Answer:
percentage of total industry sales accounted for by the largest firms in the industry.
Explanation:
The concentration ratio calculated the market share percentage for an industry and the same is held by the larger firms inside the industry. Also it determined the total output that could be generated from the number of firms in the industry
Therefore as per the given options, the above options should be considered correct
Confusion Corp is expected to pay a dividend of $2 in the upcoming year. The risk-free rate of return is 4%, and the expected return on the market portfolio is 14%. The beta of Confusion Corp's stock is 1.25. If Confusion's intrinsic value is $21.00 today, what must be its growth rate
Answer:
6.98
Explanation:
Bad Company, Inc., has a major outlay of $2.05 million that is needed to renovate the company's manufacturing facility. Because the company's management is conservative, it won't undertake the renovation until it has the cash necessary to fund the renovation. The company plans to deposit $155,000 each quarter into an account that will earn 2.05 percent per quarter. How many years will it be until the company has the money saved for the renovation
Answer:
Bad Company
The number of years that it will take for the company to have the money saved for the renovation is:
= 3.2 years (12.793/4).
Explanation:
a) Data and Calculations:
The outlay required for the renovation of the manufacturing facility = $2.05 million
Quarterly deposit into an account = $155,000
The interest earned per quarter on the deposit = 2.05% per quarter
From an online financial calculator, it will take 3.2 years:
I/Y (Interest per year) 2.25
PV (Present Value) 2050000
PMT (Periodic Payment) = $ 155000
FV (Future Value) 0
Results
N = 12.793
Sum of all periodic payments = $1,982,883.80
Total Interest = $67,116.20
explain the function of an office
Answer: An office is a place to preform different activities of a business organization
Explanation:
The office preforms clerical function such as information collection recording and analyzing.
Diane Corporation is preparing its year-end balance sheet. The company records show the following selected amounts at the end of the year:
Total assets $530,000
Total noncurrent assets 306,000
Liabilities:
Notes payable (8%, due in 5 years) 21,000
Accounts payable 54,000
Income taxes payable 15,000
Liability for withholding taxes 1,000
Rent revenue collected in advance 11,000
Bonds payable (due in 15 years) 112,000
Wages payable 11,000
Property taxes payable 7,000
Note payable (10%, due in 6 months) 13,000
Interest payable 700
Common stock 120,000
1-a. What is the amount of current liabilities?1-b. Compute working capital.2. Would your computation be different if the company reported $250,000 worth of contingent liabilities in the notes to its financial statements?
Answer and Explanation:
The computation is shown below;
1-a
Current liabilities:
Acccounts payable $54,000
Income tax payable $15,000
Liability for withholding taxes $1,000
Rent revenue collected in advance $11,000
Wages payable $11,000
Property tax payable $7,000
Note payable $13,000
Interest payable $700
Current liabilities $112,700
1-b
Total assets $530,000
Less: Non Current assets $306,000
Current assets $224,000
Less: Current liabilities - $112,700
Working capital $111,300
2.
In the case when the company reported $250,000 as the contingent liability so it should not be impacted as they are not yet recorded
The government uses taxes and subsidies to guide consumption and production decisions.
a. True
b. False
Answer: True
Explanation:
Tax is the amount of money that's paid by an individual or firm to the government. Subsidies are the funds or other forms of assistance that's given by the government to firms in order to help them increase their production and lower the prices of goods.
Fir example, if the government wants to decrease consumption in the economy, the government can increase tax. On the other hand, the government can increase consumption by reducing tax as people will have money to spend and also more money for production purpose.
stock a has an expected return of 20 and stock b has an expected return of 5. what is the expected return on a portfolio this comprised of 67^ of stock a and 33% stoc k b
Answer:
15.05%
Explanation:
Calculation to determine the expected return on a portfolio
Using this formula
Expected return = (Return on stock A * Percentage invested in stock A) + ( Return on Stock B * Percentage invested in Stock B)
Let plug in the formula
Expected return= (20% * 67%) + (5% * 33%)
Expected return= 13.4% + 1.65%
Expected return= 15.05%
Therefore the expected return on a portfolio is 15.05%
g On January 1, 2019 FirstEnergy Corp issued 19,000 shares of $100 par, 8%, cumulative, preferred stock for $110 per share. No dividends have been paid to preferred or common shareholders. What amount of dividends will a preferred shareholder owning 100 shares receive in 2021 if FirstEnergy pays $1,000,000 in dividends
Answer: $2640
Explanation:
Based in the information given,
Par value of preferred stock = $110
Rate of dividend = 8%
Therefore, the preferred dividend per share will be:
= $110 × 8%
= $110 × 0.08
= $8.80
It should be noted that the cumulative dividend from 2019 to 2021 will be for 3 years. Therefore, the dividend to 100 preferred shareholder in 2021 will be:
= 100 × $8.80 × 3
= $2640
An investment offers $5,700 per year, with the first payment occurring one year from now. The required return is 5 percent. a. What would the value be today if the payments occurred for 10 years
Answer:
The correct answer is "$44,013.89".
Explanation:
Given:
Investment per year,
= $5,700
Required return,
= 5%
As we know,
⇒ [tex]Present \ value=Investment \ per \ year\times Annuity \ factor[/tex]
Or,
⇒ [tex]Annuity \ factor=\frac{1-[\frac{1}{(1+k)}]^n }{k}[/tex]
then,
The present value of 10 annual payment will be:
= [tex]5700\times \frac{1-[\frac{1}{(1+.05)}]^{10} }{.05}[/tex]
= [tex]44013.89[/tex] ($)
The technical and socio-cultural dimensions of project management are two sides of the same coin. Explain
Indeed, the technical and socio-cultural dimensions of project management are two sides of the same coin. This is so because the project management is in charge of administering and managing the human and material resources of a specific project.
Thus, it must organize not only the resources but also the members of the company who are in charge of exploiting those resources and maximizing results.
Therefore, just as a technical face is required to organize resources, a socio-cultural and human approach is required that allows a better functioning of the human resources of the company.
Learn more about project management in https://brainly.com/question/22590420
When an intranet is extended outside the corporate walls to include suppliers, customers, or other external agents, it becomes a(n
Answer:
Extranet
Explanation:
intranet can be regarded as private network which is been contained within an enterprise and it is used to securely share the information if company and computing resources among employees. It can also be utilized in facilitation of working in groups as well as teleconferences.
Extranet can be regarded as controlled private network which give access to partners as well as vendors and suppliers, and authorized set of customers so that they can be a
subset of the information which will be accessible from intranet of the organization. It should be noted that When an intranet is extended outside the corporate walls to include suppliers, customers, or other external agents, it becomes Extranet.
Analyze various impediments to the coordination of strategic implementation that might exist for global businesses, and the positive role knowledge management and systems can play in this regard.
Answer:
Lack of systems thinking ; the knowledge of the complexity of the business and the existing relationships will help improve the coordination of strategic implementation.
Environmental constraints ; Location of business should be top priority by applying established explicit knowledge for the location of businesses
Lack of qualified personnel : . management should ensure to employ the best qualified business managers to curb this challenge and this can be achieved by applying explicit knowledge
Explanation:
Some of the impediments are ;
Lack of systems thinking ; Inability to see the business as a whole and the various relationship between every department in a complex business environment. the knowledge of the complexity of the business and the existing relationships will help improve the coordination of strategic implementation.
Environmental constraints ; the location and surroundings of a global business exerts a lot of influence on the successful coordination; of strategic implementation. Location of business should be top priority by applying established explicit knowledge for the location of businesses
Lack of qualified personnel : unqualified business managers will not appropriately coordinate strategic implementation. management should ensure to employ the best qualified business managers to curb this challenge and this can be achieved by applying explicit knowledge
Charleston Inc. acquired 75% of Savannah Manufacturing on January 4, 2020. During 2020, Charleston sold Savannah $460,000 of goods, which had cost $380,000. Savannah still owned 20% of the goods at the end of the year. In 2021, Charleston sold goods with a cost of $520,000 to Savannah for $700,000, and Savannah still owned 15% of the goods at year-end. What amount of intra-entity gross profit should be deferred in 2021
Answer:
Amount of profit to be deferred = $27,000Explanation:
The intra-entity gross profit that needs to be deferred can be calculated as follows:
In 2021:
The amount of price on goods sold = $700,000
The actual cost price = $520,000
Less: $180,000
Amount of profit to be deferred = Profit × percentage of goods at the year-end (2021)
Amount of profit to be deferred = $180,000 × 15%
Amount of profit to be deferred = $27,000On December 31, 2017, Swan Company sold for $150,000 an old machine having an original cost of $170,000 and a book value of $120,000. The terms of the sale were as follows: $30,000 down payment $60,000 payable on December 31 each of the next two years The agreement of sale made no mention of interest; however, 9% would be a fair rate for this type of transaction. What should be the amount of the notes receivable net of the unamortized discount on December 31, 2017 rounded to the nearest dollar
Answer:
the amount of the notes receivable net of the unamortized discount is $105,546
Explanation:
The computation of the amount of the notes receivable net of the unamortized discount is shown below:
= AMount payable for next two years × present value of an ordinary annuity at 9% for 2 years
= $60,000 × 1.75911
= $105,546
hence, the amount of the notes receivable net of the unamortized discount is $105,546
_____ is a system of marketing by which organizations communicate directly with target customers to generate a response and/or a transaction.
Answer:
Direct marketing
Explanation:
In direct marketing system, companies communicate directly to customers via email, social media, phones and sms. Here, the aim of the company is to generate direct response on a particular transaction from targeted customers.
Direct marketing has been around for a while and has been used to create or know the areas requiring improvement by companies. Hence if a company or an organization aims at getting direct response on a product from targeted customer, direct marketing is often used.
Dallas National Bank had the following activities, traceable costs, and physical flow of driver units: Activities Traceable Costs Physical flow of Driver Units Open new accounts $50,000 1,000 accounts Process deposits 36,000 400,000 deposits Process withdrawals 15,000 200,000 withdrawals Process loan applications 27,000 900 applications The above activities are used by the Memorial branch and the University branch: Memorial University New accounts 200 400 Deposits 40,000 20,000 Withdrawals 15,000 18,000 Loan applications 100 160 Refer to Dallas National Bank. How much of the deposit cost will be assigned to the University branch
Answer:
Dallas National Bank
The deposit cost assigned to the University branch is:
= $1,800.
Explanation:
a) Data and Calculations:
Activities Traceable Costs Physical flow
of Driver Units Rate
Open new accounts $50,000 1,000 accounts $50
Process deposits 36,000 400,000 deposits $0.09
Process withdrawals 15,000 200,000 withdrawals $0.075
Process loan applications 27,000 900 applications $30
Memorial University
New accounts 200 400
Deposits 40,000 20,000
Withdrawals 15,000 18,000
Loan applications 100 160
Deposits cost assigned to the University:
= $1,800 (20,000 * $0.09)
When Joshua's income increases, he purchases more prime-rib dinners than he did before his income increased. For Joshua, prime-rib dinners are Group of answer choices a normal good. an inferior good. an optimal good. a Giffen good.
Answer:
a normal good
Explanation:
A normal good is one that a consumer buys normally and when there is an increase in his income there is an increase in the demand of this good.
The opposite of this is an inferior good whose demand falls sometimes to zero as income increases. Consumers choose other goods to consume as income increases.
In the given instance where Joshua's income increases and he purchases more prime-rib dinners than he did before his income increased, this is a normal good for him.
Suppose an investment offers to triple your money in 24 months (don't believe it). What rate of return per quarter are you being offered
Answer:
30.77%
Explanation:
Assume investment = $1
Assume mount after 24 months = $5
Number of quarters in 24 months = 24/4 = 6
Future value = P*(1+r)^n; Where P is payment, r is interest rate per period, n is number of periods
5000 = 1*(1+i)^6
1*(1+i) = 5^(1/6)
1+i = 1.30766048601
i = 1.30766048601 - 1
i = 0.30766048601
i = 30.77%
So, the rate of return per quarter being offered is 30.77%
NaviCal Inc., a personal navigation system company, has contracted its manufacturing to a firm in Malaysia for five years. NaviCal had high financial growth, and it wants to purchase the manufacturing facility. This market entry method is called ________.
Answer:
Direct foreign investment
Explanation:
Foreign direct investment (FDI) is done in the case when the company controls the ownership in the other country of the business entity
Here the foreign company would be directly linked with the day to day operations that done in the other country this means that here not only the contribution of money matters but also the knowledge, skills, capabilities, techonology is also matter
Therefore the above represent the answer
A monthly payment of X is calculated on a 30 year, 100,000 mortgage at a nominal rate of interest of 9%, convertible monthly. If a payment of one-half of X is made every two weeks, how many years will it take to pay off the mortgage, assuming a year consists of exactly 52 weeks
Answer:
the number of years taken to pay off the mortgage is 22 years
Explanation:
The computation of the number of years taken to pay off the mortgage is as follows;
= NPER (((1 + 9% ÷ 12)^(12 ÷ 26) - 1),0.5 × PMT(9% ÷ 12,12 × 30 ,100,000),100,000)
= 567.398762 biweeks or 21.82302931 years
= 22 years
hence, the number of years taken to pay off the mortgage is 22 years
All other things being equal, consumers tend to prefer dollar savings over percentage savings. larger retail outlets over smaller outlets. external reference prices over internal reference prices. percentage savings over dollar savings. smaller retail outlets over larger outlets.
Answer: larger retail outlets over smaller outlets.
Explanation:
A retail outlet can be refered to as a store or a shop whereby buyers can visit in order to make purchases.
It should be noted that consumers will prefer the larger retail outlets over the smaller outlets. A reason attributed to this is that there are varieties of products that can be chosen by the consumers. Also, the consumers can enjoy discount when they buy in large quantities.
Identify whether each of the following would be reported as an operating, investing, or financing activity on the statement of cash flows: a. Purchase of investments b. Disposal of equipment c. Payment for selling expenses d. Collection of accounts receivable e. Cash sales f. Issuance of bonds payable
Answer:
a. Investing Activities
b. Investing Activities
c. Operating Activities
d. Operating Activities
e. Operating Activities
f. Financing Activities
Explanation:
Operating Activities includes activities in daily operation of the business as in buying and selling with customers and suppliers.
Investing Activities includes the purchase and sell of assets and investments.
Financing Activities includes the raising of capital and debt and repayments to holders.
The impact of taxes on different groups in society varies. Some taxes create a larger burden for poorer people while others create a larger burden for wealthier people. Arrange the tax classifications according to the level of burden placed on poorer people.
Answer:
Progressive places the least burden on poor people
Proportional places the second highest burden
regressive places the most burden
Explanation:
Regressive tax system is a tax system where those that earn lower income pay more tax and those that earn higher income pay less tax.
A proportionate tax taxes everyone the same regardless of the amount earned.
A progressive tax is a tax structure where those who earn higher income are taxed more and those that earn less pay less amount of tax. A progressive tax ensures vertical equity.
Calc, Inc. owns a machine that produces baskets for the gift packages the company sells. The company uses 900 baskets in production each month. The costs of making one basket is $4 for direct materials, $3 for variable manufacturing overhead, $2 for direct labor, and $5 for fixed manufacturing overhead. The unit cost is based on the monthly production of 900 baskets. The company determined that 30% of the fixed manufacturing overhead is avoidable. An outside supplier has offered to sell Calc the baskets for $13 each, and can supply all the units it needs.
Required:
a. Prepare an incremental analysis to determine if Calc should buy the baskets from the supplier.
b. Show the impact on net income and indicate whether they should make or buy the baskets.
Answer:
Cost Structure of producing 900 units
Particulars Cost Monthly Total cost
per unit production Units
Direct material cost 4 900 $3,600
Direct Labor 2 900 $1,800
Variable manufacturing overheads 3 900 $2,700
Fixed Manufacturing overhead
Avoidable (30% of $5) 2 900 $1,350
Unavoidable (70% of $5) 4 900 $3,150
Total cost of making 900 units $12,600
Cost Structure of buying 900 units from outside supplier
Particulars Cost per Units required Total cost
unit to buy
Cost of purchase 13 900 $11,700
Fixed Manufacturing overhead
Unavoidable $3,150
Total cost of buying 900 units $14,850
Conclusion: Because the cost of making is lesser than cost of buying bythe amount of $2,250, the company will have to choose option of making the basket.
Date Transaction Number of Units Unit Cost Apr. 1 Beginning inventory 500 $2.40 Apr. 20 Purchase 400 2.50 700 units of inventory were sold during the month. Ending inventory assuming FIFO would be:
Answer:
Ending inventory= $500
Explanation:
Giving the following information:
Apr. 1 Beginning inventory 500 $2.40
Apr. 20 Purchase 400 2.50
700 units of inventory were sold during the month
First, we need to determine the number of units in ending inventory:
Ending inventory in units= 900 - 700= 200
Under the FIFO (first-in, first-out) method, the ending inventory is calculated using the cost of the last units incorporated into the inventory.
Ending inventory= 200*2.5
Ending inventory= $500
What types of crime you experience most frequently?
Answer:
well if you live in a safe country
Explanation:
u wont experience any crime
Answer:
Hey mate.....
Explanation:
This is ur answer.....
There are many cases going on maybe now or everytime but like now around me there are no cases I experienced till now.....But if you are asking the frequent cases that take place nowadays is most probably Cyber bullying.....
Hope it helps!
Brainliest pls!
Follow me! :)
There are three sequential operations (Station 1, Satiation 2, and Station 3) in a process. Incoming applications go to station 1 first, then to Station 2, finally to station 3, and then leave the process. There are 1 resources in Station 1, 2 resources in Station 2, and 3 resources in Station 3. The capacity of EACH SINGLE RESOURCE in these stations is 3, 5, and 5 applications per day. The last 3 numbers are the capacity of a single resource (a resource unit) in each of the three stations (resource pools), respectively. This process wors 24 hours a day. Compute the theoretical flow time.
Answer:
1 hour 19 mins
Explanation:
The computation of the theoretical flow time is shown below;
The sequence of operation represent as a Station 1 -> Station 2 -> Station 3
Now
The capacity of each station is
= number of resources × capacity of each resource
Particulars Station 1 Station 2 Station 3
resources 1 2 3
the capacity of
each resource 3 5 5
the capacity of
each station 3 20 15
Now The theoretical flow time for each station is
Station 1 = 60 ÷ (3 ÷ 1) = 20 mins
Station 2 = 60 ÷ (5 ÷ 2) = 24 mins
Station 3 = 60 ÷ (5 ÷ 3) = 35.92 mins
So,
Total theoretical flow time is
= 20 + 24 + 35.92
= 79.92 mins
= 1 hour 19 mins
The theoretical flow time is the minimum amount of time required to process a unit in a manufacturing business. This helps to reduce the time and cost.
The theoretical flow time is 1 hour 19 minutes.
Computation:
The formula used to determine the capacity of each station is:
[tex]\text{Capacity of each station}&=\text{Number of resources}\times\text{Capacity of each Resource}[/tex]
It is computed in the table attached below.
The computation of theoretical flow time for each station is determined by the following formula:
[tex]\text{Theoretical flow time}&=\dfrac{\text{Total Minutes}}{\frac{\text{capacity of each resource}}{\text{Number of resources}}}[/tex]
For station 1 :
[tex]\begin{aligned}\text{Theoretical Flow time}&=\frac{60}{\dfrac{3}{1}}\\&=20\;\text{minutes}\end{aligned}[/tex]
For station 2:
[tex]\begin{aligned}\text{Theoretical Flow time}&=\frac{60}{\dfrac{5}{2}}\\&=24\;\text{minutes}\end{aligned}[/tex]
For station 3:
[tex]\begin{aligned}\text{Theoretical Flow time}&=\frac{60}{\dfrac{5}{3}}\\&=35.92\;\text{minutes}\end{aligned}[/tex]
Therefore, the total theoretical flow time is:
[tex]\begin{aligned}\text{Total Theoretical Flow time}&=20\;\text{minutes}+24\;\text{minutes}+35.92\;\text{minutes}\\&=1\;\text{hour}\;19\;\text{minutes}\end{aligned}[/tex]
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Founders' shares are a type of classified stock where the shares are owned by the firm's founders, and they generally have more votes per share than the other classes of common stock. True False
Answer:
TRUE
Explanation:
This is True because Founders are usually the first to get shares of a company, hence they will have more votes per share than the other classes of common stock.
Founder's shares are a type of classified stock.
Durable goods are: a. consumers' goods b. raw materials combined to produce consumer goods c. those that must be replaced after each use d. those that may be stored and repaired e. none of the above
Answer:
d. those that may be stored and repaired
Explanation:
Durable goods are those goods that are stored and repaired. It is to be considered for the long-lasting so it can be stored. Also it can be repaired when they wear out
For example: mobile phone, table, chair, toys, etc
Therefore as per the given situation, the option d is correct
And, the remaining options are to be considered
Bonita Industries produces flash drives for computers, which it sells for $30 each. Each flash drive costs $6 of variable costs to make. During April, 1000 drives were sold. Fixed costs for April were $6000. How much does Bonita’s operating income increase for each $2400 increase in revenue per month?
Answer:
See below
Explanation:
Sales ($30 × 1,000 drives sold)
$30,000
Less:
Variable cost ($6 × 1,000 drives sold)
($6,000)
Contribution margin
$24,000
Less:
Fixed costs
($6,000)
Operating profit
$18,000
Therefore, Bonita's operating income increases by $18,000 per month
When more than one security is sold for a single price and the total selling price is not equal to the sum of the market prices, the cash received is allocated between the securities based on:
Answer:
Relative market values
Explanation:
Secondary market can be defined as a market where various investors sell and buy securities from other investors.
Some examples of secondary market around the world are New York Stock Exchange (NYSE), NASDAQ, London Stock Exchange (LSE) and National Stock Exchange (NSE).
On the other hand, the primary market refers to the market where these securities that are being sold are issued or created.
Price can be defined as the amount of money that is required to be paid by a buyer (customer) to a seller (producer) in order to acquire goods and services.
In sales and marketing, pricing of products, securities or stocks is considered to be an essential element of a business firm's marketing mix because place, promotion and product largely depends on it.
Generally, when more than one security is sold for a single price and the total selling price is not equal to the sum of the market prices, the cash received is allocated between the securities based on relative market values.