $120,000 $90,000 $270,000 $90,000 $160,000 $230,000
Veronica Co. produces three products: rain, snow, and wind.
Rain requires 80 machine setups = $160,000Snow requires 60 setups = $120,000Wind requires 180 setups = $200,000Veronica has identified an activity cost pool with an allocated overhead of $480,000 for which the cost driver is machine setups.
Total Overhead Cost is assigned to each product, we need to use the following formula:
Overhead Cost Allocated to Product = (Number of Machine Setups for Product / Total Number of Machine Setups) * Total Overhead Cost.
For Rain: ($80 / (80 + 60 + 180)) * $480,000 = $160,000
For Snow: ($60 / (80 + 60 + 180)) * $480,000 = $120,000
For Wind: ($180 / (80 + 60 + 180)) * $480,000 = $270,000
Veronica Co. produces three products: rain, snow, and wind. Rain requires 80 machine setups, snow requires 60 setups, and wind requires 180 setups.
Veronica has identified an activity cost pool with an allocated overhead of $480,000 for which the cost driver is machine setups. We have to determine how much overhead is assigned to each product.
Therefore, the correct answer is $160,000 for rain, $120,000 for snow, and $200,000 for wind.
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