if aep earns $320,000 and the payout ratio (proportion distributed) is 45 percent, what is the change in retained earnings? round your answer to the nearest dollar.

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Answer 1

The change in retained earnings can be calculated by first finding the amount distributed and then subtracting that from the total earnings. In this case, the proportion distributed is 45 percent of $320,000. Amount distributed = 0.45 * $320,000 = $144,000 Next, subtract the amount distributed from the total earnings to find the change in retained earnings: Change in retained earnings = $320,000 - $144,000 = $176,000 So, the change in retained earnings is $176,000.

Given that AEP earns $320,000 and the payout ratio (proportion distributed) is 45 percent, we need to calculate the change in retained earnings. Retained earnings refer to the portion of net income that is not distributed to shareholders but is retained by the company for reinvestment or other purposes. It can be calculated as follows:

Retained Earnings = Net Income - Dividends

Since we are given the payout ratio (proportion distributed), we can first calculate the dividends as follows:

Dividends = Payout Ratio x Net Income

= 0.45 x $320,000= $144,00

Now, we can calculate the retained earnings as follows:

Retained Earnings = Net Income - Dividends

= $320,000 - $144,000= $176,000

Therefore, the change in retained earnings is $176,000.

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Related Questions

mc qu. 71 if a company develops an advertising... if a company develops an advertising campaign exclusively for a segment of consumers with a certain income and education, which segmentation variable is the company using?

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The segmentation variable that the company is using is demographic. Therefore, the correct option is B.

Demographic segmentation is the process of dividing the market based on variables such as age, gender, income, occupation, education, and family status. By segmenting the market based on these variables, companies can create more targeted marketing campaigns that appeal to specific consumer groups.

In this case, the company is targeting consumers based on their income and education level. This means that they are using demographic segmentation to identify a specific group of consumers who are likely to be interested in their product or service. By doing this, they can create a marketing campaign that speaks directly to this group of consumers and addresses their unique needs and preferences.

Hence, the correct answer is option B.

Note: The question is incomplete. The complete question probably is: If a company develops an advertising campaign exclusively for a segment of consumers with a certain income and education, which of the following segmentation variables is the company using? A) Behavioristic B) Demographic C) Psychographic D) Geographic E) Ethnographic.

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two supermarkets getting involved in a price war and continuing it despite incurring heavy losses in an example of . group of answer choicesescalation of commitmentparticipative decision makingpath dependencyrisk aversion

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Escalation of commitment refers to a situation in which people or groups persevere in a particular course of action even when it is no longer beneficial due to investing money, time, or energy in the decision.

What is escalation of commitment?

Two supermarkets getting involved in a price war and continuing it despite incurring heavy losses in an example of escalation of commitment.

Escalation of commitment refers to a situation in which people or groups persevere in a particular course of action even when it is no longer beneficial due to investing money, time, or energy in the decision. Despite negative consequences, escalation of commitment results in an individual or a group's unwillingness to cut losses and acknowledge defeat.

This is a common behavior seen in various fields such as business, politics, sports, and even in personal relationships when an individual becomes emotionally attached to a particular decision or action.So, two supermarkets getting involved in a price war and continuing it despite incurring heavy losses in an example of escalation of commitment. When the firms start the price war, it might be difficult to back down, and the firms might end up losing much more money than expected.

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joker stock has a sustainable growth rate of 8 percent, roe of 18 percent, and dividends per share of $3.35. if the p/e ratio is 18.7, what is the value of a share of stock?

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The value of a share of stock can be calculated using the Gordon Growth Model, also known as the Dividend Discount Model (DDM). The formula for the Gordon Growth Model is:

V = (D * (1 + g)) / (r - g)

Where:

V = value of a share of stock

D = dividends per share

g = sustainable growth rate

r = required rate of return, which can be calculated as the inverse of the P/E ratio (r = 1 / P/E)

Substituting the given values:

r = 1 / 18.7 = 0.0534

g = 8%

D = $3.35

V = (3.35 * (1 + 0.08)) / (0.0534 - 0.08) = $62.82

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suppose you see evidence that the stock market is efficient. would that make you more or less likely to invest in stocks for your 401(k) retirement plan when you get your first job?

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The evidence of an efficient stock market would not necessarily make an individual more or less likely to invest in stocks for their 401(k) retirement plan.

The efficiency of the stock market suggests that stock prices reflect all available information, and that it is difficult to consistently earn excess returns through stock selection or market timing. As such, the evidence of an efficient stock market would suggest that active stock picking may not be a reliable investment strategy for generating long-term returns.

However, investing in stocks through a diversified portfolio or index funds can still be a reasonable approach for long-term growth, as the overall stock market tends to appreciate over time. Additionally, many retirement plans, including 401(k) plans, offer a range of investment options, including diversified stock funds, which may be a suitable option for many investors.

Therefore, the evidence of an efficient stock market would not necessarily make an individual more or less likely to invest in stocks for their 401(k) retirement plan.

The decision to invest in stocks, and the specific investment strategy employed, should be based on an individual's financial goals, risk tolerance, and overall investment plan.

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the jones family sells its old house to the reynolds family for $400,000. the joneses then buy a newly constructed house from a builder for $500,000. will this transaction be included in the gross domestic product, if so, by how much will it raise gdp?

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GDP is a financial measure of the requested value of all final products and services produced and vented during a given period.

Included a $500,000 increase in GDP because that quantum was used to buy a new home.

Gross Domestic Product( GDP) measures the financial value of the end products and services- bought by the final consumer- produced in a country in a given period(e.g. a quarter or a time). It counts the total product produced in the country.

GDP is considered the most important index used by economists around the world to determine the growth of the economy. It takes into account the country's total production during the time.

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dan and lizzy are newlyweds and are already planning their retirement, because they are tired of working. if they plan on needing $60,000 of annual income at the end of each year for their anticipated 25 years of retirement. from his former employer, dan also receives $1,300 per month as a pension, and each of them also receives $950 per month in social security. if they can average a 4% return on their roth 401k throughout retirement, and if they expect an annual inflation rate of 1.5%, how much must they have saved in their roth 401k on the day they retire?

Answers

Real Rate of return is $399,793.41. Real rate of return = [(1 + expected rate) / (1 + inflation rate)] - 1. Real rate of return = [(1 + .04) / (1 + .015)] -1 = 0.0246 = 2.46%.

Income available: 1300 x 12 (pension)+ 950x12x2 (SS)

15600+22800=38400

Annual income-income available=21600

PMT = 21600, I = 2.46, n = 25, FV = 0, PV = $-399793.41

The yearly percentage of profit on an investment that has been prorated for inflation is known as the real rate of return. Investors must account for the effects of additional factors, such as taxes and investing fees, in addition to adjusting for inflation, in order to determine real returns on their investments or to make investment decisions.

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Taxes won't be taken into account when determining the Real Rate of return.

in the merchandise planning process, once a buyer has decided what type and how much merchandise should be allocated to each store, what would be the next step?

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Once a buyer has decided what type and how much merchandise should be allocated to each store in the merchandise planning process, the next step would "typically be to create purchase orders for the selected merchandise".

Purchase orders are documents that are sent to suppliers to request the delivery of merchandise to the retailer. They typically include details such as the product description, quantity, price, delivery date, and payment terms.

Creating purchase orders allows the retailer to formally place orders for the merchandise with their suppliers, ensuring that the right products are delivered to the right stores at the right time.

That's the reason pf purchase order is an important step in the merchandise planning process as it helps to ensure that the retailer has sufficient inventory to meet customer demand while also minimizing excess inventory and associated costs.

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what is the npv for the project if the required return is 9 percent? (do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.)

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Subtracting the initial investment of $80,000 from the sum of the present values gives the NPV of the project, which is $5,645.64.

To calculate the NPV (Net Present Value) of a project at a discount rate of 10%, you need to do the following:

Determine the expected cash inflows and outflows for each period of the project.

Determine the discount factor for each period using the formula (1 + r)t, where r is the discount rate (10% in this case) and t is the period number.

Multiply each cash flow by its discount factor to get the present value of each cash flow.

Sum up all the present values of the cash flows to get the total present value.

Subtract the initial investment (outflow) from the total present value to get the NPV.

Here's the formula for NPV at a discount rate of 10%:

NPV = CF0 + (CF1 / (1 + r)1) + (CF2 / (1 + r)2) + ... + (CFn / (1 + r)n)

where:

CF0 = initial cash outflow (usually a negative number)

CF1 to CFn = expected cash inflows for periods 1 to n

r = discount rate

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Full Question: How do you calculate NPV at 10% rate of return?

a(n) involves the evaluation of all the resources clients have at their disposal to determine if they are able to pay for services or buy things for themselves.

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A means testing involves the evaluation of all the resources clients have at their disposal to determine if they are able to pay for services or buy things for themselves.

During the evaluation process, different factors are taken into account to assess the client's financial status. These can include their income level, savings, investments, property ownership, and any other relevant financial information.

Once this information has been collected, it is analyzed to determine if the client meets the eligibility requirements for the program or service in question.

Means testing is used in many different settings, such as healthcare, social services, and education. It is often used to determine if a client is eligible for financial assistance or reduced fees for services such as medical care, educational programs, or public transportation.

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is the process of changing the organization and relationships among data fields to prepare the data for analysis.a.data standardizationb.data structuringc.data cleaningd.data validation

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Data structuring is the process of changing the organization and relationships among data fields to prepare the data for analysis.

Data structuring is a key step in the data preparation process, which involves transforming raw data into a format that is more suitable for analysis. This process may involve a variety of tasks, such as reorganizing data fields, creating new variables or data structures, and aggregating or summarizing data.

Data standardization refers to the process of ensuring that data is consistent and conforms to a standard format or structure. Data cleaning involves identifying and correcting errors or inconsistencies in the data, such as missing values, duplicates, or outliers. Data validation involves checking the accuracy and completeness of the data to ensure that it is fit for its intended purpose.

While all of these tasks are important components of the data preparation process, data structuring specifically refers to the process of organizing and reformatting data to make it more suitable for analysis

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complete question-

____ is the process of changing the organization and relationships among data fields to prepare the data for analysis.

A. Data cleaning

B. Data standardization

C. Data structuring

D. Data validation

b. now the government levies a $1.25 per carton excise tax on cigarettes. what are the new equilibrium price received by producers, and the quantity?

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With the $1.25 per carton excise tax on cigarettes, the new equilibrium price received by producers will be lower than the previous price by $1.25. However, without information on the original price and supply and demand curves, we cannot provide the exact new equilibrium price and quantity.

When the government levies a $1.25 per carton excise tax on cigarettes, the new equilibrium price received by producers will increase and the quantity will decrease.

The imposition of an excise tax on cigarettes will cause the supply curve to shift to the left (upward) by the amount of the tax. This shift will cause the market equilibrium price to rise and the quantity sold to decrease, resulting in less cigarettes being purchased at a higher price.The new equilibrium price received by producers will be higher than the previous price, but the increase in price will not be equal to the amount of the tax. The amount of the tax is added to the price paid by consumers, which reduces their purchasing power and ultimately reduces the quantity of cigarettes sold.

The quantity sold will decrease, but the price received by producers will increase because they are able to charge a higher price due to the decrease in supply caused by the tax.

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a recent high school graduate is searching for his first job. he turns down a job at a factory, hoping for better- paying work. what kind of unemployment is he experiencing?

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The recent high school graduate is experiencing voluntary unemployment

The recent high school graduate is experiencing voluntary unemployment because he has made a conscious decision not to accept the job offer at the factory. Voluntary unemployment occurs when an individual chooses not to accept a job offer, either because they prefer not to work or because they cannot find work that meets their expectations or preferences.

This type of unemployment is different from involuntary unemployment, which occurs when individuals lose their jobs due to economic conditions or other factors beyond their control. In the case of voluntary unemployment, the individual may be waiting for a better job opportunity or may have other reasons for not accepting the job offer, such as low pay or unfavorable working conditions.

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your financial adviser recommends buying a 10-year bond with a face value of $1,000 and an annual coupon of $70. the current interest rate is 6 percent. what might you expect to pay for the bond (aside from brokerage fees)?

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The amount expected to pay for the bond is $1,182.96.

It is given that the a 10-year bond with a face value of $1,000 and an annual coupon of $70 is recommended. The current interest rate is 6 percent. The amount expected to be paid for the bond (aside from brokerage fees) is required.

The price of a bond depends on its coupon rate, its maturity, and its yield to maturity. The bond's face value is $1,000, and its annual coupon payment is $70, which is paid for 10 years. The bond's current interest rate is 6 percent. Therefore, it is referred to as the coupon rate.

The coupon rate is the same as the current interest rate, which is 6 percent.

Let's calculate the price of the bond:

Calculate the bond's present value using the formula of present value of the bond:

PV = C * [1 - (1 + r)^-t / r] + FV / (1 + r)^t

Where PV = Present Value of Bond, C = Coupon Payment, r = Interest Rate or Yield to Maturity, t = Years to Maturity, FV = Face Value of Bond

Substitute the given values in the above formula.

PV = $70 * [1 - (1 + 0.06)^-10 / 0.06] + $1,000 / (1 + 0.06)^10

PV = $624.57 + $558.39 = $1,182.96

Therefore, the expected price of the bond is $1,182.96 (aside from brokerage fees).

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g why is an update/patch process crucial for any organization to have and follow? discuss some issues that may arise when patching and updating machines. list any observations, tips or questions about this lab that would prove helpful to fellow students prior to midnight on wednesday and comment on other student posts with value added comments (not simply agreeing) by midnight sunday for full credit consideration.

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An update/patch process is crucial for any organization to have and follow because it helps maintain the security, stability, and functionality of systems and software.

Some issues that may arise when patching and updating machines include compatibility problems, system downtime, and potential introduction of new bugs.

Observations and tips for fellow students:

Always test patches and updates in a controlled environment before deploying them organization-wide.Schedule updates during periods of low usage to minimize disruptions.Create a backup of your system before applying updates in case you need to roll back changes.Stay informed about known vulnerabilities and prioritize updates accordingly.Ensure that all team members are aware of the update/patch process and the importance of adhering to it.

Remember to comment on other student posts with value-added comments to enhance your learning experience and provide helpful insights.

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1. which of the following are considered money in the u.s. economy? which are not? explain your answers by discussing each of the three functions of money. a. a u.s. penny b. a mexican peso c. a picasso painting d. a plastic credit card

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a. A U.S. penny: This is considered money in the U.S. economy because it is issued by the government and is widely accepted as a medium of exchange.

b. A Mexican peso: This is not considered money in the U.S. economy because it is issued by the government of Mexico and is not widely accepted as a medium of exchange in the U.S.

c. A Picasso painting: This is not considered money in the U.S. economy because it is not issued by the government and is not widely accepted as a medium of exchange.

d. A plastic credit card: This is considered money in the U.S. economy because it serves as a medium of exchange. While it is not issued by the government, it is widely accepted by merchants as a means of payment. It also serves as a store of value, as people can use credit cards to make purchases and pay off the balance at a later date.

In summary, an item is considered money in the U.S. economy if it serves the three functions of money: a medium of exchange, a unit of account, and a store of value. A U.S. penny and a plastic credit card are considered money because they serve these functions,

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a taxpayer received land as a gift with a fair market value of $5,000. the land was purchased by the donor for $8,000. the land is sold for $6,000. what amount of gain, if any, should be reported?

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In the given case, the taxpayer would only be able to claim a capital loss of $3,000

The taxpayer was given land with a $5,000 fair market worth, less than the donor's $8,000 cost base. Therefore, when calculating gain or loss from selling the property, the taxpayer would not use the donor's cost base. Instead, the donor's $8,000 cost basis would be the taxpayer's cost basis for calculating gain or loss. The taxpayer would incur a financial loss of -

= 8,000 - 6,000

= 2,000

If the land is sold for less than payer's cost basis, taxpayer's loss is restricted to lesser of payer's adjusted basis, which is equivalent to the donor's cost basis of $8,000 as given. Further, the property's fair market value at the time the donation was made, which is $5,000. Therefore, the amount that can be deducted is -

= 8,000 - 5,000

= 3,000

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lobbying expenditures on health issues at the federal level in 2013 were approximately group of answer choices $500,000. $5 million. $500 million. lobbying on health issues is prohibited.

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The lobbying expenditures on health issues at the federal level in 2013 were approximately $500 million.

In its original sense, lobbying referred to efforts to influence legislators' votes, typically in the lobby outside the legislative chamber. Lobbying is any attempt by individuals or private interest groups to influence government decisions. Any political system will inevitably involve some form of lobbying. spending on lobbying Any sum paid or incurred by the organization in carrying on propaganda or otherwise attempting to influence legislation is referred to as a "lobbying expenditure."

Depending on the types of issues that organized interests work for and the people they try to influence, lobbying can take many different forms. Direct lobbying, grassroots lobbying, and electoral lobbying were the three broad categories Berry (1977) used to classify different types of lobbying. Around $500 million was spent on federal lobbying for health-related causes in 2013.

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rather than straight-line depreciation, suppose markov will use the macrs depreciation method for the five-year life of the property. calculate the depreciation tax shield each year for this equipment under this accelerated depreciation schedule. if markov has a choice between straight-line and macrs depreciation schedules, and its marginal corporate tax rate is expected to remain constant, which schedule should it choose? why? how might your answer to part (d) change if markov anticipates that its marginal corporate tax rate will increase substantially over the next five years?

Answers

Choose MACRS depreciation schedule as it provides higher tax shield in earlier years. Even if marginal corporate tax rate increases over the next five years, MACRS is still the better option due to higher tax shields in earlier years, which have more value due to time value of money.

Under the MACRS depreciation method, the truck is classified as 5-year property, and therefore the depreciation expense for each year will be calculated using the 5-year MACRS depreciation schedule:

Year 1: 20% x $24,000 = $4,800

Year 2: 32% x ($24,000 - $4,800) = $5,184

Year 3: 19.2% x ($24,000 - $4,800 - $5,184) = $2,743.68

Year 4: 11.52% x ($24,000 - $4,800 - $5,184 - $2,743.68) = $1,646.21

Year 5: 11.52% x ($24,000 - $4,800 - $5,184 - $2,743.68 - $1,646.21) = $1,097.48

Therefore, the depreciation tax shield for each year under MACRS is:

Year 1: $4,800 x 0.21 = $1,008

Year 2: $5,184 x 0.21 = $1,088.64

Year 3: $2,743.68 x 0.21 = $575.77

Year 4: $1,646.21 x 0.21 = $345.10

Year 5: $1,097.48 x 0.21 = $230.47

If Markov has a choice between straight-line and MACRS depreciation schedules and its marginal corporate tax rate is expected to remain constant, it should choose MACRS because it results in larger depreciation tax shields in the earlier years of the asset's life, which increases the present value of the tax benefits.

If Markov anticipates that its marginal corporate tax rate will increase substantially over the next five years, it may want to choose the straight-line depreciation method because it results in larger depreciation tax shields in the later years of the asset's life, which would be more valuable if the tax rate is higher in those years.

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market segments that can be effectively reached and served are said to be . group of answer choices measurable profitable substantial accessible actionable

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Market segments that can be effectively reached and served are said to be Profitable. So the option B is correct.

Profitable market segments are those that can be successfully reached and served. Some examples of profitable customer segments include young professionals, retirees, families, luxury consumers, students, and business professionals.

These segments can be identified based on their lifestyle, purchasing power, and other characteristics. Companies can then tailor their products, services, and marketing messages to better serve these customer segments, leading to increased profitability.

Segmentation can also help businesses better understand the needs and behaviors of their customers. By understanding the different customer segments, businesses can identify which segments are the most profitable, and which segments need more attention. So the option B is correct.

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The complete question is:'

Market segments that can be effectively reached and served are said to be:

Group of answer choices

A. measurable

B. profitable

C. substantial

D. accessible

E. actionable

calculate the price of a 5.8 percent coupon bond with 10 years left to maturity and a market interest rate of 4.6 percent. (assume interest payments are semiannual.) (do not round intermediate calculations. round your final answer to 2 decimal places.

Answers

The price of the 5.8 percent coupon bond with 10 years left to maturity and a market interest rate of 4.6 percent is $1,070.28.

To calculate the price of coupon bond follow these steps:

1. Convert the annual coupon rate to a semiannual rate: 5.8% / 2 = 2.9%

2. Convert the annual market interest rate to a semiannual rate: 4.6% / 2 = 2.3%

3. Calculate the number of semiannual periods: 10 years * 2 = 20 periods

4. Calculate the semiannual coupon payment: 2.9% * $1,000 (par value) = $29

5. Calculate the present value of the coupon payments: $29 * (1 - (1 + 0.023)^(-20)) / 0.023 = $470.36

6. Calculate the present value of the par value at maturity: $1,000 / (1 + 0.023)^20 = $599.92

7. Add the present value of the coupon payments and the par value to find the bond price: $470.36 + $599.92 = $1,070.28

Hence, the price of the coupon bond is $1,070.28.

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a company has net income of $250,000, net sales of $2,000,000, and average total assets of $1,500,000. its return on total assets equals:

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If company has net income of $250,000, net sales of $2,000,000, and average total assets of $1,500,000, then the return on total assets for this company is 16.67%.

The return on total assets (ROTA) is a financial ratio that measures how efficiently a company uses its assets to generate profits. It is calculated by dividing net income by average total assets.

ROTA = Net Income / Average Total Assets

Substitute the values in the equation

In this case, the net income is $250,000 and the average total assets are $1,500,000. So we can calculate the ROTA as

ROTA = $250,000 / $1,500,000

Divide the numbers

ROTA = 0.1667 or 16.67%

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explain why we would expect that more often than not, different countries face different real rates of interest in international capital markets. be specific as in applying your reasoning to this particular case

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Different countries face different real rates of interest in international capital markets due to various factors such as inflation, economic growth, political stability, and perceived risk.

Inflation, for example, can cause a country's currency to depreciate, leading to higher interest rates to compensate investors for the loss of purchasing power. Similarly, countries with stronger economic growth and political stability may offer lower interest rates to attract foreign investment.

Finally, perceived risk, such as that associated with political instability or high levels of government debt, can also impact interest rates. In the specific case of international capital markets, the unique economic and political conditions of each country create variations in demand for and supply of capital, leading to differences in interest rates.

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how does the timing and the size of cash flows affect the payback method? assume the project does pay back within the project's lifetime.

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The payback period method is a cost management method used to estimate the amount of time it takes to recover an investment's initial expenses. Payback is expressed in years or months, and it reflects the period of time it takes to get back the original investment amount in cash flows.

The payback method is an accounting method used to calculate the length of time required to recover the initial investment. The timing and size of cash flows have a significant effect on the payback method.

The payback period is calculated by dividing the cost of the investment by the annual cash inflows.

The formula is as follows:

Payback period = Initial investment / Annual cash inflows

Assuming that the project does pay back within the project's lifetime, the size and timing of cash flows influence the payback period.

If the cash flows are larger, the payback period will be shorter, and if the cash flows are smaller, the payback period will be longer.

Similarly, if the cash flows are evenly distributed over the project's lifetime, the payback period will be shorter than if they are unevenly distributed over the project's lifetime.

The payback period is influenced by both the timing and size of cash inflows.

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which of the following is least accurate for the case illustrated? an increase in the in-house fixed costs will increase the break-even point. a decrease in the out-sourcing unit cost will increase the break-even point. production quantities smaller than the break-even point will result in a net loss. a decrease in the in-house unit production costs will decrease the break-even point.

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The following statement is least accurate for the case illustrated: "B. A decrease in the out-sourcing unit cost will increase the break-even point."

This is because a decrease in the outsourcing unit cost will actually decrease the break-even point. The break-even point is the production level at which total revenue equals total costs, including both fixed and variable costs.

If the outsourcing unit cost decreases, it means the variable cost per unit decreases, which in turn decreases the break-even point. Therefore, a decrease in the outsourcing unit cost will have a positive impact on the break-even point and increase the firm's profitability.

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Full Question: which of the following is least accurate for the case illustrated?

an increase in the in-house fixed costs will increase the break-even point. a decrease in the out-sourcing unit cost will increase the break-even point. production quantities smaller than the break-even point will result in a net loss. a decrease in the in-house unit production costs will decrease the break-even point.

dina med group has invented a portable device that will enable patients without access to medical facilities to monitor vital signs for multiple serious health conditions. manufacturing of the device began last month, and dina med group plans to begin product delivery within the next two weeks. which stage of the innovation process is dina med in?

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Dina Med is in the Innovation application stage of the innovation process.

Applying Innovation offers a simple formula for business development by combining the essential components from various fields, such as innovation management, strategy planning, performance measurement, ingenuity, project portfolio management, performance evaluation, knowledge management, and teams. Applying Innovation offers a priceless step-by-step process for truly implementing high-impact innovation in any company using a knowledge management system, whether for a boutique firm or one with thousands of employees. It goes beyond methods and protocols.

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g a decrease in social security payments will part 2 a. decrease export spending. b. decrease consumption spending. c. decrease government spending. d. decrease investment spending.

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The likelihood of a decline in social security benefits is decrease  consumption spending.

A sort of transfer payment, social security benefits are given by the government to persons, usually retirees or those with disabilities. Due to the fact that they sustain the income of a significant portion of the population, these payments are seen as a component of personal income and frequently influence consumer spending.

The recipients of social security payments would have less discretionary money, which would probably result in less spending on goods and services. Because that consumer spending is a key factor in economic growth, this could thus have a negative effect on the economy as a whole.

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true or false: according to geoffrey moore, the best way to achieve adoption of an offering based on a new technology by mainstream customers is to mitigate risk by targeting three to four different markets.

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True. Geoffrey Moore, a marketing consultant and author of the book "Crossing the Chasm," introduced the concept of the Technology Adoption Life Cycle, which outlines the stages of adoption of a new technology by different types of customers.

According to Moore, the key to achieving adoption of an offering based on a new technology by mainstream customers is to mitigate risk by targeting three to four different markets. By targeting these markets, companies can gain valuable feedback and improve their offering before attempting to penetrate the mainstream market. This approach can help reduce risk and increase the likelihood of successful adoption by mainstream customers.

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grant, inc. had 60,000 shares of treasury stock ($10 par value) at december 31, 2014, which it acquired at $12 per share. on june 4, 2015, grant issued 30,000 treasury shares to employees who exercised options under grant's employee stock option plan. the market value per share was $14 at december 31, 2014, $15 at june 4, 2015, and $18 at december 31, 2015. the stock options had been granted for $13 per share. the cost method is used. what is the balance of the treasury stock on grant's balance sheet at december 31, 2015?

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The balance of the treasury stock on Grant Inc.'s balance sheet at December 31, 2015 is 27,000 shares of treasury stock and can be calculated using the cost method.

The cost method involves accounting for treasury stock at the original cost at which it was acquired by the company. To begin with, we need to determine the cost of the 30,000 treasury shares that were issued to employees who exercised options under Grant's employee stock option plan on June 4, 2015. Since the market value per share was $15 at the time of issuance, the total cost of the shares would be 30,000 x $15 = $450,000.

Next, we need to subtract the cost of the 30,000 treasury shares from the total cost of the treasury stock held by Grant Inc. at December 31, 2014. Grant had 60,000 shares of treasury stock at December 31, 2014, which it acquired at $12 per share. Therefore, the total cost of the treasury stock at December 31, 2014, would be 60,000 x $12 = $720,000.

Subtracting the cost of the 30,000 treasury shares issued on June 4, 2015, from the total cost of the treasury stock at December 31, 2014, we get $720,000 - $450,000 = $270,000. This represents the cost of the 30,000 shares of treasury stock that Grant Inc. held at December 31, 2015.

Finally, we need to calculate the balance of the treasury stock on Grant Inc.'s balance sheet at December 31, 2015. Since the par value of the shares is $10, we can divide the total cost of the shares by the par value to get the number of shares held in treasury.

$270,000 ÷ $10 = 27,000 shares of treasury stock at December 31, 2015.

Therefore, the balance of the treasury stock on Grant Inc.'s balance sheet at December 31, 2015, is 27,000 shares of treasury stock.

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compounding refers directly to question 10 options: finding the present value of a future sum of money. finding the future value of a present sum of money. changes in the interest rate over time on a bank account or a similar savings vehicle. interest being earned on previously-earned interest.

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Compounding refers directly to the option "finding the future value of a present sum of money." In financial terms, compounding is the process where interest earned on a principal amount is reinvested, and the new interest is calculated based on the original principal plus the interest earned.

This results in interest being earned on previously-earned interest, causing the overall amount to grow at an increasing rate.
1. Start with an initial sum of money (the principal amount).
2. Determine the interest rate and the compounding frequency (how often interest is calculated and added to the principal).
3. Calculate the interest earned during each compounding period by multiplying the principal amount by the interest rate.
4. Add the interest earned to the principal amount to find the new balance.
5. Repeat steps 3 and 4 for each subsequent compounding period.
Compounding allows your money to grow at a faster rate compared to simple interest, where interest is calculated only on the initial principal amount throughout the entire investment period. The more frequent the compounding, the more significant the difference between the future value of your money compared to a simple interest calculation.

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chapter 5 initiating and planning systems development projects if you were an employee at petrie electronics, would you want to work on this project?

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An employee at Petrie Electronics might consider when deciding whether or not they want to work on a project related to initiating and planning systems development projects:

Interest and skills: An employee might want to work on this project if they have a strong interest in systems development and possess the necessary skills to contribute to the project.

Career development: The project might provide opportunities for career development, such as learning new skills or taking on additional responsibilities.

Project scope and goals: The employee might want to evaluate the scope and goals of the project to determine if it aligns with their personal and professional goals.

Team members and project management: The employee might want to consider the team members they would be working with and the project management approach to determine if it would be a positive work experience.

Potential challenges and risks: The employee might want to consider potential challenges and risks associated with the project, such as tight deadlines or conflicting priorities, and assess whether they are willing to take on those challenges.

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