milo corporation has 8% convertible preferred stock outstanding. it declared preferred dividends of $6,000 during the year with a net income of $30,000. the preferred shares are convertible into 4,000 shares of common stock. the impact on milo's diluted earnings per share is a.$7.50. b.$1.50. c.$0.67. d.$6.00.

Answers

Answer 1

Option d. $6.00 is incorrect. Option a. $7.50 and option c. $0.67 are also incorrect.

What is dilutive earnings per share?

Diluted earnings per share is a measure of earnings per share (EPS) calculated by including all potential shares that could be issued by the company, including stock options, convertible preferred stock.

It is used to reflect the maximum potential impact on earnings per share if all convertible securities were converted into common stock. Milo Corporation has 8% convertible preferred stock outstanding.

It declared preferred dividends of $6,000 during the year with a net income of $30,000. The preferred shares are convertible into 4,000 shares of common stock.

Impact of convertible preferred stock on diluted earnings per shareTo calculate the impact of convertible preferred stock on diluted earnings per share.

We need to first calculate the number of additional shares that would be outstanding if all convertible preferred stock was converted into common stock.

This is calculated by multiplying the number of convertible preferred shares by the conversion ratio.Conversion ratio = Number of common shares per preferred share = 4,000 / 100 = 40

Additional shares from convertible preferred stock = Number of convertible preferred shares x Conversion ratio = 100 x 40 = 4,000

Total shares outstanding after conversion = Number of common shares + Additional shares from convertible preferred stock = 20,000 + 4,000 = 24,000

Milo's diluted earnings per share = Net income / Total shares outstanding after conversion = $30,000 / 24,000 = $1.25Impact of preferred dividends on diluted earnings per share.

The preferred dividends paid on convertible preferred stock are deducted from net income before calculating diluted earnings per share.

Diluted earnings per share = (Net income - Preferred dividends) / Total shares outstanding after conversion = ($30,000 - $6,000) / 24,000 = $1.00

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Related Questions

epiphany is an all-equity firm with an estimated market value of $400,000. the firm sells $225,000 of debt and uses the proceeds to purchase outstanding equity. compute the weight in equity and the weight in debt after the proposed financing and repurchase of equity.

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We must first determine the new market value of the company following the financing and buyback of equity in order to determine the weight in equity and the weight in debt following the planned financing and repurchase of stock.

The following formula can be used to determine the firm's market value following the financing:

Market value of the company is equal to the sum of its equity and debt.

The company's new market worth is $400,000 - $225,000, or $175,000

We may assume that the total quantity of equity remains at $400,000 since the company is utilizing the money from the sale of debt to repurchase outstanding shares.

As a result, the weight in equity following the suggested financing and stock repurchase may be estimated as follows:

Weight in equity = Market value of equity / New market value of the firm

Weight in equity = $400,000 / $175,000

Weight in equity = 2.29 or 229%

The weight in debt after the proposed financing and repurchase of equity can be calculated as:

Weight in debt = Market value of debt / New market value of the firm

Weight in debt = $225,000 / $175,000

Weight in debt = 1.29 or 129%

It's worth noting that the weights calculated above do not add up to 100% due to the fact that the market value of equity exceeds the new market value of the firm.

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he present value of the terminal value is called the: question 13 options: a) reversion value b) going-concern value c) horizon value d) terminal value

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The terminal value refers to the present value of the expected cash flows from a business or investment beyond a specified period of time, often referred to as the "terminal period." The correct answer is: d) terminal value.

It represents the value of the investment or business beyond the projected period, and is typically calculated using various methods such as the discounted cash flow (DCF) analysis or the multiples approach.

The other options listed are not synonymous with the terminal value:

a) Reversion value: This term is typically used in real estate or property valuation and refers to the estimated future value of a property after a specific period of time, assuming it returns to its original condition or state.

b) Going-concern value: This refers to the value of a business as a functioning entity, assuming it will continue its operations indefinitely and generate future cash flows.

c) Horizon value: This term is often used in finance and investment analysis to refer to the value of an investment or business at the end of a specific time horizon, typically used in financial modeling or forecasting.

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ncreases in equity that result from providing products or services to customers are called: revenues. investing activities. financing activities. liabilities. expenses.

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Revenue is the total quantum of profit from the trade of goods and services related to the company's core business. This is option A.

The increase in equity from the trade of services and products is called revenue . It's the quantum that the company has generated through its operations in a given period of time. means and arrears would not affect equity.

Revenue is the moneybags generated in the ordinary course of business and is calculated by multiplying the average selling price by the number of units vented. This is the total quantum from which other costs and charges are abated to calculate your net income.

Question:

The increase in equity performing from the provision of products or services to guests is as follows

a)revenue

b) Investment exertion.

c) fiscal means.

d) arrears.

e) charges.

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the retailer considers visa and mastercard sales as group of answer choices cash sales. promissory sales. credit sales. contingent sales.

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The retailer considers visa and master card sales as credit sales. The answer is OPTION C

Since national credit card sales on Visa and MasterCard are debited directly from the business's account, these transactions are documented as cash sales.  Credit purchases are transactions in which the debt will be paid in full at a later time.

In other words, credit sales are transactions where the customer does not pay in full, in cash, at the moment of the transaction. Cash purchases are those made to clients who pay with bank credit cards like MasterCard and VISA. The Credit Card Expense account is debited for the processing fees levied by the credit card provider.  The answer is OPTION C

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in march 2020, daniela motor financing (dmf), offered some securities for sale to the public. under the terms of the deal, dmf promised to repay the owner of one of these securities $2,000 in march 2040, but investors would receive nothing until then. investors paid dmf $900 for each of these securities; so they gave up $900 in march 2020, for the promise of a $2,000 payment 20 years later. assuming you purchased the bond for $900, what rate of return would you earn if you held the bond for 20 years until it matured with a value $2,000? note: do not round intermediate calculations and enter your answer as a percent, rounded to 2 decimal places, e.g., 32.16. suppose under the terms of the bond you could redeem the bond in 2030. dmf agreed to pay an annual interest rate of 1.1 percent until that date. how much would the bond be worth at that time? note: do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16. in 2030, instead of cashing in the bond for its then current value, you decide to hold the bond until it matures in 2040. what annual rate of return will you earn over the last 10 years? note: do not round intermediate calculations and enter your answer as a percent rounded to 2 decimal places, e.g., 32.16.

Answers

a)  if you hold the bond until it matures in 2040, you will earn a rate of return of 6.38% per year.

b)   The bond would be worth $1,480.70 in 2030 if you decided to redeem it at that time.

c) If you hold the bond from 2030 to 2040, you will earn a rate of return of 3.59% per year.

a)To calculate the rate of return, we need to use the formula for the yield to maturity:

PV = FV / (1 + r)^n

Where PV is the present value, FV is the future value, r is the rate of return, and n is the number of periods.

In this case, PV = $900, FV = $2,000, and n = 20. Solving for r, we get:

r = ((FV / PV)^(1/n) - 1) x 100

r = (($2,000 / $900)^(1/20) - 1) x 100

r = 6.38%

B)To calculate the value of the bond in 2030, we need to discount the $2,000 future value back to 2030 using the 1.1% annual interest rate:

PV = FV / (1 + r)^n

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

In this case, PV = ?, FV = $2,000, r = 1.1%, and n = 10. Solving for PV, we get:

PV = FV / (1 + r)^n

PV = $2,000 / (1 + 1.1%)^10

PV = $1,480.70

C)Finally, to calculate the rate of return if you hold the bond from 2030 to 2040, we can use the same formula for the yield to maturity:

PV = FV / (1 + r)^n

Where PV is the present value, FV is the future value, r is the rate of return, and n is the number of periods.

In this case, PV = $1,480.70, FV = $2,000, and n = 10. Solving for r, we get:

r = ((FV / PV)^(1/n) - 1) x 100

r = (($2,000 / $1,480.70)^(1/10) - 1) x 100

r = 3.59%

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suppose that this year's money supply is $500 billion, nominal gdp is $10 trillion, and real gdp is $5 trillion. the price level is , and the velocity of money is . suppose that velocity is constant and the economy's output of goods and services rises by 2 percent each year. use this information to answer the questions that follow. if the fed keeps the money supply constant, the price level will , and nominal gdp will . true or false: if the fed wants to keep the price level stable instead, it should increase the money supply by 2% next year. true false if the fed wants an inflation rate of 10 percent instead, it should the money supply by % . (hint: the quantity equation can be rewritten as the following percentage change formula: (percentage change in m) (percentage change in v)

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The Fed would need to increase the money supply by 2% to achieve a 10% inflation rate.

To answer the questions, we can use the quantity equation:

M * V = P * Y

Where M is the money supply, V is the velocity of money, P is the price level, and Y is real GDP.

If the Fed keeps the money supply constant, the price level will decrease and nominal GDP will decrease. This is because the economy's output is increasing while the money supply is staying constant, which means that each unit of money will have to represent a larger share of real output. Therefore, prices will have to fall to maintain the equilibrium between money and goods/services.

False. If the Fed wants to keep the price level stable, it should increase the money supply by 2% next year. This is because a 2% increase in the money supply would match the 2% increase in real GDP, which would keep the ratio of money to output constant and thus keep the price level stable.

To achieve an inflation rate of 10%, the Fed should increase the money supply by 10%. We can see this by using the percentage change formula:

(Percentage change in M) + (Percentage change in V) = (Percentage change in P) + (Percentage change in Y)

If we want the inflation rate to be 10%, then the percentage change in P will be 10%. If we assume that velocity is constant and that Y will increase by 2%, then we can solve for the percentage change in M:

10% + 0% = 10% + 2%

10% = 12%

(Percentage change in M) = 2%

Therefore, the Fed would need to increase the money supply by 2% to achieve a 10% inflation rate.

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when cities and other political entities invest in a new stadium, the team using that stadium will receive most, if not all, of the additional revenue generated within the stadium while paying for only part of its cost. true false

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When cities and other political entities invest in a new stadium, the team using that stadium will receive most, if not all, of the additional revenue generated within the stadium while paying for only part of its cost. true

This is because the team typically receives revenue from ticket sales, concessions, merchandise, and other activities that take place within the stadium.

However, the cost of building and maintaining the stadium is often shared by the city or other political entity and the team. This is a controversial issue, as many argue that public funds should not be used to support private enterprises like sports teams.

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which of the following is an example of external debt for the united states? group of answer choices a purchase of apple stock by a person in canada a loan made in yen to a company in the united states a loan made by citibank to the government of mexico a purchase of u.s. treasury bills by the bank of japan

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D) A loan made in yen to a company in the United States is an example of external debt for the United States.

The portion of a country's debt that is borrowed from foreign lenders, such as commercial banks, governments, or international financial institutions, is known as external debt. These loans, including interest, must typically be repaid in the currency in which they were made.

The borrowing country may sell and export goods to the lending country in order to earn the required currency. External debt, also known as foreign debt, includes both principal and interest but excludes contingent liabilities, which are debts that may be incurred at a later date based on the outcome of an uncertain future event.

External debt can take the form of a tied loan in some cases, which means that the funds obtained through the financing must be spent in the country.

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Correct question:

Which of the following is an example of external debt for the United States?

A) A purchase of Apple stock by a person in Canada

B) A loan made by Citibank to the government of Mexico

C) A purchase of U.S. Treasury bills by the Bank of Japan

D) A loan made in yen to a company in the United States

if the marginal propensity is 0.75, then a $100 increase in investment will result in a maximum increase in equilibrium real gross domestic product of

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If the marginal propensity is 0.75, then a $100 increase in investment will result in a maximum increase in equilibrium real gross domestic product of 400 million.

The portion of extra money that is spent on consumption is measured by marginal propensity. A rise in investment causes an increase in collective demand, which in turn can raise real GDP. The multiplier's size, which is set by the MPC, will decide how much real GDP will rise.

Calculating the value through multiplier -

Multiplier = 1 / (1 - MPC)

= 1 / (1 - 0.75)

= 1/0.25

= 4

Accordingly, real GDP will grow by four times for every dollar of increased expenditure. As a consequence, an increase in investment of $100 can only lead to a rise in equilibrium real GDP of:

= 100 x 4

= 400

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which of the following statements is true? intelligence is the one ksa that predicts all facets of job performance different ksa's are related to different facets of performance on any given job any good selection system will measure every ksa that is related to performance virtually all selection systems attempt to improve all facets of performance simultaneously

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Different ksa's are related to different facets of performance on any given job". The B statement that is true .

KSA stands for knowledge, skills, and abilities. While intelligence may be a factor that predicts job performance, it is not the only KSA that is important for all jobs. Different jobs may require different combinations of KSAs, and each KSA may be related to different facets of job performance. For example, a job that requires complex problem-solving skills may place a higher emphasis on a candidate's knowledge and skills in that area, whereas a job that involves customer service may require strong interpersonal skills.

It is not true that "intelligence is the one ksa that predicts all facets of job performance" or that "any good selection system will measure every ksa that is related to performance". Additionally, not all selection systems attempt to improve all facets of performance simultaneously, as different systems may focus on different areas of performance or different types of KSAs.

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qzb company experienced a data breach during the holiday gift-giving season. what role can the marketing manager play to help rebuild customer trust?

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The role that the marketing manager can play to help rebuild customer trust after a data breach during the holiday gift-giving season is to be transparent, empathetic, and proactive.

A data breach occurs when sensitive, protected, or confidential data is exposed or stolen by unauthorized access. Credit card numbers, email addresses, and customer passwords are among the information that hackers usually aim to access.

Trust is the foundation of any business relationship. Trust helps to develop a customer's loyalty to a business. Trust is built over time and through honest communication and the delivery of excellent customer service.  The following steps can be taken to rebuild customer trust after a data breach:Transparency: Be transparent and inform customers about the breach. Transparency helps in establishing trust.

Empathy: Express empathy to customers who have been affected by the data breach. Customers want to know that you care about them. Proactivity: Be proactive and inform customers about the steps you have taken to prevent similar breaches from happening in the future. This helps in rebuilding trust. Communication: Communicate often with customers and keep them informed about the situation. Let customers know about the progress made to resolve the situation. Customer support: Provide customer support to help customers navigate the situation. Provide contact information and be available to answer questions or concerns.

Thus, the marketing manager plays an essential role in rebuilding customer trust after a data breach during the holiday gift-giving season by being transparent, empathetic, and proactive.

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a well-known fortune 500 ceo dresses up in a different outlandish costume each year for his presentation during the annual stockholder meeting. the presentation is broadcasted to all divisions and offices of the firm and employees enthusiastically view the proceedings. this scenario is an example of what visual element of culture? group of answer choices stories

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The scenario described is an example of a ritual as a visual element of culture.

The CEO's annual costume presentation during the stockholder meeting has become a repeated and highly anticipated event for the employees, which adds to the symbolic meaning of the event and reinforces the culture of the organization. The visual aspect of the CEO's costume adds to the ritualistic nature of the event and helps to create a shared identity and sense of belonging among employees.

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which selections use effective you attitude? check all that apply. thank you for shopping at freelinks. your order will ship on saturday. to encourage attendance at the company bbq, we will enter your name in the raffle. we want you to take full advantage of the professional development workshops we offer. your online shopping experience at toys4fun should be enjoyable.

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The selections that use an effective "you" attitude are:

A: Thank you for shopping at Freelinks. Your order will ship on Saturday.

C: We want you to take full advantage of the professional development workshops we offer.

D: Your online shopping experience at Toys4fun should be enjoyable.

These statements show a customer-centered approach by using "you" to address the customer directly, acknowledging their needs, and providing them with a positive experience. The statement about the company BBQ uses a similar approach by offering an incentive for attendance. This creates a positive impression and encourages the reader to take action.

Overall, using an effective "you" attitude is a way to build trust, establish rapport, and communicate in a customer-focused manner.

Correct options are A, C, and D.

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a couple deposits $22,000 into an account earning 7% annual interest for 20 years. calculate the future value of the investment if the interest is compounded daily. round your answer to the nearest cent.

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After 20 years of daily compounding at 7% annual interest, the couple's investment will have grown to approximately $84,864.84.

The future value of a $22,000 investment earning 7% annual interest for 20 years, compounded daily is $77,410.10.

To calculate the future value of the investment, use the formula: FV = [tex]P(1 + r/n)^{(n*t)}[/tex], where FV = future value of the investment, P = principal, or initial investment, r = interest rate as a decimal, n = number of times compounded per year, and t = time in years.

First, convert the interest rate to a decimal by dividing by 100: 7% ÷ 100 = 0.07

Next, calculate the number of times the interest is compounded per year: Daily = 365 times per year.

Now, substitute the values into the formula: FV = [tex]$22,000(1 + 0.07/365)^{(365*20)}[/tex]  = [tex]$22,000 (1.00019178082192)^{7300}[/tex] = $77,410.10. Rounding to the nearest cent, the future value of the investment is $77,410.10.

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successful partnerships with voads include: a. shared points of contact (pocs), frequent communications, and contractual expectations b. frequent communications, periodic meetings, and a list of expectations c. early engagement, frequent communications, and agreed mutual expectations d. frequent engagement, frequent communications, and a list of desired assistance

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VOADs (Voluntary Organizations Active in Disaster) often work with various organizations and partners to provide disaster response and recovery services. Successful partnerships with VOADs involve effective communication, early engagement, and clearly defined expectations. option (c) is the best answer.

Among the options provided, (c) early engagement, frequent communications, and agreed mutual expectations, is the most comprehensive and accurate answer.

Early engagement means that organizations partner with VOADs before disasters occur, allowing them to prepare and plan together. Frequent communication helps to maintain a strong relationship and enables effective collaboration during disaster response and recovery efforts. Agreed mutual expectations refer to establishing clear goals, roles, and responsibilities for each partner, which can be reflected in a formal agreement or contract.

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the epbo for a particular employee on january 1, 2024, was $149,000. the apbo at the beginning of the year was $29,800. the appropriate discount rate for this postretirement plan is 4%. the employee is expected to serve the company for a total of 25 years with 5 of those years already served as of january 1, 2024. what is the apbo on december 31, 2024?

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The APBO on December 31, 2024, is $36,952. APBO can be calculated by  the annual service cost, interest cost and calculate the APBO on December 31, 2024.

The remaining service years for the employee is 20 years, as they are expected to serve the company for a total of 25 years and have already served 5 years as of January 1, 2024.

Divide the EPBO by the total service years to calculate the annual service cost. In this case, the EPBO is $149,000 and the total service years are 25.

Therefore, the annual service cost is $149,000 / 25 = $5,960.

Multiply the APBO at the beginning of the year by the appropriate discount rate to get the interest cost.

In this case, the APBO at the beginning of the year is $29,800, and the discount rate is 4%.

So, the interest cost is $29,800 * 0.04 = $1,192.

Add the annual service cost and the interest cost to the APBO at the beginning of the year to calculate the APBO on December 31, 2024.

In this case, the APBO at the beginning of the year is $29,800, the annual service cost is $5,960, and the interest cost is $1,192.

Therefore, the APBO on December 31, 2024, is $29,800 + $5,960 + $1,192 = $36,952.

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for the 2021 tax year, sally, who is single, reported the following items of income: interest income $600 wages $4,100 earnings from self-employment $3,000 she maintains a household for herself and her 1-year-old son who qualifies as her dependent. what is the earned income credit available to her for 2021, using the tables? a.$2,423 b.$1,369 c.$529 d.$503 e.none of these choices are correct.

Answers

The earned income credit available to her for 2021, using the tables will be $1,369. Option B is correct.

To calculate the Earned Income Credit (EIC) for Sally, we need to use the EIC tables given by IRS. However, we also need to make sure that Sally meets all the eligibility requirements for the EIC, including having earned income within certain limits and not having investment income over a certain amount.

Based on the information provided, Sally's earned income for 2021 is $4,100 (wages) + $3,000 (self-employment earnings) = $7,100. This is within the earned income limits for the EIC for a single filer with one qualifying child.

To find the EIC amount, we need to refer to the EIC tables provided by the IRS. Using the tables for single filers with one qualifying child for the 2021 tax year, we can find that the EIC amount for someone with earned income of $7,100 is $1,369.

Hence, B. is the correct option.

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under absorption costing, how much fixed manufacturing overhead cost is included in the company's inventory at the end of last year?

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Under absorption costing, the fixed manufacturing overhead cost included in Ida Sidha Karya Company's inventory at the end of last year is $6,000.

To calculate the fixed manufacturing overhead cost included in inventory, we need to use the formula: Fixed manufacturing overhead cost per unit x Units in ending inventory.

The fixed manufacturing overhead cost per unit is calculated as follows:

Fixed manufacturing overhead cost ÷ Units produced

Thus:

= $60,000 ÷ 250 units = $240 per unit.

Then, we can calculate the fixed manufacturing overhead cost deferred in inventory by multiplying the fixed manufacturing overhead cost per unit by the units in ending inventory:

= $240 per unit x 25 units in ending inventory= $6,000.

Therefore, $6,000 is included in Ida Sidha Karya Company's inventory under absorption costing.

The complete question:

Ida Sidha Karya Company is a family-owned company located in the village of Gianyar on the island of Bali in Indonesia. The company produces a handcrafted Balinese musical instrument called a gamelan that is similar to a xylophone. The gamelans are sold for $850. Selected data for the company's operations last year follow:

Units in beginning inventory 0Units produced 250Units sold 225Units in ending inventory 25Variable costs per unit: Direct materials$100Direct labor$320Variable manufacturing overhead$40Variable selling and administrative$20Fixed costs: Fixed manufacturing overhead$60,000Fixed selling and administrative$20,000

The absorption costing income statement prepared by the company's accountant for last year appears below:

Sales$191,250Cost of goods sold 157,500Gross margin 33,750Selling and administrative expense 24,500Net operating income$9,250

Required:

Under absorption costing, how much fixed manufacturing overhead cost is included in the company's inventory at the end of last year?

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the creation across the supply chain and its markets of a coordinated flow of demand is the definition of

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The creation across the supply chain and its markets of a coordinated flow of demand is the definition of demand planning.

It involves coordinating and managing demand across the supply chain and its markets, helping businesses adapt to market changes and optimize capital, money, and resources while maintaining accurate accounting practices.

What is demand planning?

Demand planning is a business process that involves forecasting, planning, and managing demand for a company's products or services. It refers to the process of identifying and predicting consumer demand for a company's goods or services and then aligning production, inventory, and supply chain activities to satisfy that demand.

Demand planning is critical in ensuring that companies can meet customer needs while reducing waste and inefficiencies in the supply chain. It also assists companies in making decisions about the amount of capital to allocate to inventory, manufacturing, and other activities.

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in a dealer market, the broker takes the trade through the dealer, who participates in trades as a principal by buying and selling the security for his own account true false

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True. In a dealer market, the broker facilitates trades between buyers and sellers by taking the trade through a dealer who participates in trades as a principal.

This means that the dealer buys and sells securities for their own account and takes on the risk of holding those securities until they can be sold to another buyer. The dealer earns a profit by buying low and selling high, which is known as the bid-ask spread. The broker earns a commission on the trade.

A dealer market is a type of financial market where participants, known as dealers or market makers, buy and sell securities for their own account. In a dealer market, the dealers act as intermediaries between buyers and sellers, providing liquidity to the market by buying securities from sellers and selling them to buyers.

Unlike an auction market, where buyers and sellers trade with each other through a centralized exchange, in a dealer market, buyers and sellers trade through dealers who hold an inventory of securities and are willing to buy and sell at quoted prices. The prices quoted by dealers include a bid price (the price at which the dealer is willing to buy a security) and an ask price (the price at which the dealer is willing to sell a security).

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tom and lily, who are married filing jointly, reported a standard deduction of $25,100 on their 2021 tax return. they paid $500 to the state for income taxes in 2021. in 2022, they received a $125 refund of state taxes paid in 2021. what is the amount that tom and lily need to report on their 2022 tax return?

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Tom and Lily need to report $375 on their 2022 tax return. A tax return is an official document that includes a taxpayer's income, deductions, and tax obligations for a given financial year.

It also includes any overpayments or underpayments of taxes from the previous year. The government uses tax returns to calculate the amount of taxes owed or the refund amount owed to the taxpayer. A married couple Tom and Lily, filed their tax return jointly, with a standard deduction of $25,100 for the year 2021. In 2021, they paid $500 in state income taxes.

In 2022, they received a $125 refund for the state taxes they paid in 2021.The amount that Tom and Lily need to report on their 2022 tax return can be calculated as follows:

Total amount paid for state income tax in 2021 = $500 Amount of refund received in 2022 for state income tax paid in 2021 = $125 Amount to be reported on the 2022 tax return = $500 - $125= $375Therefore, Tom and Lily need to report $375 on their 2022 tax return.

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competitive advantages are normally the result of superiority in one of three areas. which of the following is one of them? a. markets b. products c. profits d. resources e. revenues

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Competitive advantages are normally the result of superiority in one of three areas. Such an area is d. resources

Superior performance in one or more of the three categories of resources, skills, and marketplace usually leads to competitive advantages. Resources allude to the material and immaterial assets that a firm has, such as its assets, cash resources, etc. Firm with more resources may be able to create and sell better goods, provide better customer service, or make greater investments in Research and development.

The capacity of the business to carry out particular duties or responsibilities, such as design, production, marketing, or customer support, is referred to as its capabilities. Firms can create goods of a higher calibre and run more smoothly. Market position, like market share, brand reputation, or client loyalty, relates to firm's place within its sector or market. Strong market positions may enable businesses to command higher rates, draw in more clients, or outperform rivals more successfully.

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how much should you pay for a share of stock that offers a constant growth rate of 10%, requires a 16% rate of return, and is expected to sell for $75.17 one year from now?

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You should pay $125.28 for a share of stock that offers a constant growth rate of 10%, requires a 16% rate of return, and is expected to sell for $75.17 one year from now.

To determine how much you should pay for a share of stock that offers a constant growth rate of 10%, requires a 16% rate of return, and is expected to sell for $75.17 one year from now, you can use the Dividend Discount Model (DDM). The DDM calculates the value of a stock based on the present value of future dividends. Determine the expected dividend payment one year from now (D1). Since the stock price is expected to be $75.17 and the growth rate is 10%, we can find the dividend payment by multiplying the stock price by the growth rate: D1 = $75.17 * 10% = $7.517.
Calculate the required rate of return (k) as a decimal. The required rate of return is given as 16%, so convert it to a decimal by dividing it by 100: k = 16% / 100 = 0.16. Calculate the stock price (P0) using the DDM formula: P0 = D1 / (k - g), where D1 is the expected dividend payment one year from now, k is the required rate of return, and g is the constant growth rate. In this case, P0 = $7.517 / (0.16 - 0.10) = $7.517 / 0.06 = $125.2833.

So, you should pay $125.28 for a share of stock that offers a constant growth rate of 10%, requires a 16% rate of return, and is expected to sell for $75.17 one year from now.

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quantitative problem: potter industries has a bond issue outstanding with a 6% coupon rate with semiannual payments of $30, and a 10-year maturity. the par value of the bond is $1,000. if the going annual interest rate is 7.4%, what is the value of the bond? round your answer to the nearest cent. do not round intermediate calculations. $

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The value of the bond is $568.56 (rounded to the nearest cent).

To calculate the value of the bond, we need to find the present value of the future cash flows (semiannual coupon payments and the final payment of $1,000) discounted at the current market rate of 7.4%.

First, we need to calculate the number of periods (N) for the bond, which is 2 * 10 = 20 (since there are two semiannual payments per year for 10 years).

Next, we can use the following formula to calculate the present value (PV) of the bond:

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

where:

C = semiannual coupon payment = $30

r = market interest rate per period = 7.4% / 2 = 0.037

N = number of periods = 20

FV = final payment at maturity = $1,000

Plugging in the values, we get:

PV = $30 * [(1 - (1 + 0.037)^-20) / 0.037] + $1,000 / (1 + 0.037)^20

PV = $568.56

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what will be the value of pay after the following statements are executed? group of answer choices 400.00 450.00 465.00

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The value of pay will be 475.00. So, the correct answer is C).

The variable "hours" is assigned the value of 45. The variable "payRate" is assigned the value of 10.00. The expression "hours <= 40 ? hours * payRate : 40)" evaluates to 40 * 10.00 since hours is greater than 40.

The variable "pay" is assigned the value of 400.00. The variable "payRate" is then reassigned the value of 1.5. The expression "40 * payRate + (hours - 40) * payRate * 1.5" evaluates to 40 * 1.5 + (45 - 40) * 1.5 * 1.5, which simplifies to 60.00 + 16.875.

The variable "pay" is then reassigned the value of 76.875, which rounds to 475.00. So, the correct option is C).

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--The given question is incomplete, the complete question is given

" What will be the value of pay after the following statements are executed? int hours 45; double pay, payRate 10.00; pay hours <= 40 ? hours * payRate : 40) payRate 1.5; 40 * payRate + (hours

450.00 400.00 475.00 465.00"--

a manufacturer, whose marr is 9%, is considering two alternative plant layouts, a1 and a2. the first cost represent the expenses of rearranging the current layout to the alternative new layout and the annual savings represent the reduction in the production costs of the new layout compared to the current layout. using the internal rate of return as the decision criterion, what course of action do you recommend? year a1 a2 first cost 0 $100,000 $140,000 annual savings 1 to infinity $11,000 $15,000 group of answer choices select alt a1 because its rate of return, 11.00%, is higher than the marr select alt a2 because it generates more savings in each year. select alt a2 because its rate of return, 10.71%, is higher than the marr select alt a2 because it is the more expensive option and the incremental rate of return, 10.00%, is higher than the marr

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Based on the IRR analysis, the recommended course of action would be to select alternative A2 because it generates more savings in each year, even though its IRR is slightly lower than the MARR.

For alternative A1, Using a financial calculator or spreadsheet program, the IRR is calculated to be 11.00%. Which is higher than the manufacturer's minimum acceptable rate of return (MARR) of 9%.

For alternative A2, the IRR for alternative A2 is calculated to be 10.71%. Since the IRR for alternative A1 is higher than the MARR, it can be considered a financially feasible option.

However, alternative A2 generates more annual savings, so it may be more attractive to the manufacturer in the long run.

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Business at korey’s comics has been good, and korey expects the same business next month. however, due to an increase in business, korey has made the decision to bring on an extra hand to help run the store in the afternoons. the new employee will make $435 per month. how does this change affect korey’s monthly net income? a. korey’s monthly net income will be $435. b. korey’s monthly net income will increase by $435. c. korey’s monthly net income will decrease by $435. d. korey’s monthly net income will not be affected by the change.

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The correct option is d.

If business has been good and Korey expects the same level of business next month, then bringing on an extra hand to help run the store in the afternoons should enable the store to serve more customers and increase sales.

As long as the increase in sales revenue generated by the additional employee is greater than $435 per month, Korey's monthly net income will not be affected by the change.

However, if the additional employee does not generate enough additional revenue to cover their salary, then Korey's monthly net income would decrease by the amount of the additional expense, which is $435 per month in this case.

Therefore, The correct option is d.

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geraldo often would rather go fishing than work his business. geraldo lacks: a. tolerance of risk. b. commitment. c. leadership. d. creativity.

Answers

Answer:

b) commitment

Explanation:

As his behaviors shows that he is not going to work but going to fishing means he has lack of commitment towards his company

Employee commitment is an emotional bond with and participation in a company. Employee commitment is a connection between the employee and the organisation that makes the person desire to keep working for and with the organisation to meet its goals.

Geraldo lacks commitment. Geraldo lacks commitment when he would rather go fishing than work his business.

What is commitment?Commitment is the state of being committed to a cause or activity. It is the pledge or assurance that one will follow through on a promise or duty.What does the statement suggest?Geraldo often prefers fishing over working his business, indicating that he is not dedicated to his business; thus, he lacks commitment. Geraldo lacks the focus and devotion necessary to achieve success in his business since he would rather do something else, implying that he is not committed to the company.

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before closing, who is generally responsible for completing the loan application, ordering a home inspection, and securing homeowners insurance?

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Before closing, the homebuyer will be generally responsible for completing the loan application, ordering a home inspection, and the securing homeowners insurance.

A homebuyer is a person or entity who is looking to purchase a residential property, such as a house or a condo, with the intention of living in it or renting it out for income. The homebuyer typically conducts research on properties available in the market, arranges financing for the purchase, and works with a real estate agent or broker to complete the transaction.

The homebuyer may also be responsible for completing the loan application, ordering a home inspection, and securing homeowners insurance before the purchase is finalized.

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a. what is the total cost for the survivors receiving treatment a? b. what is the total cost for survivors receiving treatment b? c. what is the expected cost for those patients receiving treatment a? d. treatment b? e. calculate the incremental cost and incremental benefit of the treatment alternatives. f. what is the icer? g. how does cost-benefit analysis differ from cost-effectiveness analysis?

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(a) The total cost for survivors and non-survivors receiving Treatment A is $34,000 and $10,000 respectively. The expected total cost is $33,520.

(a) The total cost for survivors and non-survivors receiving Treatment B is $8,500 and $3,000 respectively. The expected total cost is $8,225.

(c) The expected benefit for Treatment A and Treatment B is 19.6 years and 9.5 years respectively.

(d) The ICER is $2,506.93 per year.

(e) Cost-benefit analysis measures the costs and the outcomes of interventions in monetary terms while cost-effectiveness analysis measures the costs in monetary terms but the outcomes in non-monetary units.

(a) The total cost for survivors and non-survivors receiving Treatment A is as follows:

Total cost for survivors:

$10,000 (initial) + $5,000 (year 1) + $1,000 x 19 (subsequent years) = $10,000 + $5,000 + $19,000 = $34,000

Total cost for non-survivors:

$10,000 (initial)

Expected total cost:

(98% x $34,000) + (2% x $10,000) = $33,320 + $200 = $33,520

(b) The total cost for survivors and non-survivors receiving Treatment B is as follows:

Total cost for survivors:

$3,000 (initial) + $1,000 (year 1) + $500 x 9 (subsequent years) = $3,000 + $1,000 + $4,500 = $8,500

Total cost for non-survivors:

$3,000 (initial)

Expected total cost:

(95% x $8,500) + (5% x $3,000) = $8,075 + $150 = $8,225

(c) The expected benefit for Treatment A and Treatment B is as follows:

Expected benefit for Treatment A: (98% x 20 years) = 19.6 years

Expected benefit for Treatment B: (95% x 10 years) = 9.5 years

(d) The ICER is calculated as follows:

ICER = (Expected cost of Treatment A - Expected cost of Treatment B) / (Expected benefit of Treatment A - Expected benefit of Treatment B)

= ($33,520 - $8,225) / (19.6 years - 9.5 years)

= $25,295 / 10.1 years

= $2,506.93 per year

(e) Difference between cost-benefit analysis (CBA) and cost-effectiveness analysis (CEA) is as follows:

Cost-benefit analysis (CBA) differs from cost-effectiveness analysis (CEA) in that CBA measures both the costs and the outcomes of interventions in monetary terms, whereas CEA measures the costs in monetary terms but measures the outcomes in non-monetary units, such as years of life gained or disability-adjusted life years.

Note: The question is incomplete. The complete question probably is: The following information has been gathered on the costs and effectiveness of two treatments.

                    Treatment A Treatment B

Mortality rate 2% 5%

Life expectancy for survivors 20 years 10 years

Initial treatment cost $10,000 $3,000

Follow-up costs, year 1 $5,000 $1,000

Annual follow-up cost, subsequent years $1,000 $500

(a) What is the total cost for survivors receiving treatment A? For non-survivors? What is the expected total cost of treatment A? (b) What is the total cost for survivors receiving treatment B? For non-survivors? What is the expected total cost of treatment B? (c) What is the expected benefit for treatment A? For treatment B? (d) Calculate the ICER. (e). how does cost-benefit analysis differ from cost-effectiveness analysis?

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