Answer:
Increase of $63,000 from investing activities
and a deduction from net income of $9,000
Explanation:
The sales and purchase of assets fall under the investing activities. However the profit or loss realized from such transaction would have increased or decreased the net income as the case may be . Therefore this item of profit or loss which do not represent cash flow would be adjusted on the net income accordingly.
Profit on sale of building = 63,000 - 54,000 = $9,000
The transaction would be shown on the statement of cash flow as follows:
Net income
Less profit on sales of asset (9,000)
Investing activities:
add cash from Sale of asset 63,000
The entries are summarized below:
Increase of $63,000 from investing activities
and a deduction from net income of $9,000
b) Find the standard deviation and the coefficient of variation of the following data. 25 Marks Interval Frequency Interval Frequency 3.00-3.25 6 4.00-4.25 47 3.25-3.50 19 4.25-4.50 29 3.50-3.75 35 4.50-4.75 15 3.75-4.00 44 4.75-5.00 5
The standard deviation is 0.4182 and the coefficient of variation is 10.5%.
Given the following data Interval Frequency 3.00-3.25 64.00-4.25 473.25-3.50 194.25-4.50 293.50-3.75 354.50-4.75 153.75-4.00 445.00-4.75 5 The formula for finding the standard deviation is:\($$ \sigma =\sqrt{ \frac{\sum f(x-\overline{x})^2}{N}} $$\)
The table below shows the calculation; Interval \($X$ Midpoint ($X_i$)\) Frequency \(($f$) $x-\bar{x}$ $f(x-\bar{x})$ $(x-\bar{x})^2$ $f(x-\bar{x})^2\)
$3.00-3.25 3.125 6 -0.725 -4.35 0.525625 3.153.25-3.50 3.375 19 -0.475 -9.025 0.225625 4.279.50-3.75 3.625 35 -0.225 -7.875 0.050625 1.773.75-4.00 3.875 44 0.025 1.1 0.000625 0.274.00-4.25 4.125 47 0.275 12.925 0.075625 3.554.25-4.50 4.375 29 0.525 15.225 0.275625 7.994.50-4.75 4.625 15 0.775 11.625 0.600625 9.01.75-4.00 4.875 5 1.025 5.125 1.050625 5.25 \($\sum f=200$ $\sum f(x-\bar{x})= 3.15$ $\sum f(x-\bar{x})^2= 35.01$\)
The variance is: \($ \sigma^2 =\frac{\sum f(x-\overline{x})^2}{N} $$\sigma^2=\frac{35.01}{200}=0.1751$\)
Therefore, the standard deviation is: \($$ \sigma=\sqrt{ \sigma^2} $$$ \sigma=\sqrt{ 0.1751}=0.4182$\)
The formula for finding the coefficient of variation is:$$ C.V = \(\frac{\sigma}{\overline{x}} \times 100\% $$\)
The coefficient of variation is:$$ C.V = \(\frac{0.4182}{3.985} \times 100\% $$$C.V = 10.5\%$\)
Therefore, the standard deviation is 0.4182 and the coefficient of variation is 10.5%.
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There is $257 in your account and you earn simple interest of 3.2% for 5 years. What is your new balance?
Answer:
I am not 100% sure but I think that the answer is $298.12
Which of the following did Judge Parker NOT mention as one of the principles of ethics?
Answer:
Remain open-minded
Explanation:
Which best explains why broadcasting companies pay for the right to broadcast sporting events?
Broadcasting companies pay for the right to broadcast sporting events for the following reasons: Advertising revenue, Pay-per-view, Boost viewership.
Advertising revenue: Broadcasting companies earn income through advertising revenue, and sports events have a large audience. As a result, broadcasting companies compete to secure broadcasting rights for sports events so that they can generate advertising revenue from the broadcasts.
A large audience attracts more advertisers, and advertisers are willing to pay more to reach a larger audience, so it's a win-win situation for broadcasting companies.
Pay-per-view: Broadcasting companies often charge viewers a fee to watch live sporting events, with the fee varying based on the importance of the event and the audience size. As a result, broadcasting companies profit from live streaming sporting events through pay-per-view services.
Boost viewership: Sports events have a large following, and broadcasting companies are well aware of this fact. By securing the broadcasting rights to major sporting events, broadcasting companies can boost their viewership ratings, which can translate into higher advertising revenue.
This is particularly true for high-profile sports events such as the Super Bowl, which attracts millions of viewers from around the world. By broadcasting such events, broadcasting companies can increase their visibility and audience reach.
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What is the meaning of 50k in 2018?
Answer:
50,000
Explanation:
i hope it helped ya <3
Joey has opened a restaurant. He paid a large amount of money up front to get the business started. He only sells products that are licensed by someone else. What type of business opportunity is Joey a part of?
Question 9 options:
1: Franchise
2: Dealership
3: Licensing
4: Network marketing
Answer:
Franchise
Explanation:
The answer is FRANCHISE
During 2015, Maverick Inc. became involved in a tax dispute with the government. Maverick’s attorneys have indicated that they believe it is probable that Maverick will lose this dispute. They also believe that Maverick will have to pay the government between €800,000 and €1,400,000. After the 2015 financial statements were issued, the case was settled with the government for €1,200,000. What amount, if any, should be reported as a liability for this tax dispute as of December 31, 2015?
1. In the first case a provision should be created for €1,200,000 as it was probably on December 31, 2015, that the company might have to pay damages. The amount to be paid turned out to be within the limits and so a provision needs to be created in financial statements.
What is Damages and Compensation?Damages, a form of financial restitution, are given to individuals as reimbursement for harm or losses incurred as a direct result of the careless inactions or blatant negligence displayed by another party.
This payment serves to aid the victim with regaining their losses and ease any distress caused by the incident.
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The year is 2022 and today is July 1 (by assumption). You plan to fly from Newark to Amsterdam on August 2 and return on August 25. Today you can buy a one-way ticket for $350 or a round-trip ticket for $660. You could also wait until August 1 to buy your tickets. On August 1, a one-way ticket in either direction will cost $370, and a round-trip ticket will cost $730. Between July 1 and August 1, there is a 30% chance that your best friend will be able to provide you with a free one-way ticket as a present. If you buy a round-trip ticket on July 1 for $660 and your friend provides a free ticket, then you can return the second half of your round-trip ticket to the airline, after paying a $50 penalty. In this case, your net travel cost will become $380. Develop a decision tree to determine how to minimize your expected travel cost. Find the optimal policy.
The optimal policy will be to book a round-trip ticket.
Based on the information given, there is a 30% chance that my best friend will be able to provide you with a free one-way ticket as a present. This will be represented on the decision tree as 0.3.
Therefore, the probability that I will not get a free ticket will be 0.7 which is calculated as 0.3 subtracted from 1.
The cost of booking the return ticket on August 1st will be:
= 350 + 370
= 720
In conclusion, the minimum expected travel is $576. The optimal strategy will be to book the round ticket now. An attachment has been attached for further understanding.
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The market consensus is that Analog Electronic Corporation has an ROE = 9%, a beta of 1.25, and plans to maintain indefinitely its traditional plowback ratio of 2/3. This year’s earnings were $3 per share. The annual dividend was just paid. The consensus estimate of the coming year’s market return is 14%, and T-bills currently offer a 6% return. a. Find the price at which Analog stock should sell. (Do not round intermediate calculations. Round your answer to 2 decimal places.) b. Calculate the P/E ratio. (Do not round intermediate calculations. Round your answer to 2 decimal places.) c. Calculate the present value of growth opportunities. (Negative amount should be indicated by a minus sign. Do not round intermediate calculations. Round your answer to 2 decimal places.) d. Suppose your research convinces you Analog will announce momentarily that it will immediately reduce its plowback ratio to 1/3. Find the intrinsic value of the stock.
Answer:
a. Analog stock should sell at $10.60.
b. Trailing P/E ratio is 3.53, and Leading P/E ratio is 3.33.
c. The present value (PV) of growth opportunities is -$9.28.
d. The intrinsic value of the stock is $15.85.
Explanation:
From the question, we have the following:
ROE = 9%
b = beta = 1.25
pr = Plowback ratio = 2/3 = 0.67
dpr = dividend payout ratio = 1- pr = 1/3 = 0.33
e0 = This year’s earnings per share = $3
mr = The coming year’s market return = 14%
tr = T-bills return = 6%
Therefore, we can now have:
a. Find the price at which Analog stock should sell. (Do not round intermediate calculations. Round your answer to 2 decimal places.)
This can be estimated by employing the following formula:
P0 = d * (1 + g) / (r - g) …………………………. (1)
Where;
P0 = Stock Price = ?
d = dividend per share = e0 / dpr = $3 / (1 / 3) = $1
g = Sustainable growth rate = ROE * pr = 9% * 2/3 = 0.06
rf = Risk free rate = Return on T-bills = 6%
b = Beta = 1.25
mr = Market return = 14%
r = Required return on Equity = rf + b * (mr - rf) = 6% + 1.25 * (14% - 6%) = 0.16
Substituting the values into equation (1), we have:
P0 = $1 * (1 + 0.06) / (0.16 – 0.06)
P0 = $1 * 1.06 / 0.10
P0 = $10.60
b. Calculate the P/E ratio. (Do not round intermediate calculations. Round your answer to 2 decimal places.)
P/E ratio can be Trailing P/E ratio or Leading P/E ratio as follows:
Trailing P/E ratio = P0/E0 = $10.60 / $3 = 3.53
Leading P/E ratio = P0/e1 ………………………………………. (2)
Where;
e1 = e0 * (1 + g) = $3 * (1 + 0.06) = 3.18
Substituting the values into equation (2), we have:
Leading P/E ratio = $10.60 / 3.18 = 3.33
c. Calculate the present value of growth opportunities. (Negative amount should be indicated by a minus sign. Do not round intermediate calculations. Round your answer to 2 decimal places.)
P0 = e1 / r + pvgo …………………………………… (3)
Where pvgo denotes present value of growth opportunities.
Since already obtained P0, e1 and r in part a and b, we just substitute them equation (3) and solve for pvgo, we have:
$10.60 = $3.18 / 0.16 + pvgo
$10.60 = $19.875 + pvgo
pvgo = $10.60 - 19.875
pvgo = -$9.28
d. Suppose your research convinces you Analog will announce momentarily that it will immediately reduce its plowback ratio to 1/3. Find the intrinsic value of the stock.
The intrinsic value of a stock refers to the stock price based only on the internal factors of a company.
Base on this new information, we have the following:
g = ROE * pr = 9% * (1 / 3) = 3%
dpr = 1 – pr = 1 - 1/3 = 2/3
d = dividend per share = e0 / dpr = $3 / (2 / 3) = $2
P0 = d * (1 + g) / (r - g) = $2 * (1 + 3%) / (0.16 – 3%)
P0 = $2 * (1 + 3%) / (0.16 – 3%)
P0 = $15.85
Therefore, the intrinsic value is $15.85.
Which of the following is not true of a mass customization process strategy?
Answer:
phone
Explanation:
8. Refer to the Prescription Drug table on page 4 in the sample Health Benefits Form. John is
covered under the Standard Plan and plans to purchase his prescription drugs from an
in-network pharmacy. All of the following are true, EXCEPT...
a. For a 30-day supply purchased at retail, the generic version of the prescription drug
is $40 cheaper than the preferred brand.
b.
If John is looking for the lowest cost for his prescription drugs, he should purchase
from mail order.
c. The cost of a three month supply of generic prescription drugs purchased at retail
would be $50.
di John chose
and be no difference in the price of the
generic version of prescription drugs
The patient's name, the name of the medication, the dosage, and the dosage schedule are all listed on the label of each prescription medicine container. When a prescription is filled, the pharmacy typically provides more in-depth printed information about the medicine.
Which section of the prescription contains medicine-related information?Inscription (Medication Prescribed) The most crucial section of the prescription is the inscription, which details the drug's composition and dosage. It's possible that the medication is some kind of official or non-official formulation.
What are the 4 primary pieces of a solution?A prescription traditionally consists of four parts, predating modern legal definitions of the term: a signature, inscription, subscription, and superscription. The patient's information, such as name, address, and age, can be found in the superscription section.
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From the grocery store you need to purchase 1/2 lb cheese, 3 lbs sliced ham, 2 loaves of bread, 4 bags of potato chips, and 1 container of salsa. You have a coupon for $4.00 off if your purchase totals more than $15.00 or 10% off if the total is more than $20.00. The food sales tax is 3%. Which coupon offer will save you the most money?
The coupon offer allows greater savings is the $ 4.00 coupon.
To find out which coupon means greater savings, you must do the following procedure.
1. Calculate how much is the total value of the account
Cheese - $ 2.99 / 2 = $ 1,495
Sliced ham - $ 4.29 × 3 = $ 12.87
Bread - $ 2.49 × 2 = $ 4.98
Potato Chips - $ 2 for $ 3.00, so 4 for $ 6.00
Sauce - $ 3.39
$ 3.39 + $ 6.00 + $ 4.98 + $ 12.87 + $ 1,495 = $ 28.73
2. We must calculate the discount that represents 10% of the value and the 3% increase in food tax.
$ 28.73 / 100 = $ 0.287
0.287 × 10 = $ 2.87
$ 28.73 - $ 2.87 = $ 25.87
$ 28.73 / 100 = $ 0.287
0.287 × 3 = $ 0.861
$ 25.87 + $ 0.861 = $ 26.73
3. We must calculate the discount represented by the $ 4 coupon and the 3% food tax increase.
$ 28.73 - $ 4.00 = $ 24.73
24.73 / 100 = $ 0.24
0.24 × 3 = $ 0.74
$ 24.73 + $ 0.74 = $ 25.47
According to the above, the coupon that represents more discount is $ 4 coupon.
Note: This question is incomplete because some information is missing. Here is the missing information:
Cheese $ 2.99 / lbSliced Ham $ 4.29 / lbBread $ 2.49 / loafPotato Chips $ 1.99 / ea OR 2 for $ 3.00Sauce $ 3.39 / containerLearn more in: https://brainly.com/question/7578342
The 20% off sale is a better deal than the $200 rebate or
$150 coupon for the $1,500 dining set. The Porters
budgeted $1,250 for a new dining room set. Explain why
this is the best deal for them. Are they under budget?
Answer:
See below
Explanation:
The dining set cost $1500.
A 20% off sale present a discount amount equal to
=20/100 x $1500
=0.2 x $1500
=$300.
The 20% off sale has a savings of $300 compared to the $200 rebates or $150 coupon.
If the Porters budgeted $1,250, and the dining set is $1500, the 20% off sale will require them to pay $1,200, which is within their budget.
Yes, the Porters are under budget. The 20% off sale is the best deal because $1,500 times 0.20 is $300. $300 is a bigger discount than the $150 coupon and $200 rebate. $300 off $1,500 is $1,200, which is less than the amount budgeted.
which of the following pieces of information will you find on the safety data sheet
walmart
Normally, the safety data sheet (SDS) for a product offered by Walmart will contain details regarding the risks associated with the product, including any potential physical risks or health impacts connected with its use or handling.
Additionally, it might contain details on the proper safety precautions or safeguards to use when utilizing the product, as well as first aid procedures to follow in the event of exposure or unintentional ingestion.
The SDS may also include details on the chemical makeup of the product, its characteristics, and any potential chemical interactions, as well as details on disposal and storage.
The specific information on the SDS will vary depending on the product in question and the laws governing its use and handling.
Here are some examples of the kinds of details you might discover on a safety data sheet:
A household cleaner might have a safety data sheet that details the product's chemical makeup, potential risks (including eye or skin irritation), and safety measures to take when using the product.
An SDS for a paint product may contain details on the chemicals used in the paint and any potential dangers.
An SDS for a product used in a laboratory setting may provide information on the possible health effects of the chemicals in the product and handling safety measures.
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the question is incomplete. the complete question is
What pieces of information will you find on the safety data sheet Walmart?
(Table) Germany has a comparative advantage in producing
Sweaters
Germany 6
Greece
4
Skirts
12
20
sweaters and skirts.
skirts only.
sweaters only.
neither good.
Answer:
sweaters only.
Explanation:
Comparative advantage is the ability of a firm or country to produce products using fewer resources than others. An institution or nation with a comparative advantage in producing certain goods or services will sell them at a lower price compared to others.
Given the same quantity of inputs, a country or company with a comparative advantage will produce more output units than the rivals. Germany has a comparative advantage over Greece in making sweaters. With the same inputs, Germany will produce six sweaters while Greece will produce four. However, Greece has a comparative advantage over Germany in making skirts.
Identify each action by the Fed as expanding the money supply, shrinking it, or neither. expands the money supply shrinks the money supply neither expands nor shrinks Drag each item above to its matching item below. Note that every item may not have a match, while some items may have more than one match. The Fed lends money to struggling banks. Press Space to open The Fed regulates banks to ensure stability. Press Space to open The Fed buys mortgage-backed securities. Press Space to open The Fed sells Treasury bonds to investors.
Based on macroeconomic analysis, it is believed that by matching the items in the question with their effect, we have the Fed lends money to struggling banks. -- expanding the money supply;
This is because when the Fed lends money to struggling banks, there is more money available for people to borrow or assess in the economy.The Fed regulates banks to ensure stability. -- expanding the money supply, or shrinking it;
When the Fed regulates banks to ensure stability, they may either be pumping money into the economy to solve deflation or take money from the economy to solve inflation.The Fed buys mortgage-backed securities. -- expanding the money supply;
When the Fed buys mortgage-backed securities, owners of these mortgages get more money, thereby pumping money into the economy.The Fed sells Treasury bonds to investors -- shrinking it;
When the Fed sells Treasury bonds to investors, they take money from investors, thereby taking away money from the economy.Hence, in this case, it is concluded that there are various means by which the federal government can expand or shrink the money supply in the economy.
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In modern economies, ___________ receive money from savers and provide funds to borrowers.
financial intermediaries
In modern economies, financial intermediaries receive money from savers and provide funds to borrowers.
An economic middleman is a group or individual that serves as an intermediary among various events so it will facilitate monetary transactions. not unusual kinds consist of business banks, funding banks, stockbrokers, pooled funding finances, and inventory exchanges. economic intermediaries reallocate in any other case uninvested capital to efficient firms thru a diffusion of debt, equity, or hybrid stakeholding structures.
Thru the process of monetary intermediation, positive property or liabilities are transformed into one-of-a-kind property or liabilities. As such, monetary intermediaries channel finances from human beings who've surplus capital (savers) to people who require a liquid price range to perform the favored pastime (traders). An economic middleman is typically a group that enables the channeling of funds between creditors and borrowers indirectly.
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To reduce the risk of overuse or traumatic injuries, you should do all of the following EXCEPT __________.
a. avoid working out in extremes of heat and cold
b. use appropriate protective gear
c. attempt to work through the pain.
d. buy and use the proper footwear
The following options that can not be used to reduce the risk of overuse or traumatic injuries is C. attempt to work through the pain.
In the term of health, Traumatic injuries generally can be defined as a condition where the result of a wide variety of blunt, penetrating and burn mechanisms. Traumatic injuries can occur by several accidents, such as motor vehicle collisions, sports injuries, falls, natural disasters. In the other side, traumatic injuries also can occur by a multitude of other physical injuries which can occur at home, on the street, or while at work and require immediate care.
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four accounting purpose ,what is the nature of the assumption as the length of life of an enterprise
Accounting suspicions 4 Accounting Assumptions are characterized as rules of activity or conduct which are inferred from involvement and practice, and when they demonstrate valuable, they ended up accepted standards of accounting.
4 basic assumptions of accounting are the pillars on which the structure of accounting is based. They are part of GAAP (Generally Accepted Accounting Principles).
1. Business entity concept
According to this assumption, the trade is treated as a unit or substance separated from its proprietors, leasers, supervisors, and others. In other words, the proprietor of an undertaking is continuously considered to be partitioned and unmistakable from the trade which he controls.2. Money measurements concept
The money related unit assumption implies that cash is the common denominator of financial action and gives an suitable premise for accounting estimation and analysis. That is, the money related unit is the foremost successful implies of communicating to interested parties changes in capital and trades of goods and services.3. Going concern Concept
It is also known as continuity assumption.Most accounting methods rely on the going concern assumption—that the company will have a long life. Despite numerous business failures, most companies have a fairly high continuance rate.4. Periodic concept
It is also known as the periodicity suspicion or period assumption. To degree the comes about of a company’s activity accurately, we would got to hold up until it liquidates. Decision-makers, in any case, cannot hold up that long for such data.To know more about accounting purposes visit:
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Yield to maturity: Serengeti Corp. has five-year bonds outstanding that pay a coupon of 8.8 percent. If these bonds are priced at $1,064.86, what is the yield to maturity on these bonds? Assume semiannual coupon payments. What is the effective annual yield?
The yield to maturity on the bonds is 3.939% and the effective annual yield is 17.01%.
What are bonds?Bonds are debt securities that are issued by corporations, governments, and other organizations to raise capital. Essentially, when an organization issues a bond, it is borrowing money from investors.
First, we need to calculate the present value of each cash flow. The bond pays a semiannual coupon of 8.8%/2 = 4.4%. It will pay this coupon for ten semiannual periods (5 years x 2 semiannual periods per year). At the end of the ten periods, it will also pay back the face value of the bond, which is $1,000.
The present value of each semiannual coupon payment can be calculated using the following formula:
PV = C / (1 + r/2)^n
Where C is the coupon payment, r is the semiannual yield to maturity, and n is the number of semiannual periods until the payment.
Using the given numbers, we get:
PV of each coupon payment = $44 / (1 + r/2)^n
The present value of the face value payment can be calculated as:
PV of face value payment = $1,000 / (1 + r/2)^10
Now we can calculate the present value of all the cash flows by adding up the present values of each coupon payment and the face value payment:
Bond price = PV of coupon payments + PV of face value payment
$1,064.86 = $44 / (1 + r/2)^1 + $44 / (1 + r/2)^2 + ... + $44 / (1 + r/2)^10 + $1,000 / (1 + r/2)^10
To solve for r, we can use a financial calculator or a spreadsheet program. Using a financial calculator, we get a semiannual yield to maturity of 3.939%.
To calculate the effective annual yield, we first calculate the semiannual effective yield:
Effective semiannual yield = (1 + 3.939%)² - 1 = 8.149%
Then we can calculate the effective annual yield by compounding the semiannual effective yield:
Effective annual yield = (1 + 8.149%)² - 1 = 17.01%
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A new tennis court complex is planned. Each of two alternatives will last 18 years, and the interest rate is 7%. Use present worth analysis to determine which should be selected.
Construction Cost Annual O&M
A $500,000 $25,000
B 640,000 10,000
Answer:
B should be selected.
Explanation:
Below is the calculation of net present worth:
Present value of A = -500000 - 25000 * (P/A, 7%,18)
Present value = -500000 - 25000 * 10.059087
Present value = -751477.17
Present value of B = -640000 - 10000 * (P/A, 7%,18)
Present value = -640000 - 10000 * 10.059087
Present value = -740590.87
The present value of B is lower so it will be selected.
watch the video " the best stats youve ever seen " then answer the questions.
Answer:
the evonimy did thi sna s ithat
Explanation:
Businesses commonly rely upon groups to make decisions because of the many advantages to group decision making. Which of the following are advantages of group decision making? Check all that apply.
Enhanced communication of the decision may result.
Equality bias, which causes individuals to treat all group members as equally competent.
Better decisions generally emerge.
Groupthink may occur.
If you want to encourage group members to be innovative and creative in generating a list of decision alternatives, then it is best to use this approach.
Brainstorming
Delphi technique
Nominal group technique
Enhanced communication of the decision may result, Better decisions generally emerge, Brainstorming Delphi technique Nominal group technique.
What is decision-making in an organization?Decision-making is the very essential component in the organization as the company is reliable on their decision. Maximum high level community of the organization makes the important and big decision of the company.
Thus, option A, B and F are correct.
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Buying a home achieves which two financial goals at the same time?
a. Providing a place to live, paying for your college expenses
b. Providing a place to live, paying off your consumer debt
c. Providing a place to live, investing for the future
d. Providing a place to live, bringing you great happiness
Advantages
OF quantitative approach of
Management
Answer:
Quantitative approach of Management refers to a managerial technique that relied on rigid calculations (such as statistics or computer simulations) in order to improve the decision making.
Here are the advantages:
- The decision making process occurred a lot quicker since the managers can relied on computers to analyze all the relevant factors
- Cost benefit analysis can be more accurate since it completely disregard the personal biases of the manager.
- Results between each decisions implementation can be measures easily since it's displayed on numerical value.
A lower inflation rate will decrease the after-tax real interest rate when the government taxes nominal interest income.
a. True
b. False
False, SHOULD INCREASE after-tax real interest rates.
Kate is the owner of a small boutique business downtown. After looking over her business expenses and profits, she realizes that she needs to make cuts to her fixed expenses. What could she do with her fixed expenses?
In order to reduce her fixed costs, Kate would find a less expensive web designer for the store's website.
What is fixed cost?Fixed cost is a type of cost that remains constant regardless of the level of output. It does not vary with the level of output.
An example of fixed cost is the fees of a web designer. The fee would not change with the sales of the small boutique.
Here are the options to this question:
Kate would find a less expensive web designer for the store's website Kate would get bids for new business insurance providers.
Kate would look for cheaper merchandise for the store for higher profits.
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You are considering the purchase of a stock that is currently selling at $64 per share. You expect the stock to pay $4.50 in dividends next year. a. If dividends are expected to grow at a constant rate of 3 percent per year, what is your expected rate of return on this stock? b. If dividends are expected to grow at a constant rate of 5 percent per year, what is your expected rate of return on this stock? c. What do your answers to parts (a) and (b) say about the impact of dividend growth rates on the expected rate of return on stocks?
Answer:
Price of a constant growth dividend stock is given by Price = D1 / (Re – G) Where, Price = Price of the stock = $64 D1 =…
A company Web site is an
for a business.
expense
asset
A company website is an \(\sf\purple{asset}\) for a business.
B. asset ✅
\(\bold{ \green{ \star{ \orange{Mystique35}}}}⋆\)
Answer:
The answer is 3
Explanation:
because its 3
The wage gap refers to
O A. the difference in wages between women and men doing the same
job
B. the difference in wagesbetween foreign workers and U.S. workers
C. the difference between the minimum wage and the cost of living
D. the fact that wages have not kept up with inflation