the beta of a firm is more likely to be high under which two conditions? group of answer choices low cyclical business activity and low operating leverage high cyclical business activity and high operating leverage high cyclical business activity and low operating leverage low cyclical business activity and low financial leverage low financial leverage and low operating leverage

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Answer 1

When answering questions on the Brainly platform, it is important to always be factually accurate, professional, and friendly. Answers should be concise and not provide extraneous amounts of detail.

Typos and irrelevant parts of the question should be ignored. The terms listed in the student question should be used in the answer.The beta of a firm is more likely to be high under high cyclical business activity and high operating leverage conditions. This is because in these conditions, the firm is more sensitive to market fluctuations and changes in demand.High cyclical business activity refers to the state of the economy where there are booms and busts. When the economy is booming, businesses see a higher demand for their products and services. Conversely, when the economy is in a bust, businesses experience lower demand for their products and services. In these conditions, the beta of a firm is likely to be high as the company is more sensitive to changes in the market.High operating leverage refers to the degree of fixed costs in the business. A company with high operating leverage has high fixed costs relative to its variable costs. This means that a small change in sales will have a significant impact on the firm's profitability. When a company has high operating leverage, it is more likely to have a high beta as it is more sensitive to changes in the market.In conclusion, the beta of a firm is more likely to be high under high cyclical business activity and high operating leverage conditions.

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Related Questions

a south american nation has a direct restriction on the amount of vegetables that may be imported into the country. which instrument of trade policy does this reflect?

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A south American country has a clear limit on the variety of vegetables that may be imported. This reflects the use of import quotas as a trade policy tool.

What does the government have against limiting imports into a little nation?

To decrease imports and boost domestic production, nations occasionally impose quotas on particular products.. Quota-implementing government initiatives are frequently referred to as "protectionism policies."

Products that are produced abroad and then imported into another nation are referred to as imports. For instance, from the perspective of the US, chocolate produced by a Belgian company and sold there is an import. Increasing profits is the primary motivation for businesses to import goods.

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how much does an tablet get fix in brooklyn new york?

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The nature and severity of the damage, as well as the repair facility choose, all affect how much it will cost to fix a tablet in Brooklyn, New York. It is preferable to look up nearby repair services and request a price depending on your unique requirements.

How much does a tablet repair cost?

Android tablets, like iPads and other Apple tablets, can have cracked displays, touchscreen problems, bad batteries, and other issues that can be fixed.

What is the price of repairing a cracked tablet screen?

The cost of replacing a tablet's touchscreen can increase by $50 to $75. It is far less expensive to replace the damaged glass with a touchscreen that works. Online providers are typically available for $6 to $20.

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national sanitation foundation is an example of an organization that_____

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The National Sanitation Foundation (NSF) is an example of an organization that sets standards and provides certification for products related to public health and safety, such as food safety, water quality, and consumer products.

Including food safety, water quality, and consumer products, the National Sanitation Foundation (NSF) is a nonprofit organization that establishes standards and grants certification for these items. The company is committed to enhancing human health worldwide by creating and putting into practice methods for the testing and assessment of goods, services, and systems. To guarantee that products meet or exceed defined standards, NSF undertakes thorough testing and review. Its certification processes provide authorities and customers with the reassurance that certified items are high-quality and safe. The NSF is now acknowledged on a global scale as a reliable resource for businesses looking for product certification. Eventually, the NSF's provision of objective, scientifically based standards and certification programs plays a crucial part in ensuring public health and safety.

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union local school district has a bond outstanding with a coupon rate of 2.9 percent paid semiannually and 16 years to maturity. the yield to maturity on this bond is 2.7 percent, and the bond has a par value of $5,000. what is the dollar price of the bond?

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The dollar price of the bond is $3,670.43.

To calculate the dollar price of the bond, we can use the following formula:

Bond price = (C / (1 + r/n)^(n*t)) + (F / (1 + r/n)^(n*t))

Where:

C = Coupon payment

r = Yield to maturity

n = Number of compounding periods per year

t = Number of years to maturity

F = Par value of the bond

In this case, we have:

C = 0.029 x $5,000 / 2 = $72.50 (since the coupon rate is paid semiannually, we divide by 2 to get the semiannual coupon payment)

r = 0.027 (yield to maturity)

n = 2 (since the coupon rate is paid semiannually)

t = 16 (years to maturity)

F = $5,000 (par value of the bond)

Substituting these values into the formula, we get:

Bond price = ($72.50 / (1 + 0.027/2)^(2*16)) + ($5,000 / (1 + 0.027/2)^(2*16))

Bond price = ($72.50 / 1.3821) + ($5,000 / 1.3821)

Bond price = $52.44 + $3,617.99

Bond price = $3,670.43

Therefore, The bond's monetary value is $3,670.43.

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venture capital firms look for two things in making their decisions to invest in a firm: and

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Venture capital firms look for two things in making their decisions to invest in a firm: growth potential and a strong management team.

Venture capital firms are interested in investing in high-growth startups that have the potential to become large, successful businesses. These firms want to put their money into companies that are poised to disrupt their industries and grow quickly.

Venture capital firms invest in businesses at various stages of development, from early-stage startups to more mature companies. However, all of the firms they invest in have one thing in common: they have the potential for rapid growth.

Growth potential is just one of the factors that venture capital firms consider when deciding which companies to invest in. They also look for companies with a strong management team.

This is because startups are often very risky investments, and a strong management team can help to mitigate that risk. Venture capitalists look for entrepreneurs who are knowledgeable about their industries and passionate about their businesses. They want to see that the entrepreneurs they invest in have the drive and the expertise to take their businesses to the next level.

Venture capital firms may also look for startups that have developed innovative products or services, as these are often the businesses that have the most growth potential. In general, venture capitalists look for businesses that have the potential to generate high returns on investment in a relatively short period of time.

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which of the following is a false statement about assigning work based on comparative advantage? group of answer choices assign the person who is fastest or best at a task to do that task. the person who has absolute advantage in the task will sometimes be assigned to do it. workers will be specialists and not generalists. the person with the lowest opportunity cost at a task should perform it.

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Answer:

The false statement about assigning work based on comparative advantage is "assign the person who is fastest or best at a task to do that task."

Comparative advantage is the ability of an individual or group to carry out an economic activity at a lower opportunity cost than another individual or group. It is based on relative efficiency, not absolute efficiency. Therefore, even if one person can produce all goods and services more efficiently than another person, there is still a benefit to specialization and trade based on comparative advantage.

The principle of comparative advantage suggests that workers should specialize in the tasks for which they have a lower opportunity cost, and trade with others who have a higher opportunity cost for those tasks. In this way, everyone can benefit from the gains in productivity and efficiency that come from specialization and trade.

Therefore, the statement "the person who has absolute advantage in the task will sometimes be assigned to do it" is also true, but it is not the only factor to consider when assigning work based on comparative advantage. The key is to assign tasks based on the relative opportunity costs of the workers involved, not just their absolute abilities.

at least one general partner and at least one limited partner may have an agreement to form a business called a(n) ,

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A Limited Liability Partnership (LLP) is a type of business structure in which there are at least one general partner and one limited partner.

The general partner is responsible for the day-to-day operations of the business and typically carries out all the managerial tasks. The limited partner, on the other hand, is usually more of a passive investor and only has limited liability, meaning their personal assets are not at risk if the business fails. LLPs are a popular business structure because they provide legal protection for all partners while also allowing them to operate as their own entity and limit their own liability. The limited partner's liability is limited to the amount of their investment, whereas the general partner is still personally liable for the business's obligations and debts. This allows each partner to share the responsibilities and rewards of the business, while also limiting their personal financial risk.

In addition to the legal protections that an LLP provides, it also provides a more formal agreement between the partners. This agreement defines the roles and responsibilities of the partners, their capital contributions, and how profits and losses are to be shared. It also sets out what will happen if a partner leaves or the business is dissolved.

Overall, an LLP is a great business structure for individuals and organizations looking to share responsibilities and liabilities while also having a formal agreement between partners. It allows them to operate as a single entity while still limiting their personal financial risk.

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Below are several scenarios related to control activities of a company. Required: For each scenario, determine which control activity is violated. Control activities include separation of duties, physical controls, proper authorization, employee management, reconciliations, and performance reviews. If no control activity is violated, select "none." Scenarios Control Activities 1. A manufacturing company compares total sales in the current year to those in the previous year but does not compare the cost of production. 2. So that employees can have easy access to office supplies, a company keeps supplies in unlocked cabinets in multiple locations. 3. At the end of each day, a single employee collects all cash received from customers, records the total, and makes the deposit at the bank. 4. At the end of the year only, the company compares its cash records to the bank's records of cash deposited and withdrawn during the year. 5. A company encourages employees to call an anonymous hotline if they believe other employees are circumventing internal control features. 6. All employees have the authority to refund a customer's money.

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1. None             2. Physical controls          3. Separation of duties

4. Reconciliations  5. Employee management   6. Proper authorization

In scenario 1, the manufacturing company violates the reconciliation control activity by not comparing the cost of production with total sales, which could result in financial discrepancies going unnoticed. Scenario 2 violates the physical controls control activity by keeping office supplies in unlocked cabinets, which could lead to theft or misuse. Scenario 1 violates the separation of duties control activity by having a single employee handle cash collection, recording, and deposit, which could facilitate embezzlement. Scenario 4 violates the reconciliations control activity by only comparing cash records to bank records at the end of the year, which could result in undetected discrepancies. Scenario 5 exemplifies employee management control activity by promoting a culture of compliance and encouraging employees to report control violations. Lastly, scenario 3 violates the proper authorization control activity by allowing all employees to refund customer money, potentially resulting in unauthorized refunds and revenue loss.

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in the broadest application of the unitary theory, the u.s. unitary business files a combined tax return using factors and income amounts for all affiliates: group of answer choices organized in the u.s. organized in nafta countries. as dictated by the tax treaties between the u.s. and the other countries. organized anywhere in the world.

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The U.S. Unitary Business files a combined tax return using factors and income amounts for all affiliates organized in the U.S., as dictated by the tax treaties between the U.S. and the other countries.

This is the broadest application of the Unitary Theory, meaning all affiliates must be included, regardless of location.

This ensures that each affiliate pays the appropriate taxes based on their income and any existing treaties. The combined tax return also ensures that the correct amounts of taxes are paid, while adhering to any applicable tax treaties.

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Which of the following influence medium-run exchange rates? Check all that apply Transfers of assets that respond to Inflation rates and investment profitability Fluctuations in economic activity Flows of goods, services, and investment capital

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Medium-run exchange rates can be influenced by several factors. The factors mentioned in your question that influence medium-run exchange rates include:

1. Transfers of assets that respond to inflation rates and investment profitability: Inflation rates and investment profitability can affect the demand for a currency, as investors seek higher returns and hedge against inflation, which in turn can influence the exchange rate.

2. Fluctuations in economic activity: Economic activity, such as GDP growth and employment rates, can impact a country's currency value and therefore influence the exchange rate.

3. Flows of goods, services, and investment capital: The flow of goods, services, and investment capital between countries can affect the demand and supply of currencies, leading to changes in exchange rates.

In summary, all three factors mentioned – transfers of assets responding to inflation rates and investment profitability, fluctuations in economic activity, and flows of goods, services, and investment capital – can influence medium-run exchange rates.

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how significant is the inflation premium on the shape of the term structure of interest rates? (select all that apply.)

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The significance of the inflation premium on the shape of the term structure of interest rates can be described as follows:

It affects the slope of the yield curve: The inflation premium is one of the factors that affect the slope of the yield curve, which is the relationship between the yield and maturity of bonds. When inflation expectations are high, the inflation premium tends to increase, which can lead to a steeper yield curve.

It reflects the market's expectation of future inflation: The inflation premium represents the market's expectation of future inflation. It is the compensation that investors demand to protect themselves against the erosion of the purchasing power of their investment due to inflation. Therefore, changes in the inflation premium reflect changes in the market's expectation of future inflation.

It can affect investment decisions: The inflation premium can affect investment decisions, especially for fixed-income securities. Investors may demand a higher return for longer-term bonds to compensate for the potential loss of purchasing power due to inflation. Therefore, changes in the inflation premium can affect the relative attractiveness of different investment options.

It is influenced by macroeconomic factors: The inflation premium is influenced by macroeconomic factors such as the inflation rate, economic growth, and monetary policy. Therefore, changes in these factors can affect the inflation premium and, in turn, the shape of the term structure of interest rates.

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Complete Question

how significant is the inflation premium on the shape of the term structure of interest rates? (select all that apply.)

- insignificant

-very significant

-More significant than the real rate of return

you expect to receive a payout from a trust fund in 2 years. the payout will be for $11,600. you plan to invest the money at an annual rate of 6.7 percent until the account is worth $19,900. how many years do you have to wait from today?

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You will need to wait approximately 8 years from today to reach a value of $19,900 by investing the $11,600 payout at an annual rate of 6.7%.

To calculate the number of years required to reach a value of $19,900, we can use the formula for compound interest:

FV = PV x (1 + r)^n

Where FV is the future value, PV is the present value, r is the annual interest rate, and n is the number of years.

We know that PV = $11,600, r = 6.7%, and FV = $19,900. We can solve for n by rearranging the formula:

n = log(FV/PV) / log(1 + r)

Plugging in the values, we get:

n = log(19,900/11,600) / log(1 + 0.067)

n = 7.95

Therefore, you will need to wait approximately 8 years from today to reach a value of $19,900 by investing the $11,600 payout at an annual rate of 6.7%.

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explain whether each of the following events increases, decreases, or has no effect on the unemployment rate and the labor-force participation rate

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The unemployment rate and labor-force participation rate can be affected by different events like An increase in the minimum wage,an increase in college tuition,an increase in automation.

1. An increase in the minimum wage: This could increase the unemployment rate as some employers may not be able to pay their employees and may have to lay off some workers, while the labor-force participation rate may increase due to workers searching for higher paying jobs.

2. An increase in college tuition: This could decrease the unemployment rate as more college students choose to stay in the workforce and not pursue higher education, while the labor-force participation rate could remain unaffected.

3. An increase in automation: This could increase the unemployment rate as employers may replace human workers with automated machines, while the labor-force participation rate could decrease as people may be discouraged from joining the labor force.

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g the role of is to determine decision makers' information needs, acquire the needed information, and distribute that infrmation. a. internal reporting systems b. marketing information systems c. market research systems d. market intelligence system

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The role of Market Intelligence System is to determine decision makers' information needs, acquire the needed information, and distribute that information. Option(D)

Market Intelligence System (MIS) is a structured process that provides a framework for developing, analyzing, and interpreting information that will be used by decision-makers in the organization. The purpose of MIS is to collect, organize, and analyze information from both external and internal sources to aid in decision-making.

The MIS also includes procedures and techniques for acquiring and analyzing data, identifying trends and patterns, and disseminating information to those who need it. Market Intelligence System (MIS) is an essential tool for companies looking to improve their market research and analysis efforts.

It helps companies to identify market trends and customer needs, develop new products and services, and create effective marketing strategies. Market Intelligence System (MIS) works by collecting data from various sources, such as customer surveys, sales data, industry reports, and competitor analysis.

This data is then analyzed and interpreted to identify trends and patterns in the market. This information is then used to inform decision-making processes and develop effective marketing strategies. In conclusion, the role of Market Intelligence System (MIS) is to determine decision-makers' information needs, acquire the needed information, and distribute that information.

The MIS helps organizations to identify market trends and customer needs, develop new products and services, and create effective marketing strategies. The MIS also includes procedures and techniques for acquiring and analyzing data, identifying trends and patterns, and disseminating information to those who need it.

Therefore,option (D) is the correct option

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according to the classical view, if consumer demand slowed down:

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According to the classical view, if consumer demand slowed down, it would lead to a decrease in production and employment.

In other words, a decrease in consumer demand would lead to a decrease in aggregate demand (AD) and a decrease in gross domestic product (GDP). According to Say's Law, production creates income, and income creates demand. Therefore, an increase in production will lead to an increase in income, which, in turn, will lead to an increase in demand.

Conversely, a decrease in production will lead to a decrease in income, which will, in turn, lead to a decrease in demand.In conclusion, according to the classical view, if consumer demand slowed down, it would lead to a decrease in production and employment. This is because, according to Say's Law, production creates its own demand, and a decrease in demand would lead to a decrease in production.

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you have a used car spotted at the local car dealer and look to spend between $7,500 and $10,000 for the car. the sales manager believes that she can sell the same used car for somewhere between $9,000 and $11,000. based on these facts. there is when it comes to the sale/purchase of this used car. negative bargaining zone neutral bargaining zone positive bargaining zone

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Based on the given scenario, the bargaining zone when it comes to the sale/purchase of this used car is positive bargaining zone.

Bargaining zone is the range or difference between the buyer's maximum willingness to pay and the seller's minimum willingness to accept. This range is where negotiation takes place between the buyer and the seller to arrive at a mutually beneficial agreement.

Here, the student is looking to spend between $7,500 and $10,000 for the car whereas the sales manager believes that she can sell the same used car for somewhere between $9,000 and $11,000.

So, the bargaining zone can be calculated as: Buyer's maximum willingness to pay = $10,000. Seller's minimum willingness to accept = $9,000. Bargaining zone = $10,000 - $9,000 = $1,000. Since the bargaining zone is greater than zero, it is considered as positive bargaining zone. Hence, the correct option is positive bargaining zone.

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donau company sells a video streaming devices for $100. a one-year subscription for unlimited video streaming costs $120. alternatively, customers can rent videos on demand or subscribe to a competing service. on february 1, robert purchases both the steaming device and signs-up for one year of service. how much revenue should donau recognize for the month of february?

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In the month of February, the Donau company shall recognize a revenue of $110 for selling and renting video streaming devices.

The revenue for the month of February will be computed on the basis of the average of the cost of the video streaming device and the subscription. The calculation is shown hereunder for the same,

Revenue = Video Streaming Device + Subscription Cost / 2

Revenue = 100+120 / 2

Revenue = 220 / 2

Revenue = 110

Therefore, the revenue for the month of February for the Donau Company will be $110.

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Which describes a way in which consumers most likely benefit from producers' absolute advantage?
Prices decrease as a result of increased production eficiencias.

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Consumers' opportunity costs decrease a way in which consumers most likely benefit from producers' absolute advantage.

According to the law of diminishing opportunity cost, a company's opportunity cost decreases as production falls. Making the following item is less expensive when the cost of making the first product is lower. Customers forfeit the ability to purchase another good or service when they buy one.

Their opportunity cost is the best option that was not selected. Every consumer decision has an opportunity cost because there are always alternatives available. When one good has a comparative advantage, another must have a comparative disadvantage. A comparative disadvantage cannot exist in every good. Possessing the capacity to produce more of every good is an undeniable advantage.

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which of the following statements about the standard memorized sales presentation is false? it is very effective in telemarketing. it is based on a detailed analysis of an individual customer's situation and needs. it ensures that the salesperson will provide complete and accurate information about the company's products and policies. a salesperson who is a beginner can quickly gain confidence during such a presentation. it combines the best elements of the presentations used by a firm's best salespeople.

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The false statement about the standard memorized sales presentation is that it is based on a detailed analysis of an individual customer situation and needs.

A standard memorized sales presentation is a carefully planned speech or delivery of the selling message that can be given in the same way to all potential customers. In a standardized format, memorized sales presentation outlines the essential steps of the sales call in the best possible order. It usually includes a carefully constructed introduction, a statement of the product's main selling points, answers to common objections, and a strong closing.The statement "it is based on a detailed analysis of an individual customer situation and needs" is false. Standard memorized sales presentations are, in fact, usually based on common assumptions about a group of customers rather than individual customers.

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the government estimates that the multiplier is 2.0. in this case an increase in government expenditure of $500 billion increases real gdp by and results in an increase in induced expenditure of .

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If the government estimates that the multiplier is 2.0, an increase in government expenditure of $500 billion will result in an increase in real GDP by $1 trillion.

This is because the multiplier effect refers to the additional increase in output that results from an initial increase in spending.

The formula for the multiplier effect is:

Multiplier = 1 / (1 - MPC)

where MPC is the marginal propensity to consume, or the fraction of each additional dollar of income that is spent on consumption.

Assuming a multiplier of 2.0, we can solve for MPC as follows:

2.0 = 1 / (1 - MPC)

2.0(1 - MPC) = 1

2 - 2MPC = 1

2MPC = 1

MPC = 0.5

This means that for every additional dollar of income, people will spend 50 cents and save 50 cents. Therefore, an increase in government expenditure of $500 billion will result in an increase in induced expenditure of $500 billion (the MPC of 0.5 multiplied by the initial increase in government expenditure).

Adding the induced expenditure of $500 billion to the initial increase in government expenditure of $500 billion, we get a total increase in real GDP of $1 trillion.

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tawney company is considering investing in a new piece of equipment that costs $700,000. the new equipment should provide a cost savings of $250,000 per year over its five-year life. what is the payback for the new equipment?

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The payback for the new equipment is 2.8 years.

The term "payback period" refers to the number of years needed to recoup the initial cash outlay. It is, in other words, the length of time that a machine, facility, or other investment has generated enough net income to cover its investment costs.

As per given information,

cost of new equipment is  $700,000.

the new equipment should provide a cost savings of $250,000 per year over its five-year life.

Therefore, payback over its life of 5 years= $700,000/$250,000

                                                   = 2.8 years.

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if nominal gdp is $175,000 and the gdp deflator is 143, what is real gdp? round your answer to the nearest hundredth.

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the real GDP is approximately $122,377.62. To calculate the real GDP, we need to divide the nominal GDP by the GDP deflator and then multiply by 100:

Real GDP = Nominal GDP / GDP deflator x 100

Real GDP = $175,000 / 143 x 100

Real GDP = $122,377.62 (rounded to the nearest hundredth)

Therefore, the real GDP is approximately $122,377.62.

Real GDP (Gross Domestic Product) is a measure of the total value of goods and services produced by an economy, adjusted for inflation. Nominal GDP, on the other hand, is the total value of goods and services produced by an economy without adjusting for inflation. The GDP deflator is an index that measures the level of prices of all the goods and services included in GDP relative to the level of prices in a base year.

In order to calculate the real GDP, we need to adjust the nominal GDP for changes in the price level, which is done by dividing the nominal GDP by the GDP deflator. The result of this calculation gives us the real GDP, which is an inflation-adjusted measure of the total value of goods and services produced by an economy.

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g the following information is available from the current period financial statements: net income$118,546 depreciation expense22,853 increase in accounts receivable16,019 decrease in accounts payable(17,089) the net cash flows from operating activities using the indirect method is a.$118,546 b.$174,507 c.$108,291 d.$62,585

Answers

The net cash flows from operating activities using the indirect method is $108,291. The formula for calculating net cash flows from operating activities using the indirect method is as follows:

Net Income + Depreciation - Increase in Accounts Receivable - Decrease in Accounts Payable= Net Cash Flows from Operating Activities

Using the given information, we can calculate the net cash flows from operating activities:

Net Cash Flows from Operating Activities = $118,546 + $22,853 - $16,019 - (-$17,089)Net Cash Flows from Operating Activities = $118,546 + $22,853 - $16,019 + $17,089Net Cash Flows from Operating Activities = $108,291

Therefore, the net cash flows from operating activities using the indirect method is (Option C) $108,291.  is the correct answer.

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if you sell shares of a stock 7 months after buying it and make a $900 profit, how will this $900 be taxed?

Answers

Answer:

Its called a short term gain and it will be taxed as your regular income.

Explanation:

The taxation of stock sales depends on various factors, including the holding period and the investor's tax bracket. In the United States, the holding period determines whether a gain or loss is classified as short-term or long-term. Short-term gains are taxed as ordinary income, while long-term gains are taxed at a lower capital gains tax rate.

Assuming the stock was held for less than a year (i.e., 7 months), any profit made from the sale would be considered a short-term capital gain. The exact tax rate for short-term capital gains depends on the investor's tax bracket. For example, if the investor's tax bracket is 22%, the $900 profit would be subject to a tax of $198 (22% of $900).

It's worth noting that taxes on stock sales can be complex, and other factors, such as the cost basis and any losses carried over from previous years, can also affect the tax calculation. It's always a good idea to consult with a qualified tax professional for specific tax advice.

Also I'm just a child answering the question if a man can do it then i can do it lol.

When selling shares of a stock, the profit or loss from the sale is considered a capital gain or loss and subject to capital gains taxes.

What is Capital gain ?

The length of time the shares were held before being sold, also known as the holding period, determines whether the capital gains tax rate is short-term or long-term.

In this scenario, since the shares were held for 7 months, the gain would be considered a short-term capital gain and taxed at the ordinary income tax rate. The amount of tax owed on the gain depends on the taxpayer's income and tax bracket.

It is worth noting that the tax code's rules on capital gains taxes can be complex, and it is advisable to consult a tax professional for specific guidance. Additionally, different types of accounts, such as a 401(k) or an IRA, may have different tax implications when selling shares.

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if the cost of gasoline increases sharply and continues to rise, how does this development affect the demand curve for cars?

Answers

The demand curve for cars will decrease as the cost of gasoline increases sharply and continues to rise. This is because gasoline is a complementary product to cars.

What is the relationship between the cost of gasoline and the demand curve for cars? The demand curve for cars will decrease as the cost of gasoline increases sharply and continues to rise. This is because gasoline is a complementary product to cars. The price of gasoline is directly related to the demand for cars; when the price of gasoline increases, the demand for cars decreases. This is because as the price of gasoline increases, people tend to avoid purchasing cars and instead opt for more fuel-efficient vehicles, which reduces the demand for cars. This is because the cost of owning a car will be higher due to the increase in fuel costs.

In addition, the demand for cars will also decrease because the price of gasoline is directly related to the cost of driving. As the price of gasoline increases, people will drive less, which means there will be less demand for cars. As a result, the demand curve for cars will shift to the left, indicating a decrease in the quantity demanded.

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A scholarship intended to increase diversity on
college campuses is called a(n) –
A. athletic scholarship
B. underrepresented student scholarship
C. creative scholarship
D. academic scholarship

ITS B

Answers

A scholarship for underrepresented students that aims to increase diversity .Option B is correct .

What is the Scholarship for Underrepresented Students?

Based on the criteria listed below, historically underrepresented freshmen may receive scholarships worth up to $3,500. The recipients must be pursuing a degree and have a minimum of a 3.0 grade point average in high school, a minimum of 20 on the composite ACT, a minimum of 1020 on the SAT (total score on SAT taken after March 1, 2018), or a minimum of 950 on the SAT (combined critical reading and math score on SAT taken before March 1, 2018).

Some possible criteria are: Residency in Ohio and elsewhere; Ohio County where you live; where the high school was attended; need for money or economic background; activities outside of school; first-generation college enrollment; a demonstration of leadership skill; creativity; involvement in the community; and students who have a track record of overcoming obstacles.

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Answer:

b

Explanation:

under which basis of accounting is it appropriate to recognize revenues during the period in which they are both measurable and available for spending?

Answers

Under modified accrual basis of accounting is it appropriate to recognize revenues during the period in which they are both measurable and available for spending.

The revenue recognition principle stipulates that revenue must be recognized when cash is received under the cash basis of accounting. According to the revenue recognition principle of the accrual method of accounting, revenue should be recorded in the period in which it was earned, not received.

Modified Accrual Accounting: This method of transaction recording incorporates elements of both the cash and accrual basis. The events are categorized into short-duration events and long-duration events based on the term, and a cash or accrual basis is used in accordance. This system has been created by GASB.

When they become available and are quantifiable, revenues are recognized. If they can finance expenses for at least the next 60 days that meet the matching principle requirements and are reasonably measurable, they are regarded as being available.

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business intelligence is best defined as the use of information systems to​ __________.

Answers

Business intelligence is best defined as the use of information systems to provide historical, current, and predictive views of business operations, most often using data that has been accumulated into a data warehouse or a data mart.

Business intelligence (BI) is a technology-driven process for collecting, integrating, analyzing, and presenting business information. BI supports business decision-making by supplying historical, current, and predictive views of business operations. Information systems are used in business intelligence to provide these views. It is a broad field that encompasses data mining, process analysis, performance benchmarking, and descriptive analytics.

The primary goal of business intelligence is to allow for the better understanding of a company's data. This enables business leaders to make more informed decisions, leading to improved performance and increased profits. It has been adopted by a wide range of industries, including finance, healthcare, retail, and manufacturing. Business intelligence can be divided into four categories, each with its own set of tools and applications.

Descriptive analytics: Uses data aggregation and data mining to provide insight into past performance. Predictive analytics: Uses statistical models and forecasting techniques to provide insight into future performance. Prescriptive analytics: Combines both descriptive and predictive analytics to provide recommendations on how to improve future performance. Diagnostic analytics: Examines data to understand the cause of past events.

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the privacy of customer information section of the common carrier regulation states that any proprietary information shall be used explicitly for providing services, and not for any purposes.a. billingb. troubleshootingc. customer serviced. marketing

Answers

The privacy of customer information section of the common carrier regulation states that any proprietary information shall be used explicitly for providing services, and not for any marketing purposes. Option d) is the correct answer.

Proprietary information refers to any information related to the customers of the company, including their personal information, service history, usage information, and other confidential information. The common carrier regulation is a set of regulations and guidelines that apply to all common carriers, including telephone and internet service providers. The purpose of these regulations is to protect the rights of consumers and ensure fair and equal treatment for all customers.

Common carriers are required to comply with strict rules when it comes to collecting and using customer information. They are required to keep this information confidential and use it only for specific purposes, such as billing, troubleshooting, and customer service. Common carriers are not allowed to use customer information for marketing purposes without the express consent of the customer. They are also not allowed to sell or share customer information with third parties without the customer's consent.

Common carriers are subject to penalties if they violate these regulations. These penalties can include fines, loss of license, or other legal action. It is important for common carriers to understand and comply with these regulations to ensure the protection of their customers' privacy and maintain their trust.

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if you owed a $40,000 bill to be paid at the end of 7 years. what amount should your creditor accept in payment immediately if he/she could earn 12% on their money?

Answers

Your creditor should accept a payment of $18,528.82 immediately to settle the $40,000 bill to be paid in 7 years if they could earn 12% on their money.

To calculate the present value of the $40,000 bill to be paid in 7 years, we can use the present value formula:

PV = FV / [tex](1+r)^{n}[/tex]

where PV will be the present value, FV will be the future value, r is the interest rate, and n will be the number of periods.

In this case, FV is $40,000, r is 12%, and n is 7 years.

PV = $40,000 / (1 + 0.12)⁷

PV = $40,000 / 2.1589

PV = $18,528.82

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