the internal revenue service (irs) provides a toll-free help line for taxpayers to call in and get answers to questions as they prepare their tax returns. in recent years, the irs has been inundated with taxpayer calls and has redesigned its phone service as well as posted answers to frequently asked questions on its website. according to a report by a taxpayer advocate, callers using the new system can expect to wait on hold for an unreasonably long time of 12 minutes before being able to talk to an irs employee. you suspect that the report is too pessimistic and that the new phone service is in fact more efficient. the hypothesis test is:

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Answer 1

The null hypothesis is H0: The new phone service's mean delay time is less than 12 minutes. (µ ≥ 12) H1, the alternative theory, states that the new phone service's mean wait time is less than 12 minutes.

(µ < 12) Level of significance: 0.05 Z = x - / / / n is the test measure that is employed. Given that n=50, x=10, and =8 Z = 10 - 12 / 8 / 50 = -1.767766953 is the result. A statistical hypothesis known as a null hypothesis asserts that no statistical significance can be found in a set of provided data. Using sample data, hypothesis testing is used to judge a theory' veracity. The null hypothesis states that there is no underlying causal connection and that any experimentally observed difference is solely due to chance.

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Related Questions

suppose the earnings per share of a stock is $2 and the current price/earnings (p/e) ratio is 10. what is the current price of the stock? group of answer choices $8 $40 $5 $35 $20

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The stock's EPS is $2 and the P/E ratio is 10. Therefore, the current market price of the stock by multiplying the EPS by the P/E ratio is $20. Here option E is the correct answer.

To determine a stock's price/earnings ratio, divide its present market price by its profits per share. (EPS). In this instance, the stock's EPS is $2, and its P/E ratio is 10. As a result, the stock's present market price can be determined by dividing the EPS by the P/E ratio: $2 x 10 = $20. The right response is therefore E + $20.

The P/E ratio is a valuation metric that contrasts the price at which a company is currently trading with its profits per share. Investors frequently use it to assess whether a company is overvalued or cheap. When the P/E ratio is high, it may be a sign that the company is overpriced, while a low P/E ratio may

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Complete question:

Suppose the earnings per share of a stock is $2 and the current price/earnings (p/e) ratio is 10. what is the current price of the stock? group of answer choices

A - $8

B - $40

C - $5

D - $35

E - $20

in an industry, the threat of entry is high when technological know-how is industry specific. expected returns are low. switching costs are high. capital requirements are low.

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In an industry, the threat of entry is high when capital requirements are low. Therefore, the correct option is A.

When capital requirements are low, the threat of entry in an industry becomes high. This means that it is easy for new firms to enter the market since they do not require a lot of capital to get started. This can lead to increased competition and lower profits for existing firms.

Switching costs being high would actually deter new firms from entering the market since it would be difficult for them to convince customers to switch from existing products or services. Technological know-how being industry specific would also be a barrier to entry since new firms would need to invest in developing the necessary expertise to compete.  Finally, expected returns being high would actually make the industry more attractive to potential entrants, rather than acting as a barrier to entry.

Hence, the correct option is A i.e. the the threat of entry increases when capital requirement decreases.

Note: The question is incomplete. The complete question probably is: In an industry, the threat of entry is high when A. capital requirements are low. B. switching costs are high. C. technological know-how is industry specific. D. expected returns are high.

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for randolph company, the following information is available: investments in corporate bonds $560,000 copyrights 190,000 long-term receivables 210,000 in randolph's balance sheet, intangible assets should be reported at:

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In Randolph's balance sheet, intangible assets should be reported at $190,000. Therefore, the correct option is D.

Intangible assets are defined as the identifiable, non-monetary assets that don't have any physical substance. These assets may include things like goodwill, patents, copyrights, and trademarks. They can be acquired by purchase, license, or in some cases, through internal development.

To determine the intangible assets reported at Randolph Company balance sheet is as follows:

1. Identify the intangible assets:

In this case, the intangible asset is copyrights, which is worth $190,000.

2. Ignore other assets:

Investments in corporate bonds ($560,000) and long-term receivables ($210,000) are not intangible assets, so they are not included in the calculation.

3. Report intangible assets:

On Randolph's balance sheet, the intangible assets (copyrights) should be reported at $190,000. Hence, the correct answer is option D.

Note: The question is incomplete. The complete question probably is: For Randolph Company, the following information is available: Investments in corporate bonds $560,000 Copyrights 190,000 Long-term receivables 210,000 In Randolph's balance sheet, intangible assets should be reported at A. $770,000. B. $800,000 C. $210,000. D. $190,000.

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liz edwards is a sales associate for a major retailer of high-quality cooking supplies, housewares, and furniture. she is paid an hourly wage, plus she gets an additional sum of money that is a percentage of the dollar sales of all the sales associates combined during the hours that she works. liz is working under a(n) compensation plan.

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If Liz gets an additional sum of money that is a percentage of the dollar sales of all the sales associates combined during the hours that she works. Liz is working under an combination compensation plan.

The Liz's compensation-plan includes both an hourly wage and a percentage of the dollar sales of all the sales associates combined during the hours that she works. This means that her compensation plan is a combination of both an hourly and commission-based pay structure.

A pure hourly compensation plan would pay employees a fixed amount per hour worked, regardless of the amount of sales generated.

A pure commission-based compensation plan would pay employees a percentage of the sales generated, with no fixed hourly wage.

Therefore, As Liz's compensation plan includes both an hourly wage and a percentage of sales, it is classified as a combination compensation plan.

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The given question is incomplete, the complete question is

Liz Edwards is a sales associate for a major retailer of high-quality cooking supplies, housewares, and furniture. she is paid an hourly wage, plus she gets an additional sum of money that is a percentage of the dollar sales of all the sales associates combined during the hours that she works. Liz is working under an _____ compensation plan.

if a monopolist is producing a level of output where mr exceeds mc, then it should group of answer choices increase its output. raise its price. lower its output. shift its marginal cost curve upward.

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If a monopolist is producing a level of output where MR exceeds MC, then it should "increase its output" (option A) .

A monopolist is a single seller of a particular commodity or service. As a result, a monopolist has complete control over the pricing and supply of that commodity or service, and he is the sole decision-maker. Furthermore, a monopolist has complete control over the output, price, and supply of the product or service they sell.

The marginal revenue (MR) and marginal cost (MC) of a company are two crucial financial metrics that help a firm in making financial decisions. Marginal revenue (MR) is the incremental revenue that comes from selling one extra unit of a product or service. Marginal cost (MC) is the incremental cost that comes from producing one additional unit of a product or service. Marginal cost helps firms determine whether or not to increase their production levels based on the costs they incur at each level.

If a monopolist is producing a level of output where MR exceeds MC, then it should increase its output. This is because MR is the incremental revenue from selling one additional unit of a product, while MC is the incremental cost of producing one additional unit of that product. As a result, if MR is higher than MC, the firm should expand production to generate more revenue at a lower cost.

The correct answer is option A.

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ads that appear on store floors, gas pumps, washrooms stalls, elevator walls, park benches, and telephones are examples of

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Ambient advertisements include those that show up on cellphones, park seats, gas stations, restroom stalls, elevator walls, and shop floors.

Ambient advertising involves putting advertisements on peculiar items or in peculiar locations where you wouldn't typically anticipate seeing an advertisement. Because ambient advertising leaves a lasting impression on customers' thoughts, it has become a more popular idea. Ambient advertising is all about creativity and how well the marketer can persuade customers of their message. Ambient advertising refers to positioning the advertisement in unexpected or unorthodox locations where you wouldn't anticipate seeing one. Ambient advertising can be used independently or in conjunction with more conventional forms of promotion.

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ads that appear on store floors, gas pumps, washrooms stalls, elevator walls, park benches, and telephones are examples of_______ advertisement

a current account deficit implies that group of answer choices the financial account is negative. the financial account is in surplus. exports of goods and services exceed imports of goods and services. secondary income is positive.

Answers

A current account deficit implies that the exports of goods and services are less than the imports of goods and services. The other answer choices are not correct in the given context.

What is a Current Account Deficit?

A current account deficit refers to the situation where the value of a country's imports of goods and services surpasses the value of its exports of goods and services during a specified time frame. It's also known as a balance of trade deficit.

To finance the current account deficit, a country must borrow from foreign sources, increase exports, or reduce imports.Besides, a country's current account balance is one of three significant components of its balance of payments.

The other two are the capital account and the financial account. The balance of payments is a financial statement that summarizes all monetary transactions between a country and the rest of the world.

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assume that whee, cheatham, and howe is an auditing firm that has found that its summer interns are subject to a 90 percent learning curve for one of its important tasks, proofreading financial statements. for one of its interns, kim down, the firm has started to analyze the relation between time and financial statement proofreading. financial statements proofread (x)time required to proofread the xth financial statement 12.0 hours 21.8 hours 4? 8? 16? required: a. compute the time required to proofread 4, 8, and 16 financial statements. b. assume that kim's labor time costs $20 per hour. compare the cost of proofreading the 1st financial statement to the cost of proofreading the 16th financial statement. what is the percentage of the cost of proofreading the 16th financial statement to the cost of proofreading the 1st financial statement?

Answers

The time required to proofread the 4, 8, and 16 financial statements are 9.15 hours, 6.91 hours, and 5.22 hours and the percentage of the cost of proofreading is  43.5%.

 a. Tn =[tex]a*n^{b}[/tex]

a = 12 hours (time required for the first unit)

b = log(0.9) / log(2) = -0.152 (learning curve rate)

Therefore, the time required to proofread the 4, 8, and 16 financial statements are 9.15 hours, 6.91 hours, and 5.22 hours, respectively.

b. Cost1 = 12 * $20 = $240

Cost16 = 5.22 * $20 = $104.4

thus, the percentage of the cost of proofreading the 16th financial statement to the cost of proofreading the 1st financial statement is:

(104.4 / 240) * 100% = 43.5%

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all of the following are ways a country may use ifrs except: group of answer choices a country may permit foreign companies listed on a foreign stock exchange to use foreign gaap. a country may require foreign companies listed on its domestic stock exchange to use ifrs. a country may adopt ifrs as its national gaap. a country may require companies listed on its domestic stock exchange to use ifrs in preparing consolidated financial statements. a country may permit companies listed on its domestic stock exchange to use ifrs.

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The answer is a country may permit foreign companies listed on a foreign stock exchange to use foreign gaap. With the exception of allowing international companies registered on a foreign stock exchange to use foreign gaap, a country may apply IFRS.

There is currently no system for recording and disseminating financial information that is widely recognised as adhering to generally accepted accounting principles, or GAAP as they are officially known in the United States.

According to German generally accepted accounting principles, all corporations are required by the German Commercial Code (HGB) to compile annual financial statements that give an accurate and fair view of their net assets, financial condition, and operating results (German GAAP).

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magazine publishers stopped publishing general-interest magazines in favor of specialized magazines on almost every single topic after the advent of television in order to .

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The advent of television in the mid-20th century brought about a significant change in the media landscape.

As people began to spend more time watching television, the market for general-interest magazines began to decline. In order to remain profitable, magazine publishers shifted their focus to specialized magazines that catered to specific interests and hobbies.

By doing so, they were able to capture a niche audience and offer advertisers a more targeted platform to reach consumers. This strategy allowed publishers to stay relevant and competitive in the evolving media landscape while still providing readers with quality content on a range of topics.

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Magazine publishers stopped publishing general-interest magazines in favor of specialized magazines on almost every single topic after the advent of television in order to ________

the transfer of a security between investment categories is accounted for at the a.fair value at the time of the transfer. b.market value at the time of original purchase. c.cost at the time of transfer. d.fair value at the time of the original purchase.

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The transfer of a security between investment categories is accounted for at the  fair value at the time of the transfer. So the correct option is A.

This is because when a security is transferred from one investment category to another, its fair value at the time of the transfer is considered to be the new basis for accounting purposes.  Fair value is the most commonly used valuation method for financial instruments, and it reflects the current market price of the security. Therefore, the fair value at the time of the transfer is the most appropriate measure to determine the accounting treatment for the security in the new investment category.

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proponents of rational expectations believe that: a the economy will have to experience long periods of unemployment during recessions. b the velocity of money does not exist. c monetary policies announced far in advance can still be effective in influencing real output. d changes in ad cause business cycles. e people will not be surprised by systematic monetary and fiscal policies.

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Proponents of rational expectations believe that: people will not be surprised by systematic monetary and fiscal policies. (option e)

Proponents of rational expectations theory believe that individuals form their expectations of future economic events based on all available information, including past experiences, current economic conditions, and public policy.

They assume that people have a good understanding of how monetary and fiscal policies work and that they can anticipate the effects of policy changes on the economy. As a result, they will not be surprised by systematic monetary and fiscal policies.

The other options presented in the question are not consistent with the assumptions of rational expectations theory. For example, option (a) suggests that long periods of unemployment are necessary during recessions, which is not a tenet of rational expectations theory.

Option (b) suggests that the velocity of money does not exist, which is a controversial proposition but not directly related to rational expectations theory.

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which is a key aspect of leninism? responses socialist economic theory socialist economic theory aristocratic social structure aristocratic social structure free market economic principles free market economic principles military control of all social institutions military control of all social institutions

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The key aspect of Leninism is socialist economic theory. Leninism is a political ideology developed by Vladimir Lenin, the leader of the Bolshevik Party in Russia, which later became the Communist Party of the Soviet Union.

One of the central tenets of Leninism is the belief in a socialist economic system, in which the means of production are owned and controlled by the workers or the state, rather than by private individuals or corporations. This is in contrast to capitalist economic systems, in which private ownership and profit are the primary drivers of economic activity.

Other key aspects of Leninism include the belief in the need for a revolutionary vanguard party to lead the working class in the struggle against capitalism and imperialism, the importance of internationalism and solidarity among oppressed peoples and nations, and the use of violence and force to achieve revolutionary aims, if necessary. However, it is important to note that not all socialists or communists subscribe to Leninism, and there are many different interpretations and variations of socialist and communist thought.

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an executory contract is one that has been signed and fully performed. group of answer choices true false

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A contract that has been signed and fully carried out is said to be executory. given statement is False.

An executory contract is a contract that has been signed by the parties involved but has not yet been fully performed. In other words, some or all of the contractual obligations have yet to be fulfilled.

Examples of executory contracts include contracts for the sale of goods or services that have not yet been delivered or rendered, employment contracts that have not yet expired, and rental agreements that are still in effect.

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on average, kim construction receives 72 payments each day with an average value of $343 each. these payments clear the bank in an average of 2.5 days. in addition, it disburses 3.6 checks a day with an average amount of $4,758. these checks clear the bank in two days. what is the average amount of the collection float?

Answers

Based on the provided information, the average amount of the collection float is $61,740.

The float is the difference between the total amount of checks that are outstanding and the total amount of checks that have been cleared by the bank.

To calculate the average amount of the collection float for Kim Construction, follow these steps:

1. Calculate the daily average inflow:

Multiply the number of payments received each day (72) by the average value of each payment ($343).

  Daily average inflow = 72 * $343 = $24,696

2. Calculate the inflow float:

Multiply the daily average inflow ($24,696) by the average number of days for payments to clear the bank (2.5).

  Inflow float = $24,696 * 2.5 = $61,740

Hence, the average amount of the collection float for Kim Construction is $61,740.

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Final answer:

The average amount of the collection float is approximately $9,283.06 per day.

Explanation:

To find the average amount of the collection float, we need to calculate the total value of all the checks and payments and then divide it by the average time it takes for them to clear the bank.

First, we calculate the total value of payments: 72 payments/day * $343/payment = $24,696/day.

Next, we calculate the total value of checks: 3.6 checks/day * $4,758/check = $17,128.8/day.

Now we divide the total value by the average clearing time: ($24,696 + $17,128.8) / (2.5 days + 2 days) = $41,824.8 / 4.5 days ≈ $9,283.06/day.

Therefore, the average amount of the collection float is approximately $9,283.06 per day.

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pays no dividend but is expected to pay its first annual dividend of $4.55 per share exactly 6 years from today. after that, the dividends are expected to grow at 2.8 percent forever. if the required return is 10.6 percent, what is the price of the stock today?

Answers

If the required return is 10.6 percent, the price of the stock today is $39.52.

To determine the price of the stock today, we need to use the dividend discount model (DDM), which values a stock based on the present value of its future dividends.

Using the information provided in the question, we can calculate the expected dividend per share at year 6 as follows:

Expected dividend per share at year 6 = $4.55

To calculate the expected dividend per share at year 7 and beyond, we need to use the constant growth rate formula:

Expected dividend per share at year 7 = Expected dividend per share at year 6 × (1 + growth rate) = $4.55 × (1 + 2.8%) = $4.68

Next, we can calculate the present value of all future dividends using the following formula:

PV = D / (r - g)

Where PV is the present value of all future dividends, D is the expected dividend per share, r is the required return, and g is the expected growth rate.

Plugging in the values from the question, we get:

PV = ($4.55 / (0.106 - 0.028)) × (1 - (1 + 0.028)⁻⁶) = $39.52

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Complete question is:

New Gadgets, Inc., currently pays no dividend but is expected to pay its first annual dividend of $4.55 per share exactly 6 years from today. after that, the dividends are expected to grow at 2.8 percent forever. if the required return is 10.6 percent, what is the price of the stock today?

why is the mlb exempted from the sherman antitrust act? do you think it still makes sense today for the mlb to enjoy broad antitrust immunity? why or why not?

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The MLB is exempted from the Sherman Antitrust Act due to its historic reliance on the Act's labor exemption, but it no longer makes sense for the MLB to enjoy broad antitrust immunity due to its current business practices.

The MLB is exempted from the Sherman Antitrust Act because of a 1922 Supreme Court ruling that determined that the MLB is not an interstate business and therefore does not fall under the Act's jurisdiction. This ruling has been upheld since then and the MLB currently enjoys broad antitrust immunity.

While this ruling may have made sense at the time, it is no longer applicable to the current state of the MLB. The MLB is now a multi-billion dollar industry with a nationwide reach, and it could potentially benefit from increased competition. The MLB's antitrust exemption has allowed it to consolidate power and limit the ability of players to negotiate higher salaries, which could potentially lead to an unfair economic advantage.

In addition, the MLB's antitrust exemption has made it difficult for other sports leagues to compete with it. Other sports leagues have been unable to gain a foothold in the market due to the MLB's entrenched position, leading to a lack of competition and innovation.

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the following are legitimate uses of insurance in a business setting except a funding business continuation agreements (buy/sell). b providing cash to increase company profits. c compensating executives. d funding against financial loss caused by the death of a key employee.

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The legitimate uses of insurance in a business setting include funding business continuation agreements (buy/sell), funding against financial loss caused by the death of a key employee, and compensating executives.

These uses of insurance help to protect the financial stability of the business in the event of unexpected losses or changes in leadership. However, providing cash to increase company profits is not a legitimate use of insurance. Insurance is designed to protect against risk, not to generate profits. Using insurance as a source of cash flow can create a false sense of security and leave the business vulnerable to future risks. It is important for businesses to carefully consider their insurance needs and use insurance policies appropriately to mitigate risk and protect their long-term financial health.

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aep has 4,700,000 shares of common stock outstanding with a market value of $50 per share. net income for the coming year is expected to be $6,600,000. if aep has a two-for-one stock split, what is the eps before the split? round the earnings per share to the nearest cent.

Answers

The EPS before the split will be $0.70 per share.

The current market capitalization of AEP is;

Market capitalization = 4,700,000 shares x $50 per share = $235,000,000

If net income for the coming year is expected to be $6,600,000, then the earnings per share (EPS) before the split is;

EPS = Net Income/Number of Shares = $6,600,000 / 4,700,000 = $1.40 per share

After the two-for-one stock split, the number of shares outstanding will be doubled to 9,400,000 shares. Therefore, the new EPS will be;

EPS = $6,600,000 / 9,400,000 shares = $0.70 per share

Note that the earnings per share is halved after the stock split because there are twice as many shares in circulation, but the total earnings remain the same.

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Which is an example of an accounting related career? A. entrepreneur C. stock broker B. lawyer D. statistician​

Answers

D. a statistician

they collect and analyze a company’s data, and accounting is all about data!

which of the following would indicate a weakness in the company's internal controls? a) clerk 1 opens all of the incoming mail. b) clerk 2 reconciles the accounts payable ledger with the general ledger monthly. c) clerk 3 mails the checks and remittances after they have been signed. d) the treasurer uses a stamp for signing checks.

Answers

The one which indicates the weakness in the company's internal controls is given by option b. Clerk 3 mails the checks and remittances after they have been signed.

It indicate a weakness in the company's internal control as Clerk 3, who posts entered vendor invoices to the accounts payable ledger and mails the checks.

Is able to mail the checks after they have been signed without any additional oversight or verification.

This creates a risk of unauthorized checks being mailed or checks being sent to the wrong vendors, potentially resulting in financial loss to the company.

An effective internal control system would typically require checks and remittances to be reviewed .

And approved by an appropriate individual, such as the treasurer, before they are mailed to ensure proper authorization and accuracy.

This control is lacking in the given scenario, indicating a weakness in the company's internal control procedures.

Other options do not necessarily indicate weaknesses in internal control.

Clerk 1 opening all incoming mail could be a standard procedure.

Clerk 2 reconciling accounts payable ledger with the general ledger monthly is a control measure.

The treasurer using a stamp for signing checks could be a legitimate practice, depending on the company's policies and procedures.

Therefore, weakness in the company's internal control is indicating  by option b.  Clerk 3 mails the checks and remittances after they have been signed.

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The above question is incomplete , the complete question is:

A company employs three accounts payable clerks and one treasurer. Their responsibilities are as follows:

Employee Responsibility

Clerk 1 Reviews vendor invoices for proper signature approval

Clerk 2 Enters vendor invoices into the accounting system and verifies payment terms

Clerk 3 Posts entered vendor invoices to the accounts payable ledger for payment and mails checks

Treasurer Reviews the vendor invoices and signs each check

Which of the following would indicate a weakness in the company's internal control?

a. Clerk 1 opens all of the incoming mail

b. Clerk 3 mails the checks and remittances after they have been signed

c. Clerk 2 reconciles the accounts payable ledger with the general ledger monthly

d. The treasurer uses a stamp for signing checks

consider a us treasury with 270 days to maturity the face value is 100 if the annual yeild is 3.8 percent what is the price

Answers

The price of the US Treasury bill with 270 days to maturity and a face value of $100 with an annual yield of 3.8% is $97.24.

To calculate the price of the Treasury bill, we can use the following formula

Price = Face Value / (1 + Yield x Days to Maturity / 360)

Where

Face Value = $100

Yield = 3.8% = 0.038 (annual yield)

Days to Maturity = 270

Substitute the values in the equation, we get

Price = 100 / (1 + 0.038 x 270 / 360)

Do the arithmetic operation

Price = 100 / 1.0285

Divide the numbers

Price = $97.24

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if a company has 1,656,061 shares outstanding, ebitda of $1,112,595 and debt with a market value of $405,615, what is price per share is implied if comparable companies have an average ev/ebitda ratio of 7.0

Answers

To calculate the implied price per share, we first need to calculate the enterprise value (EV) of the company. The formula for EV is EV = market value of equity + debt - cash.

We are given the debt's market value, but we are not given any information about the company's cash balance or market value of equity. So we cannot calculate EV directly.


Instead, we can use the EV/EBITDA multiple of comparable companies to estimate the company's EV. We are given that comparable companies have an average EV/EBITDA ratio of 7.0. If we multiply the company's EBITDA by 7.0, we get an estimate of its EV.

EV = EBITDA x EV/EBITDA ratio = $1,112,595 x 7.0 = $7,788,165



Now we can calculate the implied price per share. The formula for price per share is price per share = EV / number of shares outstanding. We are given the number of shares outstanding, which is 1,656,061. Dividing the estimated EV by the number of shares outstanding, we get:

Price per share = EV / number of shares outstanding = $7,788,165 / 1,656,061 = $4.70



Therefore, if comparable companies have an average EV/EBITDA ratio of 7.0, the implied price per share of this company is $4.70. It's worth noting that this is only an estimate based on the information given and the assumption that the company is similar to comparable companies.

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suppose you bought a bond with an annual coupon of 5 percent one year ago for $960. the bond sells for $1,020 today. assuming a $1,000 face value, what was your total dollar return on this investment over the past year?

Answers

Your total dollar return on the bond investment over the past year was $110.

To calculate the total dollar return on the bond investment over the past year, we need to consider both the coupon payments received and any capital gain or loss from the change in the bond's market price.

Here are the steps to calculate the total dollar return:

Calculate the annual coupon payment. The bond has a 5% annual coupon rate and a face value of $1,000, so the annual coupon payment is:

Annual coupon payment = Coupon rate x Face value = 5% x $1,000 = $50

Determine the income received from coupon payments. Since you held the bond for one year, you received one coupon payment of $50.

Calculate the capital gain or loss. The bond's market price increased from $960 to $1,020 over the year, which represents a capital gain of $60.

Determine the total dollar return. The total dollar return is the sum of the income received from coupon payments and the capital gain:

Total dollar return = Income from coupon payments + Capital gain = $50 + $60 = $110

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. defining define capitalism. 2. summarizing what are the functions of an economic system? using your notes refer to the graphic organizer at the beginning of this lesson to answer this question. 3. comparing use your notes to describe the differences between a market economy and a command economy. answering the guiding questions 4. explaining how does a traditional economy answer the questions of what, how, and for whom to produce? 5. explaining how does a command economy answer the questions of what, how, and for whom to produce? 6. explaining how does the economic freedom that defines a market economy help answer the questions of what, how, and for whom to produce?

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1)Capitalism is an economic system where individuals own and operate businesses for profit.

2)The three primary questions that an economic system must answer are what to produce, how to produce, and for whom to produce.

3)Market economies are driven by supply and demand, and prices are determined by the market whereas in a command economy, the government controls the production and distribution of goods and services.

4)In a traditional economy, the answers to the three primary questions are based on customs and traditions.

5)In a command economy, the government determines what is produced, how it is produced, and for whom it is produced.

6)The economic freedom that defines a market economy allows individuals to decide what to produce, how to produce it, and for whom to produce it.

1. Defining Capitalism
Capitalism is an economic system where individuals own and operate businesses for profit. It is based on the principles of private ownership and the free market. In this system, the government plays a minimal role in the economy, and the market regulates itself. Capitalism encourages competition and innovation, which leads to economic growth and increased prosperity for those who participate in it.
2. Summarizing the Functions of an Economic System
The economic system's main functions are to allocate resources, produce goods and services, and distribute them among the people. The system's primary goal is to satisfy people's wants and needs while maximizing the use of available resources. The three primary questions that an economic system must answer are what to produce, how to produce, and for whom to produce.
3. Comparing a Market Economy and a Command Economy
Market economies are driven by supply and demand, and prices are determined by the market. The government plays a minimal role in the economy. In contrast, in a command economy, the government controls the production and distribution of goods and services. In this system, the government determines what is produced, how it is produced, and for whom it is produced.
4. In a traditional economy, the answers to the three primary questions are based on customs and traditions. People produce what they have always produced, using the methods they have always used. The goods and services are distributed according to established customs and traditions.
5. In a command economy, the government determines what is produced, how it is produced, and for whom it is produced. The government allocates resources and sets production targets for various industries. The distribution of goods and services is also controlled by the government.
6. The economic freedom that defines a market economy allows individuals to decide what to produce, how to produce it, and for whom to produce it. The market determines prices based on supply and demand, and businesses compete with each other to attract customers. In this way, market economies are efficient at allocating resources and producing goods and services that meet people's wants and needs.

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nielsen's total audience measurement framework has four core pillars. which of the following is not one of the pillars? group of answer choices measuring advertising and content separately. measuring consumer media exposure across platform. creating seamless digital data delivery system providing a ratings for video, audio and text.

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The pillar that is not part of Nielsen's Total Audience Measurement Framework is "creating a seamless digital data delivery system providing ratings for video, audio, and text." (option D).

Nielsen's Total Audience Measurement Framework is a way for people to evaluate the success of media and advertising campaigns. This entails utilizing a multi-platform view of consumer behavior to provide accurate, cross-platform measurement. The framework for Nielsen's Total Audience Measurement is based on four core principles:

Measuring consumer media exposure across platforms.Measuring advertising and content separately.Providing metrics that are comparable and consistent across platforms.Offering tools that enable clients to analyze and understand the data.

Thus, D: "creating a seamless digital data delivery system providing ratings for video, audio, and text" is not a principle of  Nielsen's Total Audience Measurement Framework.

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which operation corresponds to each arrow on the diagram bellow? group of answer choices i. repayment of loan plus interests, ii. loans, iii. withdrawals plus interests, iv. deposits i. deposits, ii. loans, iii. withdrawals plus interests, iv. repayment of loans plus interests i. deposits, ii. withdrawals plus interests, iii. loans, iv. repayment of loans plus interests i. repayment of loan plus interests, ii. withdrawals plus interests, iii. loans, iv. deposits

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The operation corresponds to each arrow on the diagram bellow is given by correct options as,

I. Deposits

II. Loans

III. Repayment of loan plus interests

IV. Withdrawals plus interests

Deposits and Loans are the initial transactions, which correspond to arrows 1 and 2, respectively.

Repayment of loan plus interest is obviously done after the loan is taken by the borrower.

Repayment of loan plus interests is the payment made by the borrower to the lender to settle the debt, and it corresponds to arrow 3.

Withdrawals plus interests refer to the funds withdrawn by the account holder plus the accrued interest, which corresponds to arrow 4.

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which of the following happens during the starting phase of project management? group of answer choices assign tasks. determine completion solve problems. establish team rules. revise budget

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The following happens during the starting phase of project management is c. establish team rules

During the starting phase of project management, the establishment of team rules happens, it is very important to establish clear guidelines for how the team will function, interact, and communicate in order to achieve the goals of the project. The establishment of team rules will help team members to understand how to interact with one another, what is expected of them, and how to resolve conflicts.

The rules should be well-defined and documented, and should cover issues such as communication, decision-making, meeting schedules, and project timelines. Overall, the establishment of team rules is critical to the success of any project management effort, and can help to ensure that everyone is working together effectively and efficiently. The following happens during the starting phase of project management is c. establish team rules.

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pricing is one of the basic functions of a. research and development. b. management information systems. c. finance/accounting. d. production/operations. e. marketing.

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Pricing is one of the basic functions of Marketing. The correct answer is option e.

What is pricing?

Pricing refers to the process of establishing a value for a product or service and then capturing that value by charging customers for it. Pricing may be used as a tactical tool to attract consumers, compensate distributors, or outperform the competition, among other things.Pricing is critical in both the short and long term. In the short term, it affects cash flow, profit, and market share, as well as the company's ability to respond to changes in the market. In the long run, it has an impact on product positioning, brand image, and the company's perceived value proposition.

What is marketing?

Marketing is the process of creating, communicating, and delivering value to customers in a way that satisfies their needs and wants. Marketing seeks to comprehend the needs and wants of customers and to create a product or service that meets those needs in a superior way. Marketing then seeks to communicate this value proposition to customers and deliver it to them in a way that is convenient and cost-effective.

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Numbers per task are as follows: Order Taking Run Time:1 minute per item (or 3 minutes per order) Capacity: 1 item per minute*60=60 items per order Pre-Treatment Run Time: 60 minutes/56.8 items per hour=1.06 minutes per item Capacity: 90 items in 90 minutes with 5 minutes of setup, (90/95 minutes) x 60 minutes/hour = 56.8 items per hour Dry Cleaning Run Time: 5 minutes set up time and 55 minutes run-time per 90 item batch (60/60=1 batch) Capacity: 90 items per hour. Capacity can be increased if consecutive loads are of the same color Pressing Run Time: The pressure can process an item in 2.5 minutes: 60 minutes per hour/2.5 minutes per item=24 items per hour Capacity: 60minutes/2.5minutes per item = 24 x 2= 48 items per hour between the two pressers. Packing Run Time: 0.5 minutes per item or 2 items per minute Capacity: 2 items per minute x 60 minutes = 120 items per hour Customer Pickup & Payment Run Time: 1 minute per item Capacity: 1 minute per item x 60 minutes = 60 items per hour
what is the capacity of the dry-cleaning process as a whole (from order taking to customer pickup and payment) over a 12-hour day?

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The dry-cleaning process capacity is 5040 items in a 12-hour day (from order taking to customer pickup and payment). If it is provided that capacity of each process : Order Taking Capacity = 60 items per order

Now we can calculate the capacity of the dry-cleaning process as a whole over a 12-hour day:1. Order taking capacity = 60 items per order2. Pre-treatment capacity = 56.8 items per hour × 12 hours = 681.6 items3. Dry cleaning capacity = 90 items per hour × 12 hours = 1080 items4.

Pressing capacity = 48 items per hour × 12 hours = 576 items5. Packing capacity = 120 items per hour × 12 hours = 1440 items6. Customer pickup and payment capacity = 60 items per hour × 12 hours = 720 items

Therefore, the total capacity of the dry-cleaning process from order taking to customer pickup and payment over a 12-hour day is: 60+681.6+1080+576+1440+720= 4,557.6 items. The capacity of the dry-cleaning process as a whole over a 12-hour day is 5040 items.

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