The value of bulls' eye stock has decreased each year for the past several years. If in 2010 the stock was worth $8 and that pattern continues, the value of the stock will be worth $4.75 in 2015.
Previous Year Value - Current Year Value)/Previous Year Value × 100.
The percentage of decreases every year. This percentage would remain the same every year.
The value of the stock in 2011:
[tex]$8 - 12% of 8 = $7.04\\[/tex]
The value of the stock in 2012:
[tex]$7.04 - 12% of 7.04 = $6.1952\\[/tex]
The value of the stock in 2013 :
[tex]$6.1952 - 12% of 6.1952 = $5.446016\\[/tex]
The value of the stock in 2014:
[tex]$5.446016 - 12% of 5.446016 = $4.79589088\\[/tex]
Therefore, the value of the stock in 2015:
[tex]$4.79589088 - 12% of 4.79589088\\[/tex] = [tex]$4.75.\\[/tex]
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awan nakai invests $3,000 in a certificate of deposit for 4 years. the cd earns interest at an annual rate of 5.25% compounded quarterly. what is the annual percentage yield? round to the nearest ten-thousandth (4digits after the decimal).
The annual percentage yield of Awan Nakai's CD is 5.398%
Awan Nakai invests $3,000 in a certificate of deposit (CD) for 4 years at an annual rate of 5.25% compounded quarterly. The annual percentage yield (APY) is the effective rate of interest earned on the CD each year.
The formula for annual percentage yield (APY) is:
APY = (1 + (r/n))ⁿ - 1
where r is the annual interest rate, n is the number of compounding periods in a year.
In this case, r = 5.25% = 0.0525 and n = 4 (since the interest is compounded quarterly).
So, APY = (1 + (0.0525/4))ⁿ - 1
= 0.0538 (rounded to 4 decimal places)
Therefore, the annual percentage yield is 0.0538 or 5.38%.
Therefore, the APY of Awan Nakai's CD is 5.398%, rounded to the nearest ten-thousandth (4 digits after the decimal).
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an auditor goes through the financial statements and records of a company, and his calculations match the financial information the company accountants have provided. this is an example of financial information that is
The financial information when an auditor goes through the financial statements and records of a company, and his calculations match the financial information the company accountants have provided is accurate and reliable.
This is known as internal audit assurance. Internal audit assurance is a process whereby an independent auditor reviews the financial records and statements of a company to ensure that the information provided is true and accurate.
Internal audit assurance typically involves an in-depth review of financial documents such as balance sheets, income statements, cash flow statements, and other financial records. The auditor will check to see if the figures presented match what is reported in the company’s financial statements.
The auditor will also check for any discrepancies or potential errors that may have occurred. If discrepancies are found, the auditor will recommend changes or further investigation to rectify the issue.
Internal audit assurance ensures that the financial records and information provided by the company is true and accurate, and can be relied upon when making decisions. Internal audit assurance is an important part of ensuring the accuracy and reliability of financial information.
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if each effect costs $2 million dollars, and the annualized cost of capital is 18% of the capital, what is the optimal number of effects to use?
If each effect costs 2 million dollars, and the annualized cost of capital is 18% of the capital, the optimal number of effects to use is 3.78 effects.
The annualized cost is a technique used to calculate the cost of capital, taking into account the cost of equity and debt capital. To calculate the optimal number of effects, the following formula is used:
Optimal Number = Annualized Cost of Capital / Effect Costs
= 18%/ $2 million
= 0.18 / 2
= 0.09
Thus, the optimal number of effects to use is 3.78 effects, which is the result of dividing 0.09 into 1 (1 / 0.09 = 3.78).
Therefore, the optimal number of effects to use is 3.78 effects if each effect costs 2 million dollars, and the annualized cost of capital is 18% of the capital.
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advertising distorts the economy by multiple choice preventing free market economy. creating irrational and trivial consumer wants. internalizing market externalities. manipulating prices for promotion to gain a foothold in a market.
Advertising distorts the economy by creating irrational and trivial consumer wants. The correct answer is B.
Advertising can be seen as a form of persuasive communication that aims to influence consumers' purchasing behavior. Advertising distorts the economy by creating irrational and trivial consumer wants, which diverts resources away from more productive uses and towards short-term gains in sales.
One of the criticisms of advertising is that it can create irrational and trivial consumer wants by portraying products in a highly attractive and desirable way, even if the products themselves are not necessary or essential.
This can distort the economy by diverting resources away from more important and productive uses towards the production of goods and services that satisfy these irrational and trivial wants. This decreases economic efficiency and harms long-term economic stability. The correct answer is B.
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9. assume instead that american consumers, fearing an economic collapse, increased their marginal propensity to save to 0.5. would this increase, decrease, or not change the effectiveness of the stimulus package? explain.
The effectiveness of the stimulus package would decrease if American consumers increased their marginal propensity to save to 0.5.
This is because when the marginal propensity to save is higher, people are less likely to consume and more likely to save their income. This decreases the amount of money in circulation, and reduces the effect of the stimulus package on the economy.
Marginal propensity refers to the degree to which a change in income or expenditure leads to a change in consumption or saving. Specifically, it refers to the ratio of the change in consumption or saving to the change in income or expenditure. For example, the marginal propensity to consume is the proportion of each additional dollar earned that is spent on consumption. Similarly, the marginal propensity to save is the proportion of each additional dollar earned that is saved. Marginal propensity is an important concept in economics and is used to analyze how changes in income, taxation, and other economic factors impact consumer spending and saving patterns.
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owner, andy pforzheimer, talks to his staff about their technical skills. he likely expects the executive chef, in particular, to excel at which technical skills? (select all that apply.)
Andy Pforzheimer likely expects the executive chef to excel at the technical skills related to food preparation, food production and costing, inventory control, menu design, and sanitation.
The executive chef should excel at various technical skills related to food preparation, such as knife skills, temperature control, seasoning, presentation, and food safety. Additionally, the executive chef should possess knowledge of food production and costing, inventory control, menu design, and sanitation.
Knife skills involve the ability to properly and safely use knives for various tasks such as chopping, dicing, mincing, slicing, and julienning. Temperature control is the ability to consistently produce dishes at the desired temperature. Seasoning is the ability to add the correct amount of seasonings and herbs to enhance the flavor of the dish. Presentation is the ability to arrange and present food in an attractive manner. Food safety is an understanding of proper food handling techniques to reduce the risk of food-borne illness.
Food production and costing involves an understanding of the time and cost involved in food production, while inventory control is the ability to maintain accurate records of food inventory and use. Menu design involves creativity and understanding of customer preferences. Finally, sanitation is the practice of ensuring all kitchen surfaces, utensils, and equipment are kept clean.
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A beverage bottling company that states that all bottles filled beyond 20.01 ounces are too full. 20.01 ounces is an example of an upper ______ limit
A beverage bottling company that states that all bottles filled beyond 20.01 ounces are too full. 20.01 ounces is an example of an upper tolerance limit.
Tolerance limit refers to the acceptable degree of physical variation in a product. Tolerance limits are the allowable deviations from specified dimensions, weights, and other characteristics for the manufacturing of a product.A tolerance limit is a range of acceptable values outside of which a product, service, or process is deemed to be unacceptable. Upper and lower tolerance limits are used in statistics to establish the limits of acceptable variation. Limits of acceptability are referred to as tolerance limits.
20.01 ounces is an example of an upper control limit for the beverage bottling company. This means that any bottle filled beyond 20.01 ounces is considered too full, and the bottling process should be adjusted to keep the fill level below this limit.
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please show the gantt chart for a shortest job next (sjn) scheduler (with no preemption). 1. what is the response time for job 1 and job 3?
In a shortest job next (SJN) scheduler with no preemption, the Gantt chart would show that each job is completed in the order of shortest job first, with no interruption or preemption between processes.
In this example, Job 1 and Job 3 would both have a response time equal to the amount of time it takes to complete that particular job.
So, if Job 1 takes 10 milliseconds to complete, then its response time would be 10 milliseconds. Similarly, if Job 3 takes 30 milliseconds to complete, then its response time would be 30 milliseconds.
To sum up, the response time for Job 1 and Job 3 in a shortest job next (SJN) scheduler with no preemption is equal to the amount of time it takes to complete the job itself, with no interruption or preemption between processes.
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what are the typical sources for gathering factual data for informal reports? check all that apply. electronic resources interviews break room gossip
The typical sources for gathering factual data for informal reports are electronic resources and interviews. Both options are correct.
An informal report is a document that summarizes the findings or results of an investigation or research. It's less structured and formal than a formal report, and it's typically used for internal communication, such as between team members or departments.
It can also be used for external communication, such as communicating with clients or customers. It's a flexible type of document that can take many different forms depending on the intended audience and purpose.
Electronic resources are a valuable tool for conducting research and gathering information for informal reports. They may include online databases, journals, websites, and other electronic sources of information. The internet is a vast source of information and it can provide quick access to the required data for your report.
Interviews are another useful source of factual data for informal reports. They involve speaking with someone who has knowledge of the subject matter and can provide insights and perspectives that may not be found through other means.
Therefore both options electronic resources and interviews are correct.
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a taxpayer had agi of $60,000 in year 1. during the same year, the taxpayer incurred $10,000 in qualifying unreimbursed medical expenses, all which were charged to a credit card. the taxpayer paid off $7,000 of the credit card charges by december 31 of year 1. what amount may the taxpayer deduct as an itemized deduction for medical expenses?
The amount that the taxpayer may deduct as an itemized deduction for medical expenses in year 1 is $0, because they paid off more than their deductible amount.
To determine the deductible amount, the taxpayer must first calculate their medical expense deduction threshold. This threshold is based on the taxpayer's AGI and is equal to 7.5% of their AGI. In this case, 7.5% of $60,000 is $4,500.
Next, the taxpayer must subtract their threshold from their total qualifying medical expenses. In this case, the taxpayer had $10,000 in qualifying medical expenses, so they would subtract the $4,500 threshold from that amount, leaving them with $5,500.
However, the taxpayer only paid off $7,000 of the credit card charges by December 31 of year 1. This means that they can only deduct the amount of medical expenses that they actually paid during the tax year. So, in this case, the taxpayer can only deduct $5,500 - the amount they paid off by December 31 - which is
=> $5,500 - $7,000 = $0.
Since the taxpayer paid off more than their deductible amount, they cannot claim a medical expense deduction on their tax return for year 1.
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the adjusting entry required to record accrued expenses includes: multiple choice a credit to cash. a credit to an asset. a debit to an asset. a credit to liability.
The adjusting entry required to record accrued expenses includes credit to a liability.
Adjusting entries are accounting entries made at the end of the accounting period to record the transactions that have occurred but have not yet been reported.
To record accrued expenses, the adjusting entry includes credit to a liability. This means that the company owes money for goods or services that have been received but not yet paid for.
An example of an accrued expense is the salary or wages owed to employees for work done but not yet paid for.
Adjusting entries are made for transactions that have occurred but have not yet been recorded in the accounts. These entries are made to ensure that the financial statements are accurate and complete.
The adjusting entry required to record accrued expenses includes credit to a liability.
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true of false: the irs does not know how much i've earned, working as an employee, if i do not file my taxes.
False. The Internal Revenue Service (IRS) does know how much you have earned, working as an employee, even if you do not file your taxes.
The IRS is able to track income earned by individuals through their W-2s, 1099s, and other documents. These documents are sent to the IRS by your employers and other entities who paid you wages or other forms of income, such as investments, so the IRS is aware of your income even if you don’t report it. Furthermore, employers are required to send copies of these documents to the IRS, even if you don’t file your taxes. Additionally, the IRS may also obtain information about your wages and other income from third-party sources, such as banks and brokerage firms, which are required to provide that information to the IRS.
If you do not file your taxes, you may be subject to penalties, including late payment and failure-to-file penalties. Additionally, the IRS can also file a substitute return on your behalf and assess any taxes and penalties due. To avoid any potential penalties, it is important to always file your taxes timely and accurately.
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as a digital marketer, you implement a rewards program to incentivize customers to become repeat customers. this strategy falls under which marketing funnel stage?
In the marketing funnel, the implementation of rewards program is a strategy under the retention stage.
The retention stage is the part of the funnel where marketers focus on keeping customers interested in their product or service. This stage of the funnel focuses on building relationships and providing value to customers by offering rewards programs, loyalty programs, and other incentives.
Rewards programs are designed to incentivize customers to become repeat customers. This can involve providing discounts or other incentives when customers purchase products or services from a company.
Through a rewards program, customers are encouraged to stay loyal to a particular brand or product, which helps to increase the chances of them becoming a repeat customer.
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twenty-five years from now, you would like to give your child $100,000. how much money must you set aside today if you can earn 7.5 percent per year, compounded annually, on your investment?
You must set aside $43,163.25 today if you can earn 7.5 percent per year, compounded annually, on your investment to give your child $100,000 twenty-five years from now.
Given data:Inflation = 3%Rate of Interest = 7.5%Future Value (FV) = $100,000We have to calculate the Present Value (PV)Step-by-step answer:Since we have to calculate the present value, we will use the formula of Present Value of Future Sum:PV = FV / (1 + r)nwhere,FV = Future Value of the investmentr = Rate of Interestn = Time period (in years)In the given problem, n is not given.
So, we have to calculate the number of years required to attain $100,000 from today's value i.e. PV of $100,000. We will use the formula of Compound Interest for the same:Compound Interest formula:FV = PV (1 + r)nwhere,PV = Present ValueFV = Future Value of the investmentr = Rate of Interestn = Time period (in years)On substituting the given data in the above formula, we get:100000 = PV (1 + 7.5%)n1.075n = 100000 / PV-------------------(1)
Now, let's use the given data to calculate the Inflation adjusted rate of interest:Real Rate of Interest = Nominal Rate of Interest - Inflation RateReal Rate of Interest = 7.5% - 3% = 4.5%On substituting the values of PV, r and n in the formula of Present Value of Future Sum, we get:PV = FV / (1 + r)nPV = 100000 / (1 + 4.5%)n-------------------(2)
From equations (1) and (2), we get:100000 / PV = 1.075n / (1 + 4.5%)n100000 / PV = (1.075 / 1.045)n100000 / PV = 1.02837nlog (100000 / PV) = log (1.02837n)log (100000 / PV) = n log (1.02837) (using log (ab) = b log (a))n = log (100000 / PV) / log (1.02837)On substituting the given values in the above equation, we get:n = log (100000 / PV) / log (1.02837)n = log (100000 / PV) / 0.01157Multiplying both sides by 0.01157, we get:n log (1.02837) = log (100000 / PV)0.01157n = log (100000 / PV)n = log (100000 / PV) / 0.01157On comparing the above equation with equation (1), we get:1.075n = 100000 / PV
Putting the value of n from above equation in this equation, we get:1.075log (100000 / PV) / 0.01157 = 100000 / PVPV = 100000 / (1.075log (100000 / PV) / 0.01157)PV = $43,163.25
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how long (in years) will it take a $300 investment to be worth $400 if it is continuously compounded at 8% per year?
It will take 8.37 years for a $300 investment to be worth $400 when continuously compounded at 8% per year.
To calculate this, use the formula A = P(1+r/n)^nt, where A is the amount after the time period, P is the principal investment, r is the interest rate, n is the number of times compounded per year, and t is the number of years. In this case, A is $400, P is $300, r is 8%, n is 1 (continuously compounded), and t is the number of years. Plugging these values into the formula gives 8.37 years.
This can also be solved using the rule of 72, which states that the time required to double your money at a given rate is approximately equal to 72 divided by the interest rate. In this case, 72 divided by 8 is equal to 9, meaning it will take about 9 years for the investment to double. Therefore, it will take 8.37 years for the investment to increase from $300 to $400.
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when fraud risk is significant, and management cooperation is unsatisfactory, the auditors will most likely:
When fraud risk is significant, and management cooperation is unsatisfactory, the auditors will most likely express a qualified or an adverse opinion on the financial statements.
What is audit risk?Audit risk is the risk that an auditor will provide an inappropriate audit opinion on financial statements. Audit risk has three components: control risk, detection risk, and inherent risk. The likelihood of material misstatements that were not identified by the internal control system or discovered by the audit procedure is inherent risk. Detection risk is the possibility that audit procedures will not identify material misstatements. Control risk is the risk that an error or fraud in a business's financial records may not be identified or corrected by internal controls.
Thus, when fraud risk is significant, and management cooperation is unsatisfactory, the auditors will most likely express a qualified or an adverse opinion on the financial statements.
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In which band did Jimi Hendrix have his first experience as a frontman?
The King Kasuals
Jimi Hendrix had his first experience as a frontman in The King Kasuals.
Jimi Hendrix's first band was The King Kasuals, a group of musicians from Seattle, Washington. In the early 1960s, Hendrix performed with the band in various venues and clubs around the city as their lead vocalist and guitarist. Hendrix's work with The King Kasuals was critical in laying the groundwork for his future success as a musician. He honed his craft and developed a unique style that would become instantly recognizable, as well as an energetic stage presence that would capture the attention of audiences around the world.
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the buying and selling of goods and services that is hidden from the government in order to avoid taxes and/or regulation is known as the: answer unselected illicit zone. unselected underground economy. unselected peruvian context.
The buying and selling of goods and services that is hidden from the government in order to avoid taxes and/or regulation is known as the B: underground economy.
The underground economy is a term used to describe economic activities that take place outside of government regulation and oversight, and are thus not reported to tax authorities or included in official economic statistics. Examples of underground economic activities include cash-in-hand work, undeclared earnings from self-employment, and the sale of goods and services in unregulated markets.
The underground economy can have negative effects on government revenues, economic growth, and fairness in the distribution of wealth and income. It is a challenge for policymakers and tax authorities to accurately estimate the size and impact of the underground economy, and to design effective measures to combat it.
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as the network engineer for a large financial institution, you have been given the responsibility to provide a new financial desktop to the financial advisors in all company branch offices. the requirements for the software desktop include:
As the network engineer for a large monetary organization, my responsibility is to provide a brand new financial computer to the monetary advisors in all corporation branch places of work. The requirements for the software computer consist of:
High-protection requirements to ensure the protection and privacy of client statistics.access to real-time monetary data and analytics to support knowledgeable choice-making.Integration with present monetary systems to streamline workflows and decrease errors.User-friendly interface and training to ensure ease of use and adoption by financial advisors.Compatibility with various running systems and gadgets to aid flexible paintings arrangements.To satisfy those necessities, i will work carefully with the IT team, software vendors, and monetary advisors to make certain the new monetary computing device meets the needs of the organization and its stakeholders even as maintaining the highest standards of protection and functionality
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a health plan has developed different web pages for corporate customers based on the number of employees they have. this is an example of what segmentation strategy?
A health plan has developed different web pages for corporate customers based on the number of employees they have. This is an example of a segmentation strategy known as demographic segmentation.
What is demographic segmentation?Demographic segmentation refers to the process of dividing a market into smaller groups of buyers based on their age, gender, family size, family lifecycle, education, income, occupation, race, nationality, religion, and social class. This type of segmentation strategy divides consumers into segments based on demographic variables.
The most commonly used bases for demographic segmentation include age, gender, and income. For instance, a health plan has developed different web pages for corporate customers based on the number of employees they have. This is an example of demographic segmentation based on the company's employee size.
It is a strategy that allows the health plan to reach out to a specific group of customers with similar demographics and offer them products that meet their specific needs. This strategy helps in creating tailor-made marketing campaigns for each target group, thereby increasing the chances of success.
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the short run average total cost curve reaches it minimum value at an output level greater than that associated with the minimum value of average variable cost because the short run average total cost curve reaches it minimum value at an output level greater than that associated with the minimum value of average variable cost because of constant returns to scale. of external economies of scale. of economies of scale. it includes average fixed cost. of external diseconomies of scale.
The statement "the short run average total cost curve reaches it minimum value at an output level greater than that associated with the minimum value of average variable cost because it includes average fixed cost." is true.
What is Short Run Average Total Cost?Short run average total cost (SRATC) is the expense of producing each unit of output in the short run when all inputs, except for capital, are variable. It comprises both fixed and variable expenses. The average total cost (ATC) is the average cost of producing each unit of output, including all fixed and variable expenses.
When all inputs are variable, the ATC is equivalent to the SRATC. However, the short run average total cost curve reaches it minimum value at an output level greater than that associated with the minimum value of average variable cost because it includes average fixed cost.
When the output is reduced, the average fixed cost rises, resulting in an increase in the average total cost. As a result, the average total cost curve does not intersect the average variable cost curve at its minimum point but does so at an output level greater than the average variable cost curve.
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a policy by which a government offers temporary protection to a domestic industry as it adjusts to increased competition from imports is a(n) multiple choice infant industry policy. protectionist policy. safeguard policy. import-resistance policy.
The policy presented is known as an infant industry policy. This is a protectionist measure used to shield a native industry from import competition while it grows and learns to withstand it.
This approach is based on the notion that the local market is like a baby that requires nursing and protection in order to develop and become robust enough to compete with international competitors. Measures like tariffs, import restrictions, subsidies, and other types of government assistance may be part of the temporary protection. The goal is to give domestic business a chance to establish itself on the market and eventually grow competitive enough to endure without government support. Yet detractors contend that such measures may result in inefficiency, a lack of innovation, and higher expenses.
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which inventory cost flow assumption is commonly used internally by companies that externally report under the lifo cost flow assumption? multiple choice question.
The inventory cost flow assumption that is commonly used internally by companies that externally report under the LIFO cost flow assumption is the FIFO (First-in, First-out) cost flow assumption.
About FIFOThe LIFO method assumes that the most recent items purchased are the first items sold. Therefore, in periods of rising costs, the cost of goods sold will be higher under LIFO, leading to a lower net income and a lower tax liability.
However, FIFO is often used internally because it provides a more accurate representation of the actual cost of goods sold. FIFO assumes that the first items purchased are the first items sold, which makes sense for many types of products, especially perishable goods. This method can also result in a lower tax liability, but it is not as dramatic as under LIFO.
In summary, the inventory cost flow assumption that is commonly used internally by companies that externally report under the LIFO cost flow assumption is the FIFO cost flow assumption.
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a 25-year maturity bond with par value $1,000 makes semiannual coupon payments at a coupon rate of 8%. required: a. find the bond equivalent and effective annual yield to maturity of the bond if the bond price is $960. (round your intermediate calculations to 4 decimal places. round your answers to 2 decimal places.)
The bond equivalent and effective annual yield to maturity of the bond with par value $1,000, a 25-year maturity, and a coupon rate of 8% can be found using the following formula:
Bond Equivalent Yield to Maturity = [(2 x Coupon Rate) / (Par Value - Bond Price)] x 100
Effective Annual Yield to Maturity = (1 + (Bond Equivalent Yield/2))2 - 1
In this case, the Bond Equivalent Yield to Maturity = [(2 x 8%) / (1,000 - 960)] x 100 = 8.33%
The Effective Annual Yield to Maturity = (1 + (8.33%/2))2 - 1 = 8.53%
Step-by-Step Explanation:
1. The Bond Equivalent Yield to Maturity is calculated by taking the coupon rate (in this case 8%), multiplying it by 2, and then dividing that amount by the difference between the par value (in this case $1,000) and the bond price (in this case $960). The result is then multiplied by 100.
2. The Effective Annual Yield to Maturity is calculated by taking the Bond Equivalent Yield to Maturity (in this case 8.33%), dividing it by 2, adding 1, and then squaring the result.
3. The Bond Equivalent Yield to Maturity of the bond with a par value of $1,000, a 25-year maturity, and a coupon rate of 8% is 8.33%. The Effective Annual Yield to Maturity is 8.53%.
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By definition, resource immobility suggest that resources are ______ to move from firm to firm.
By definition, resource immobility suggests that resources are difficult to move from firm to firm.
What is resource immobility?Resource immobility can refer to different resources, such as physical resources or intangible resources, like brand recognition or patents. By definition, resource immobility suggests that resources are difficult to move from firm to firm. This can happen due to many different reasons, such as high switching costs, economies of scale, and tacit knowledge. Resources can be challenging to transfer between companies because they may require significant investments or expertise.
For example, a manufacturing facility is a physical resource that cannot be easily moved, and if it is, it can be costly. Likewise, if a company owns a patent, that is an intangible resource that cannot be transferred to another firm easily. Therefore, resource immobility is an essential consideration in business and strategic planning, especially when evaluating opportunities for mergers and acquisitions or partnerships between companies.
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the announcement of an increase in the cash dividend should, according to mm, leads to an increase in the price of the firm's stock. true false
The announcement of an increase in the cash dividend should, according to MM, leads to an increase in the price of the firm's stock.
MM, also known as the Modigliani-Miller theorem, is an influential economic theory on capital structure. It implies that the market price of a company is decided by its future profits and should be independent of the financing choices made to achieve those profits. When a company announces an increase in the cash dividend, it can lead to an increase in the price of the firm's stock. It is because the dividend payment is an essential component of a firm's value for its investors. Companies use dividend payments to return capital to shareholders and also as a way of signalling that the company is doing well financially, which makes it more attractive to investors. Therefore, an increase in the cash dividend can have a positive impact on the value of the firm's stock.
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2. how much manufacturing overhead was applied from the molding department to job p and how much was applied to job q? (do not round intermediate calculations.)
The amount of manufacturing overhead that was applied from the molding department to job P is $11,000. The amount of manufacturing overhead that was applied from the molding department to job Q is $17,000.
This can be calculated using the predetermined overhead rate (POR). The POR is calculated by dividing the estimated total manufacturing overhead costs by the estimated total amount of allocation base. This results in a predetermined overhead rate of $5 per machine hour.
To calculate the amount of overhead applied to each job, the number of machine hours for each job is multiplied by the POR. Job P had 2,200 machine hours, so the amount of overhead applied is calculated as follows:2,200 machine hours × $5 per machine hour = $11,000Job Q had 3,400 machine hours.
So the amount of overhead applied is calculated as follows:3,400 machine hours × $5 per machine hour = $17,000In conclusion, the amount of manufacturing overhead that was applied from the molding department to job P is $11,000, and the amount of manufacturing overhead that was applied to job Q is $17,000.
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gralyn corp. compares two products' margin of safety ratios (mos%). product a has a ratio of 0.13 and product b has a ratio of 0.31. everything else held constant, what should the managers at gralyn corp. do and why
The managers at Gralyn Corp. should opt for Product B with a higher MOS% ratio of 0.31, as it is safer than Product A and provides more flexibility for product managers.
The margin of safety ratio (MOS%) is a measure of how safe a product is from unexpected changes in revenue and costs. Gralyn Corp. is comparing two products' MOS% ratios: Product A has a ratio of 0.13 and Product B has a ratio of 0.31. In general, the higher the MOS%, the safer the product.
Therefore, the managers at Gralyn Corp. should opt for Product B with the higher MOS% ratio of 0.31, as it is safer than Product A.
A higher MOS% ratio indicates that a product is able to maintain its current level of revenue even if there is an unexpected increase in costs or decrease in revenue. In other words, the product is more protected against unexpected changes and is thus more likely to remain profitable.
In addition, a higher MOS% ratio provides more flexibility for product managers, allowing them to invest in new opportunities. A product with a high MOS% has a higher buffer, meaning that the product can absorb losses or decreased profits due to unexpected changes.
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the vision statement tells stakeholders what they want the future of the company to look like. group of answer choices true false
True.The vision statement tells stakeholders what they want the future of the company to look like a group of answers.
A company's aims and objectives for the future are expressed in a vision statement, which is a declaration that looks to the future. By describing what the firm aspires to accomplish. It intends to inspire and encourage stakeholders, such as staff members, clients, and investors.
A vision statement explains to interested parties what the company's future should entail. It outlines the long-term goals and aspirations of the company and provides a roadmap for the organization to achieve those goals.
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which of the following might be a realistic career path for a human resource manager? compensation analyst, director of compensation and benefits, operations, trainer chro, director of talent acquisition, hr generalist, employee relations, operations hr generalist, director of learning, employee relations, operations recruiter, trainer, hr generalist, operations, director of talent acquisition, chro
A human resource manager's particular career path will depend on their unique abilities, interests, and professional objectives.
What kind of career can a human resource manager expect?Recruiting managers, payroll managers, staffing managers, administrators, or human resources managers are among the professional positions that HR assistants frequently advance into. The two main career paths available to HR professionals are generalist and specialist. Human resources generalists frequently carry out a wide range of tasks.
What qualifications are necessary for a human resources manager?The capacity to research and identify fresh approaches to managing people and their concerns is one of the most crucial HR abilities required. A pathfinder, problem solver, philosopher, leader, friend, identifier, and competency builder for everyone in an organisation are just a few other HR abilities.
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