xyz corp. just paid an annual dividend of $3 per share on its common stock. this dividend is expected to grow at a 10% annual rate for two years, after which it is expected to grow at a 6% annual rate forever. if the required return is 10%, what value would you place on this stock?

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Answer 1

The value which would be placed on this stock would be $34.83.

XYZ Corp. is a company that just paid an annual dividend of $3 per share on its common stock. An annual dividend is the amount of money that an organization pays out to its shareholders at the end of the fiscal year based on its earnings.

Steps for calculating the value of a stock that pays a dividend:

Dividend at the end of the first year = D1 = D0 (1 + g) = $3 x (1 + 0.10) = $3.30

Dividend at the end of the second year = D2 = D1 (1 + g) = $3.30 x (1 + 0.10) = $3.63

Dividend after the second year is expected to grow at a rate of 6%.

So, dividend after the second year and forever = D2 (1 + g2) / (k - g2) = $3.63 (1 + 0.06) / (0.10 - 0.06) = $3.63 x 1.06 / 0.04 = $96.76

Present value of expected dividends at the end of the second year = Present Value (PV) of D2 = $3.63 / (1 + 0.10) ^ 2 = $2.95

PV of the infinite stream of dividends = PV of D2 x (1 + g2) / (k - g2) = $2.95 x (1 + 0.06) / (0.10 - 0.06) = $100.07

Value of stock = PV of D1 + PV of D2 + PV of the infinite stream of dividends = $3.30 / (1 + 0.10) + $2.95 / (1 + 0.10) ^ 2 + $100.07 = $34.83

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Related Questions

true or false: in terms of the parameters, the null hypothesis that a 1% increase in candidate a's expenditures is offset by a 1% increase in candidate b's expenditures is:

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The null hypothesis that a 1% increase in candidate A's expenditures is offset by a 1% increase in candidate B's expenditures is [tex]H_{0} : \beta _{1} = -\beta _{2}[/tex].

Meaning that the coefficients of the two variables are equal in magnitude but opposite in sign.

This null hypothesis essentially posits that the effect of campaign spending on the outcome of an election is symmetric between two candidates. Specifically, it assumes that if one candidate increases their spending by a certain percentage, then the opposing candidate can nullify that effect by also increasing their spending by the same percentage.

The equation β1 = -β2 implies that the impact of campaign spending on the election result is a zero-sum game, where any gain by one candidate is exactly offset by a loss for the other.

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many financial institutions rely heavily on debt to fund their operations, and they are interconnected by virtue of financing each other's debt positions. therefore, if one institution cannot pay its debts, it may create cash flow problems for several other institutions. the risk created by this situation is known as a. lending risk. b. repayment risk c. interest rate risk. d. systemic risk.

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The answer are if one institution cannot pay its debts, it may create cash flow problems for several other institutions, and this is known as systemic risk.

Systemic risk is the risk created by the situation of several financial institutions relying heavily on debt to finance their operations, and they are interconnected by virtue of financing each other's debt positions. Therefore, if one institution cannot pay its debts, it may create cash flow problems for several other institutions.

What is systemic risk?

Systemic risk is defined as the risk of failure of the whole system or market rather than a single entity or component in the financial system. In other words, it refers to the likelihood that an event or situation that affects one or a few financial institutions will have negative ripple effects across the financial system or economy as a whole.

When financial institutions rely heavily on debt to fund their operations, the risk of default or failure increases, and they become interconnected by virtue of financing each other's debt positions.

Therefore, if one institution cannot pay its debts, it may create cash flow problems for several other institutions, and this is known as systemic risk. Hence, the answer is d. systemic risk.

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combining productive resources of land, labor, and capital in ways to produce new goods and services, refers to what?

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Combining productive resources of land, labor, and capital in ways to produce new goods and services refers to "entrepreneurship".

A combination of productive resources such as land, labor, and capital in different ways to produce new products and services refers to "entrepreneurship". Entrepreneurship is the process of introducing a new product or service, a new process or an entirely new business organization.

Entrepreneurship is defined as the process of introducing a new product or service, a new process or an entirely new business organization.

Entrepreneurship is based on the combination of productive resources such as labor, land, and capital in various ways to create new products and services.

This combination of resources is used to produce a new product or service that was not previously available on the market. The entrepreneur, in this case, is the individual or group that manages the venture and bears the risks associated with it.

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Combining productive resources of land, labor, and capital in ways to produce new goods and services is known as production.

Production is the process of creating new goods and services that can be used for consumption or trade.

The three main factors of production are land, labor, and capital. Land includes the natural resources needed to create new products. Labor is the work provided by humans or animals in the production process. Capital is the money or equipment used to facilitate the production process.

Producers combine these factors of production in different ways to produce new goods and services. For example, a farmer might use land to produce corn, labor to tend to the crop, and capital in the form of farming equipment. These resources are combined in a way that produces a good or service that can be used for consumption or trade.

By combining these factors of production in different ways, producers can create new products and services for consumers and markets.

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for a monopolist, the marginal revenue curve has twice the slope of the demand curve. this implies multiple choice question. marginal revenue is unrelated to price. marginal revenue is less than price. marginal revenue equals price. marginal revenue is greater than price.

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The given statement for a monopolist is that the marginal revenue curve has twice the slope of the demand curve. This implies that the marginal revenue is less than the price.

Hence, the correct option is "marginal revenue is less than price."Explanation:Monopoly refers to a market situation where there is a single seller or a producer selling the product without any close substitutes. It enjoys complete control over the supply of goods and services to the customers in the market. The demand curve of the monopoly is downward sloping, whereas the marginal revenue curve is also downward sloping, but its slope is twice the slope of the demand curve.

Marginal revenue refers to the additional revenue earned by a firm by selling one more unit of output. In the case of the monopoly, the marginal revenue is less than the price of the product. This is because the monopolist has to reduce the price to sell more products in the market.

The monopolist cannot increase the price because there are no close substitutes for the product in the market.In conclusion, the given statement implies that the marginal revenue is less than the price for a monopolist.

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6) bart's moving company bonds have a 11% coupon rate. interest is paid semiannually. the bonds have a par value of $1,000 and will mature 8 years from now. compute the value of bart's moving company bonds if investors' required rate of return is 9.5%.

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The semiannual coupon payment (C) = (5.5/100) x 1,000 = $55Periods (t) = 8 years x 2 = 16Semiannual discount rate = 4.75%Present value of the bond,PV = (C/r) x (1 - 1/(1 + r)t) + M/(1 + r)t= ($55/0.0475) x (1 - 1/(1 + 0.0475)16) + $1,000/(1 + 0.0475)16= $1,097.42 (approx)Hence, the value of Bart's Moving Company bonds is $1,097.42.

The value of Bart's Moving Company bonds with a 11% coupon rate, semiannual payments, and a par value of $1,000 is calculated as follows:
Step 1: Calculate the present value of the bond’s coupon payments, using the formula: Coupon payments = 11% x Par Value x 0.5 = 11% x $1,000 x 0.5 = $55Calculate the present value of the bond’s principal payments, using the formula: Present Value of Principal Payments = Par Value / (1 + Investors' Required Rate of Return)Number of Periods = $1,000 / (1 + 9.5%)8 = $694.86 Calculate the present value of the bond, using the formula:

Present Value of Bond = Present Value of Coupon Payments + Present Value of Principal Payments = $55 + $694.86 = $749.86


Therefore, the value of Bart's Moving Company bonds with a 11% coupon rate, semiannual payments, a par value of $1,000, and an investors' required rate of return of 9.5% is $749.86.
bart's moving company bonds have a 11% coupon rate. interest is paid semiannually. the bonds have a par value of $1,000 and will mature 8 years from now. compute the value of bart's moving company bonds if investors' required rate of return is 9.5%

.Formula for calculation:PV = (C/r) x (1 - 1/(1 + r)t) + M/(1 + r)tWhere, PV is the present value of the bondC is the periodic coupon payment (semiannual)M is the par value of the bondt is the total number of periods (semiannual)The given data:Par Value of the bond (M) = $1,000Coupon rate (r) = 11% or 0.11 (annual), 5.5% or 0.055 (semi-annual)Time to maturity (t) = 8 years or 16 semiannual periodsRequired rate of return (r) = 9.5% or 0.095 (annual), 4.75% or 0.0475 (semi-annual)

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jeremy chase needs to pay off some of his debts over the next few months. which item on his balance sheet would help him decide what amounts are due within one year?

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Jeremy Chase needs to look at his current liabilities section of the balance sheet to determine what amounts are due within one year. Current liabilities include debts such as loans, credit cards, lines of credit, and accounts payable that need to be paid off in the near future.


Jeremy Chase needs to pay off some of his debts over the next few months. The item on his balance sheet that would help him decide what amounts are due within one year is the current liabilities.

What are Current Liabilities?

Current liabilities are financial obligations that need to be paid off within one year or less. These are payments that businesses have to make as part of their day-to-day operations.

Current liabilities include:

Accounts payableBills payableShort-term loansInterest payableWages payableCurrent maturities of long-term debtSales tax payableIncome tax payable

What is a Balance Sheet?

A balance sheet is a financial statement that summarizes a company's financial situation. A balance sheet outlines the company's assets, liabilities, and equity at a specific time.

The balance sheet equation is Assets = Liabilities + Equity. The assets section lists everything the company owns, the liabilities section lists everything the company owes, and the equity section lists the company's shareholders' equity.

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Design a flowchart application that accepts 10 numbers as user input and displays them in descending order. Note: •There is no sorting in this exercise, just input and output of the array • You are allowed a single input statement

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To design a flowchart application that accepts 10 numbers as user input and displays them in descending order without sorting, follow these steps:

1. Start the flowchart.
2. Create an array with a size of 10.
3. Display a message to the user, instructing them to enter 10 numbers separated by spaces.


4. Use a single input statement to accept the user input and store it as a string.
5. Split the input string by spaces to get an array of strings.
6. Convert each element of the string array to an integer and store it in the integer array.


7. Display the elements of the integer array in descending order.
8. End the flowchart.

The flowchart will not include any sorting algorithms, as the question specified just input and output of the array.

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per the fraud examiners manual, when conducting an interview of a friendly or neutral witness, the interviewers demeanor should be:

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The Fraud Examiners Manual recommends that when interviewing a friendly or neutral witness, the interviewer should maintain a professional demeanor.

They should be courteous, non-accusatory, and explain the purpose of the interview. It is important to remain positive and attentive throughout the interview, and avoid being overly confrontational or hostile.

The interviewer should take an active role in the conversation by asking open-ended questions and allowing the witness to answer them fully. They should not lead the conversation or ask leading questions that may provide clues or direct the answers. They should provide a safe environment by not interrupting the witness and by taking breaks if the witness needs one.

The interviewer should also ensure that the witness is comfortable, for example by providing refreshments. During the interview, the interviewer should take notes and provide clarifying questions where needed. It is also important to document any relevant details, such as body language, to provide a more detailed record.

At the end of the interview, the interviewer should thank the witness for their cooperation and let them know that their assistance is appreciated. They should also provide contact information in case the witness has further questions or remembers any other relevant information.

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Which one of the following selections uses a conversational but professional tone?a. Due to increasingly present vicissitudes in the market, this writer will be employing several corrective actions. b. GR8 news. The hag in marketing got fired. c. Janice, please implement the solution we discussed last week.

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The selection that uses a conversational but professional tone is Janice, please implement the solution we discussed last week. (The correct option is c. Janice, please implement the solution we discussed last week.)

Option A - This statement sounds formal and is a proper way to describe a situation, but it is not conversational.

Option B - GR8 news is informal and slang. The use of the word hag is unprofessional, and the tone of the sentence is informal.

Option C - This sentence is professional and conversational, without being too informal or too formal. It is written in a friendly and professional tone. Conversational but professional tone is the best communication style for daily business transactions.

A conversational tone makes a message easy to understand, and a professional tone makes the message credible. Janice, please implement the solution we discussed last week, is a good example of this style.

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at the store, 60 brand a diapers costs $24.94, while 100 diapers of brand b costs $39.99. which is the better buy, brand a or brand b diapers?\

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The final answer are 60 brand a diapers costs $24.94, while 100 diapers of brand b costs $39.99, it is clear that brand b diapers are the better buy, as they are cheaper per diaper.

When comparing the cost of two different brands of diapers, it is important to look at the cost per diaper to determine which is the better buy. In this case, the store is selling 60 diapers of brand a for $24.94, while 100 diapers of brand b cost $39.99.

To calculate the cost per diaper for each brand, we can divide the total cost by the number of diapers. For brand a, we get a cost per diaper of $24.94/60 diapers = $0.4157 per diaper. For brand b, we get a cost per diaper of $39.99/100 diapers = $0.3999 per diaper.

Based on this calculation, we can see that brand b diapers are cheaper per diaper than brand a diapers. Therefore, brand b is the better buy in terms of cost per diaper. It is important to consider factors such as cost per unit when making purchasing decisions, as it can help save money in the long run.

100 brand b diapers cost $39.99, which works out to be 0.3999 per diaper. On the other hand, 60 brand a diapers cost $24.94, which works out to be 0.4157 per diaper. Therefore, brand b diapers are cheaper per diaper and it is the better buy.

To summarize, when considering at the store, 60 brand a diapers costs $24.94, while 100 diapers of brand b costs $39.99, it is clear that brand b diapers are the better buy, as they are cheaper per diaper.

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moving from the smallest to the largest value over this time span, what is the percentage change in the money supply m (m2)?

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The percentage change in the money supply (M2) as we move from the smallest to the largest value over this time span is 59.9%. Money supply is the total amount of currency, demand deposits, and any other liquid assets held by a country's citizens and institutions. The money supply is divided into several categories, the most important of which is M1 and M2.

In the year 2000, the money supply M2 was $4,319.2 billion. Over the following five years, it grew to $6,901.5 billion by 2005.The formula for percentage change can be defined as:$$\text{Percentage Change} = \frac{Final\;Value - Initial\;Value}{Initial\;Value} \times 100$$We can utilize this equation to determine the percentage change in the money supply M2 as we move from the smallest to the largest value over this time span.

Percentage Change = $${\left(\frac{6,901.5 - 4,319.2}{4,319.2}\right)} \times 100$$Percentage Change = 59.9%Thus, there is a 59.9% percentage change in the money supply (M2) as we move from the smallest to the largest value over this time span.

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porter's generic strategies can be defined by two key dimensions: the source of competitive advantage and the scope of the strategy. true false

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True.

Porter's generic strategies are based on two key dimensions: the source of competitive advantage, which can be achieved through either cost leadership, differentiation, or focus; and the scope of the strategy, which can be a market segment, industry, or a combination of the two.

Therefore this statement is true.

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what needs to happen for the team to effectively perform and to have solid development? group of answer choices leadership decisions must monitor or take action leadership decisions must be centered on internal action only leadership decisions must be centered on external action only leadership decisions must monitor internal environmental actions

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The final answer are leadership decisions must monitor internal environmental actions for the team to perform effectively and have solid development.

For the team to effectively perform and to have solid development, leadership decisions must monitor internal environmental actions. What needs to happen for the team to effectively perform and to have solid development?

In order for the team to perform effectively and have solid development, leadership decisions must monitor internal environmental actions. This is one of the answer choices from the provided options above. Therefore, the correct option from the given options is: Leadership decisions must monitor internal environmental actions.

What does monitoring internal environmental actions mean? Monitoring internal environmental actions means examining and observing the internal environment and culture of the organization. This is done to understand the business processes, identify strengths and weaknesses, and determine areas where improvement is required.

It helps organizations to focus on their internal operations and identify any obstacles or potential issues that may affect their success. The purpose of this action is to evaluate the impact of internal factors such as culture, leadership, staff morale, and communication on the performance of the organization.

By doing so, leaders can identify the factors that need to be changed or improved for the team to perform effectively and achieve solid development. Therefore, leadership decisions must monitor internal environmental actions for the team to perform effectively and have solid development.

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on january 1, nees manufacturing lends $10,000 to roberson supply using a 9% note due in eight months. calculate the amount of interest revenue nees will record on september 1, the date that the note is due.

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The amount of interest revenue nees will record on september 1, the date that the note is due is $604.

To calculate the amount of interest revenue Nees will record on September 1, we can use the following formula:

Interest Revenue = Principal x Interest Rate x Time (in years)

In this case, the principal is $10,000, the interest rate is 9%, and the time is 8 months (0.67 years).

Therefore, the interest revenue that Nees will record on September 1 is:

Interest Revenue = $10,000 x 0.09 x 0.67

Interest Revenue = $604

Thus, Nees will record $600 of interest revenue on September 1.

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which technique is least likely to be used to quantify intangible benefits? a. opinion surveys b. review of accounting transaction data c. professional judgment d. simulation models

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The technique that is least likely to be used to quantify intangible benefits is option b. professional judgment.

Professional judgment is a subjective approach that relies on individual interpretations and estimates, while opinion surveys, review of accounting transaction data, and simulation models are all objective approaches that allow for more accurate quantification of intangible benefits.

Overall, professional judgment is not the best technique to quantify intangible benefits since it is subjective and relies on individual interpretations and estimates. Objective methods such as opinion surveys, review of accounting transaction data, and simulation models provide more accurate quantification of intangible benefits and should be used whenever possible.

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the compensation on municipal bonds sold as part of a new issue is called a takedown when the bonds are being bought by

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The compensation on municipal bonds sold as part of a new issue is called a takedown when the bonds are being bought by underwriters.

What is a takedown?

A takedown refers to a discount given to the underwriter of a new security issue by the issuer. The reduction is paid to the underwriter as compensation for the underwriter's job of creating demand for the issue and establishing a market for it.

A takedown can also refer to a decrease in the price of a security caused by the issuing company selling more shares than initially planned. The takedown can be thought of as a type of compensation for the underwriter's services, which include selling the new securities, assembling the prospectus, and making the new securities available to investors, among other things.

Takedowns are usually based on a percentage of the total issue amount, and they range from 1% to 8% of the face value of the securities being sold. Takedowns are also used to compensate underwriters who sell corporate bonds or other debt securities.

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In a competitive market, economic profits will
a. Cause existing firms to expand production.
b. Potentially last a long time.
c. Cause new firms to leave the market.
d. Not be possible, even in the short run.

Answers

In a competitive market, economic profits will not be possible, even in the short run. The correct answer is option (d).

A competitive market is one in which a variety of manufacturers compete to sell their products to consumers. They have little or no market control, and their results are determined by supply and demand interactions. As a result, manufacturers are unable to increase their prices in a competitive environment, and those that are unable to lower their costs are likely to exit the market. The idea of economic profit in competitive market.

As a result, in a competitive market, even if a company earns economic profits in the short run, they will not last long. Firms that produce less effectively will be pushed out of the market, while those that are more efficient will continue to generate a small profit margin as long as new businesses do not enter the market.

Therefore option "d" is the correct answer.

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stakeholders include all of the following groups except a. owners. b. employees. c. customers. d. all of these are stakeholder groups.

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The correct answer is option d, all of these are are stakeholder groups with none exception.

Stakeholder group members include which of the following?

Based on these standards, stakeholders usually include clients, staff, shareholders, partners, suppliers, directors, members of the community and organizations, and the government. The interests of stakeholders are prioritized in a system known as "stakeholder capitalism".

Stakeholder organizations are what?

A project, effort, policy, or organization is deemed to have stakeholders if it has any persons or groups that are affected, either favorably or unfavorably. Those who work for your business could be internal or external (people outside of your organization)

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which of these perspectives would be least willing to change the welfare legislation, based on the concern that by changing these regulations might impact the workforce?

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The perspective that would be least willing to change the welfare legislation, based on the concern that by changing these regulations might impact the workforce is: Conservative

What is welfare?

Welfare is a term that refers to financial assistance and other such benefits offered by the government to its citizens. The primary goal of these programs is to provide assistance to the underprivileged and financially insecure members of society.

The welfare system in the United States has been around for decades and has undergone significant changes over the years. However, there are several perspectives and opinions on how it should operate or whether it should be reformed.

What is conservative?

Conservatives are least willing to change welfare legislation, based on the concern that changing these regulations might impact the workforce. They believe that government welfare programs create dependency and discourage people from working, leading to higher taxes for workers and an economic burden on society.

Therefore, conservatives are likely to support regulations that limit welfare spending and benefits and focus on job creation and economic growth instead. They believe that personal responsibility and self-sufficiency are essential and that individuals should take responsibility for their lives and work hard to improve their financial situation.

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provide some examples of customer- and provider-routed services that you have encountered that are different from those described in this chapter. can you identify any improvements to these processes?

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Other examples of provider-routed services that are routed by the client are theme parks, museums, and health clubs, with virtually limitless options for routes.

Customer routed services—what do you mean by that?

The foreign party is in responsibility of all freight transportation decisions when the shipment is routed through a customer (for a U.S. export). You are essentially giving the consumer full control of your goods so they can decide how it will be shipped.

are those that give clients a lot of latitude in choosing their own paths?

those that give clients a lot of freedom to choose among a variety of available routes via the service delivery system the ones that are most suited to their current requirements and desires. Ex: looking up information online, visiting museums, exercising, etc.

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on may 1, shilling company sold merchandise in the amount of $5,800 to anderson, with credit terms of 2/10, n/30. the cost of the items sold is $4,000. shilling uses the perpetual inventory system and the gross method. the journal entry or entries that shilling will make on may 1 is (are):

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The journal entry or entries that Shilling will make on May 1 are:

Debit: Inventory $4,000

Credit: Accounts Receivable $4,000

Debit: Sales Revenue $5,800

Credit: Accounts Receivable $5,800

Shilling uses a perpetual inventory system and the gross method for recording sales. This means that the cost of the merchandise sold is recorded in the inventory account when the sale is recorded. The sales revenue account is then debited for the full selling price of the merchandise.

On May 1, Shilling Company will make the following journal entries related to the sale of merchandise to Anderson:

Accounts Receivable - Anderson $5,800.Sales $5,800.Cost of Goods Sold $4,000.Inventory $4,000.Sales is credited for $5,800,

Accounts Receivable - Anderson is debited for $5,800 (gross amount) and the cost of goods sold account is debited for $4,000.

Inventory is credited for $4,000 which is the cost of goods sold. To determine the net amount of accounts receivable, the gross amount of accounts receivable must be calculated. The discount is available for the period of 10 days from the date of the invoice.

Therefore, a discount of 2% is provided if the amount is paid within the 10-day period. The following entries will be made when the company receives payment from the customer

Cash is debited for $5,674 which is the net amount of accounts receivable, accounts receivable - Anderson is credited for $5,800 and discounts is credited for $126 (calculated as $5,800 * 2%).

The gross method is the accounting approach in which sales and purchases are initially reported as the gross amount. The gross amount refers to the total amount that is actually paid by the customer, without including any discounts or other deductions. The discounts, returns, and allowances are only recorded when they actually occur.

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when a customer returns a product for a refund, in which account is the entry recorded? multiple choice question. purchase return sales return sales discount purchase discount

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When a customer returns a product for a refund, the entry is recorded in the account called "sales return."  (option b).

The sales return account is a critical component of a company's financial records because it helps to track the number of products that are returned by customers.

By analyzing this data, a company can take corrective actions to improve its products and services.

It is important to distinguish between a return and a refund. A return occurs when a customer brings back a product to the store, while a refund refers to the money that the customer receives for returning the product.

The refund is recorded in a separate account called "cash refund" or "accounts payable refund," depending on how the customer is reimbursed.

So, the correct option is (b).

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if you are purchasing a car from a private party, you must supply the dmv with the following, except: a. an endorsed certificate of title from the seller b. a statement of the purchase price and odometer reading c. seller's insurance card

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A private car purchase from a seller requires you to submit the following paperwork to the DMV: an endorsed certificate of title from the seller, a statement of the purchase price and odometer reading, proof of insurance, and an odometer disclosure statement (if applicable). The answer is option a. an endorsed certificate of title from the seller.


An endorsed certificate of title from the seller is the most important document in the process. The title must be endorsed by the seller, and signed and dated by both the seller and buyer. This document transfers ownership of the vehicle from the seller to the buyer.  


The statement of the purchase price and odometer reading must include the name and address of both the buyer and seller, and must state the purchase price, vehicle identification number, and odometer reading.


Proof of insurance is required to register the car and must be provided by the buyer.


Lastly, an odometer disclosure statement is required if the car is less than 10 years old. This document should include the odometer reading at the time of the sale and must be signed by both the buyer and seller.

In summary, when purchasing a car from a private party, you must provide the DMV with an endorsed certificate of title from the seller, a statement of the purchase price and odometer reading, and proof of insurance. An odometer disclosure statement may also be required depending on the age of the car.

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explain the contract bar doctrine. how would it influence the negotiation of the first labor agreement.

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The Contract Bar Doctrine is a legal principle that restricts employees from collectively bargaining over terms and conditions of employment for a specified period of time.

The Contract Bar Doctrine would influence the negotiation of the first labor agreement by creating a fixed timeline in which negotiations can take place. This timeline would be set by the initial CBA and would limit when both parties could reopen negotiations for a new CBA.

The duration of the initial CBA will depend on the terms set in the agreement. Furthermore, this timeline would create stability in the labor relationship, as both parties would be aware of when a CBA would expire and be able to plan ahead accordingly.

The Contract Bar Doctrine also encourages an efficient process of negotiations. By limiting the timeline of when negotiations can take place, it increases the incentive for both parties to come to an agreement more quickly, rather than waiting until the expiration of the CBA.

This ensures that both parties are actively negotiating during the fixed timeline and not just waiting until the last moment to come to an agreement.

In conclusion, the Contract Bar Doctrine is a legal principle that restricts employees from bargaining collectively over terms and conditions of employment for a specified period of time. It would influence the negotiation of the first labor agreement by creating a fixed timeline in which negotiations can take place and would also encourage an efficient process of negotiations.

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your goal is to identify which videos are most popular, so meer-kitty knows what topics to explore in the future. unfortunately, meer-kitty has just three months of data available because they only recently launched the videos on their site. without enough data to identify long-term trends about the video subjects that people prefer, what are your available options? select all that apply.

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There are several options available when there is not enough data to identify long-term trends about the video subjects that people prefer. The options available are:

Use available data to identify short-term trends and adjust content accordingly, seek out additional data sources to help identify trends, and take educated guesses about what topics may be popular based on industry trends and audience demographics.Use available data to identify short-term trends and adjust content accordinglyIt is possible to use the available data to identify short-term trends and adjust content accordingly. Analyzing the available data can help identify the types of videos that are more popular and the ones that are not. Based on this information, you can make adjustments to your content to better suit the preferences of your audience.Seeking out additional data sources to help identify trendsAnother option is to seek out additional data sources to help identify trends. This can involve researching industry trends and conducting surveys or focus groups to gather more information about the preferences of your target audience. This can help provide more insight into what topics may be popular and what type of content your audience wants to see.Take educated guesses about what topics may be popular based on industry trends and audience demographics.It is also possible to take educated guesses about what topics may be popular based on industry trends and audience demographics. By analyzing the interests and demographics of your target audience, you can make educated guesses about what types of videos they may be interested in watching. Additionally, researching industry trends can provide insight into what topics are currently popular and what topics are likely to gain popularity in the future.

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the present value of the residual value is ? in/from the lease receivable, and it is ? in/from sales and cost of goods sold for the lessor.

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The present value of the residual value is in the lease receivable and included from sales and cost of goods sold for the lessor.

The residual value of a leased item refers to the estimated worth of the asset when the lease term is up. It is an important component of the lease agreement because it affects the lease payments made by the lessee and the income generated by the lessor. This means that the lessor expects to receive a certain amount of money from the lessee at the end of the lease term, which is factored into the overall lease payments.

The present value of this residual value is calculated using a discounted cash flow analysis, which takes into account the expected future value of the asset and the time value of money. The amount of the lease receivable will depend on a number of factors, including the length of the lease term, the estimated residual value of the asset, and the interest rate used to discount future cash flows.

For example, if the residual value of the asset is higher than expected, the lessor may have to recognize a gain on the sale of the asset or take a charge for impairment if the asset's value has declined over time. In conclusion, the present value of the residual value is an important component of lease agreements for both lessors and lessees.

While it is included in the lease receivable for the lessor, it is not included in sales and cost of goods sold. Its impact on financial statements will depend on a variety of factors, including the estimated value of the asset, the length of the lease term, and changes in market conditions.

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edge act banks are federally chartered subsidiaries of u.s. banks that are physically located in the united states and are allowed to engage in a full range of

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"Edge Act banks are federally chartered subsidiaries of U.S. banks that are physically located in the U.S. and are allowed to engage in a full range of international banking activities."

Edge Act banks are specialized subsidiaries of U.S. banks that are authorized to conduct a wide variety of international banking activities. These banks are named after the Edge Act of 1919, which created a legal framework for U.S. banks to establish foreign branches and conduct international business.

Edge Act banks provide U.S. banks with an efficient way to conduct global business by allowing them to use a subsidiary that is subject to a different set of regulations than the parent company. This enables the parent bank to avoid certain restrictions that may hinder their ability to engage in international banking activities.

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determine the amount of depreciation for the year 2017. the company uses the straight-line method and depreciates the building over 25 years and the truck over six years. assume zero residual value for all assets. round your intermediate calculations and answers to the nearest whole dollar. asset 2017 depreciation

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The amount of depreciation of the company for the year 2017 is: $24,333

When the company uses the straight-line method and depreciates the building over 25 years and the truck over six years, assuming zero residual value for all assets, the amount of depreciation for the year 2017 is as follows.Asset 2017 DepreciationBuilding: The building is depreciated over 25 years.

Thus, the annual depreciation is:Annual depreciation = Cost / Estimated useful life = $400,000 / 25 years = $16,000 per yearTherefore, the depreciation of the building for the year 2017 is:$16,000Truck: The truck is depreciated over six years. Thus, the annual depreciation is:Annual depreciation = Cost / Estimated useful life = $50,000 / 6 years = $8,333.33 per yearTherefore, the depreciation of the truck for the year 2017 is:$8,333.33

Therefore, the amount of depreciation for the year 2017 is:$16,000 + $8,333.33 = $24,333.33 or $24,333 (rounded to the nearest whole dollar).

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which of the following is a limitation of a global strategy? global firms may improve sales by not being responsive. it uses differentiated processes in its value chain. standardized products may not meet the needs of customers in particular countries. it is typically a low-cost strategy.

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A limitation of a global strategy is that standardized products may not meet the needs of customers in particular countries. (Option C).

What is Global Strategy?

A global strategy involves offering standardized products or services across different markets, often with a focus on achieving economies of scale and cost savings. However, this approach can also result in a lack of customization and flexibility to meet the unique needs and preferences of customers in different countries.

Therefore, companies using a global strategy may face the challenge of adapting their products or services to different cultural and regulatory contexts to satisfy local customer needs and preferences.

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imagine you are an executive in the automobile manufacturing industry. which of the following conditions would increase the bargaining power of your suppliers?
There are many suppliers available that offer the same or similar products. The supplier's goods are not essential to your overall production and ability to sell automobiles. Your firm buys a substantial portion of the supplier's total output, contributing significantly to their revenue stream. Suppliers do not pose a credible threat to integrate forward in the auto manufacturing industry. Switching costs are relatively high. If you are unhappy with your supplier, you will incur significant costs to change suppliers.

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As an executive in the automobile manufacturing industry, the condition that would increase the bargaining power of your suppliers is "Your firm buys a substantial portion of the supplier's total output, contributing significantly to their revenue stream."

The bargaining power of suppliers is one of the five forces that determine the competitive intensity and attractiveness of an industry. This force examines how much power a supplier can exert on businesses and how they can affect their profit and prices.

There are several conditions that increase the bargaining power of suppliers, like your firm buys a substantial portion of the supplier's total output, contributing significantly to their revenue stream.

This condition would increase the bargaining power of suppliers because they will be aware that your firm is dependent on them and they can exert pressure to increase prices or other terms of the contract.

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