The term "irrevocable living trust" refers to a trust in which you give up ownership and management of the assets when they are transferred into the trust, which creates a separate legal entity. Option C is Correct.
Irrevocable. Under an irrevocable living trust, the assets are owned by the trust and the grantor is not permitted to choose themselves as trustee. Hence, some of the grantor's power over the trust is given up. The trustee essentially assumes ownership.
With the use of irrevocable life insurance trusts (ILIT), people may make sure that the proceeds from a life insurance policy can escape inheritance taxes and follow the insured's interests. ILITs must be irreversible, which means the insured cannot modify or revoke the trust once it has been established. Option C is Correct.
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The correct answer to your question is C) irrevocable living trust. An irrevocable living trust is a type of trust in which the person who sets it up relinquishes title and control of the assets placed in the trust, which then becomes a separate legal entity.
Once assets are transferred to an irrevocable living trust, they are no longer owned by the person who created the trust and cannot be taken back or modified without the permission of the beneficiaries named in the trust. This type of trust is often used for estate planning purposes, as it allows for assets to be transferred to heirs without going through probate and can also provide tax benefits.
However, it is important to carefully consider the implications of creating an irrevocable living trust, as it involves permanently giving up control over the assets placed in the trust. Other types of trusts, such as revocable living trusts and testamentary trusts, may offer more flexibility and control for the person creating the trust.The correct answer to your question is C) irrevocable living trust.
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Critical time is the amount of time that a task would be late without pushing back the completion date of the entire project.A. True
B. False
This statement is False. Critical time is the amount of time a task can be delayed without affecting the completion date of the entire project. It is a measure of project flexibility in handling unexpected delays and task changes.
Critical time is determined by subtracting the task duration from the total project duration and is expressed as the amount of time a task can be delayed. For example, if a project is scheduled to be completed in 20 days and one of the tasks within the project is scheduled to be completed in 5 days, then the critical time for that task is 15 days. This means that a task can be delayed by up to 15 days without moving the completion date of the entire project.
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in the indirect method of preparing a cash flow statement, which items are considered cash inflows and outflows, respectively? According to the indirect method of preparing a cash flow statement, a decrease in ___ is a cash inflow, whereas a decrease in ___ is a cash outflow.
According to the indirect method of preparing a cash flow statement, a decrease in Inventory is a cash inflow, whereas a decrease in Accounts Payable is a cash outflow.
What is the indirect method of the Cash Flow Statement ?Data that demonstrates how much money a company spent or made over a specific period and from what sources is presented using the indirect approach for a cash flow statement. To calculate cash flow, add or subtract balance sheet items from the company's net income.
With the Indirect method to the Cash Flow Statement, when there is a decrease in inventory then it means that there is a cash inflow because money was not spent. A decrease in Accounts Payable is a cash outflow because it means some payables were paid.
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If Laiho increased its dividend payout ratio, what effect would this have on corporate taxes paid? What effect would this have on taxes paid by the company’s share- holders?.
The dividend payout ratio (DPR), also known as the payout ratio (PR), depicts the percentage of a company's earnings distributed to shareholders as dividends.
What are dividends and their importance?The first is a rise in the company's net profits, which are used to pay dividends.
There is more room to pay higher dividends to shareholder
A dividend increase is a favorable indicator of firm performance in this context.
According to the tax preference theory, some investors prefer long-term capital gains to present dividend yield and will pay more for a company's stock if it reinvests its earnings in capital-appreciating projects rather than giving them out as dividends.
A high DPR indicates that the company is reinvesting less in its business while paying out a higher proportion of its earnings in dividends.
Income investors choose such companies because they guarantee a constant source of income over a strong potential for a share price rise.
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a firm has common stock of $82, paid-in surplus of $180, total liabilities of $370, current assets of $310, and net fixed assets of $520. what is the amount of the shareholders' equity? multiple choice $632 $460 $830 $150 $500
The amount of the shareholders' equity is $460.
1. Shareholders' equity represents the residual interest in the assets of a firm after deducting liabilities. It can be calculated by subtracting total liabilities from the sum of common stock and paid-in surplus.
Shareholders' equity = (Common stock + Paid-in surplus) - Total liabilities
2. Given data:
Common stock = $82
Paid-in surplus = $180
Total liabilities = $370
3. Substitute the given values into the equation to calculate the shareholders' equity:
Shareholders' equity = ($82 + $180) - $370
= $262 - $370
= -$108
4. Based on the calculation, the shareholders' equity is -$108. However, negative shareholders' equity is not a realistic scenario as it implies that the firm has more liabilities than assets, which is unlikely. Therefore, we need to recheck the calculation or consider if any data was entered incorrectly.
5. Let's double-check the calculation and ensure we have all the necessary information. We also have current assets and net fixed assets, which we haven't used yet.
Current assets = $310
Net fixed assets = $520
6. Shareholders' equity can also be calculated using the equation:
Shareholders' equity = Total assets - Total liabilities
Total assets = Current assets + Net fixed assets
7. Substitute the given values into the equation to calculate the shareholders' equity:
Total assets = $310 + $520
= $830
Shareholders' equity = $830 - $370
= $460
8. Therefore, the correct amount of the shareholders' equity is $460.
In summary, the amount of the shareholders' equity is $460, obtained by subtracting the total liabilities from the total assets.
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A 3 percent increase in the price of digital apps reduces the amount of tablet devices demanded by 8 percent. The cross price elasticity of demand is (Enter your response rounded to two decimal places and include a minus sign if necessary.) The cross price elasticity of demand indicates that tablet devices and digital apps are
The cross price elasticity of demand is -2.67, indicating that tablet devices and digital apps are complements.
The cross price elasticity of demand measures the responsiveness of the quantity demanded of one good (tablet devices) to a change in the price of another good (digital apps). In this case, a 3 percent increase in the price of digital apps leads to an 8 percent decrease in the quantity demanded of tablet devices. By calculating the cross price elasticity using the formula (percentage change in quantity demanded of tablet devices) / (percentage change in price of digital apps), we find (-8% / 3% = -2.67). The negative sign indicates that tablet devices and digital apps are complements, meaning that they are consumed together, and an increase in the price of digital apps reduces the demand for tablet devices.
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Blaine Philips files as married filing jointly on his tax return and earned weekly gross pay of $385. He does not make any retirement plan contributions. Blaine checked box 2c on Form W-4 and did not enter any information in steps 3-4 of the form.
Blaine Philips' federal income tax withholding would be $14.40 based on the provided information. Please note that this calculation is an estimate, and other factors such as state taxes and additional deductions could affect the final withholding amount.
Based on the information provided, we can determine Blaine Philips' federal income tax withholding using the 2021 tax brackets and rates. Please note that tax laws may change, so it's always recommended to refer to the latest IRS guidelines or consult a tax professional for accurate and up-to-date information.
For a married filing jointly status and no additional information entered on Form W-4, we can assume that Blaine Philips will use the standard deduction and claim two allowances.
Step 1: Calculate Adjusted Gross Income (AGI)
Blaine's weekly gross pay is $385, so we multiply it by the number of weeks in a year to get the annual gross income:
$385/week * 52 weeks = $20,020
Step 2: Calculate Taxable Income
Since we don't have any other deductions or credits mentioned, we can assume the taxable income is the same as the AGI.
Taxable Income = AGI = $20,020
Step 3: Determine the Tax Bracket
Based on the 2021 tax brackets for married filing jointly, the tax rates are as follows:
10% on income up to $19,900
12% on income between $19,901 and $81,050
Blaine's taxable income of $20,020 falls within the 12% tax bracket.
Step 4: Calculate Tax Liability
To calculate the tax liability, we apply the appropriate tax rate to the taxable income within the bracket.
Tax Liability = ($20,020 - $19,900) * 0.12 = $14.40
Therefore, Blaine Philips' federal income tax withholding would be $14.40 based on the provided information. Please note that this calculation is an estimate, and other factors such as state taxes and additional deductions could affect the final withholding amount.
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Inflation is expected to increase steadily over the next 10 years, there is a positive maturity risk premium on both Treasury and corporate bonds, and the real risk-free rate of interest is expected to remain constant. Which of the following statements is CORRECT? A. The yield on 7-year corporate bonds must exceed the yield on 10-year Treasury bonds. B. The Treasury yield curve under the stated conditions would be humped rather than have a consistent positive or negative slope. C. The yield on 10-year Treasury securities must exceed the yield on 7-year Treasury securities D. The stated conditions cannot all be true they are internally inconsistent. E. The yield on any corporate bond must exceed the yields on all Treasury ; bonds.
Answer:
C. The yield on 10-year Treasury securities must exceed the yield on 7-year Treasury securities
Explanation:
Due to the fact that inflation would be rising steadily, the yield curve would be upward sloping. The yield curve would be humped if inflation is expected to increase the medium term and then decrease in the long term.
Due to increasing inflation, investors would want a higher rate of return in the long run compared to the short run. This would ensure that their purchasing power remains the same. Thus, the yield on 10-year Treasury securities must exceed the yield on 7-year Treasury securities
corporate bonds are more risky that treasury bonds. so, for the same maturity, investors would demand a higher return on corporate bonds than on treasury bonds
A manager has given yoh a job specification for a health and safety administrator position. The job specification includes qualifications of adaptable and comfortable using a varity of software programs. please rewrite these qualifications as observable behaviors. For each qualification, please write two observale behavior.
Observable behaviors for being adaptable would include adjusting to change and maintaining composure, while observable behaviors for being comfortable with software programs would include independently navigating and utilizing various software tools and quickly adapting to new interfaces. These observable behaviors provide a clear understanding of what the qualifications entail and can be observed in a workplace setting.
To rewrite the qualifications of "adaptable" and "comfortable using a variety of software programs" as observable behaviors, we need to focus on actions or behaviors that can be observed or demonstrated. Here are two observable behaviors for each qualification:
1. Adaptable:
- Demonstrates flexibility by readily adjusting to changing tasks or priorities.
- Shows resilience by remaining calm and composed in challenging or unpredictable situations.
2. Comfortable using a variety of software programs:
- Effectively navigates and utilizes different software programs with ease, without requiring extensive guidance or support.
- Quickly adapts to new software interfaces and tools, demonstrating a natural proficiency in learning and utilizing technology.
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Which type of business has the least amount of government regulation and the greatest amount of freedom
It is difficult to pinpoint a specific type of business that has the least amount of government regulation and the greatest amount of freedom.
However, certain types of businesses may face fewer regulations and enjoy more freedom than others.
Generally, small businesses that operate locally and do not pose significant risks to public health or safety may face fewer regulations than larger corporations.
For example, a sole proprietorship or a partnership that sells handmade crafts online may not face as many regulations as a multinational corporation that manufactures pharmaceuticals.
Similarly, industries that are not heavily regulated by the government, such as the technology or creative sectors, may offer more freedom to businesses.
However, these industries may still face legal and regulatory challenges related to intellectual property, data privacy, and consumer protection.
Overall, the level of government regulation and freedom for a business depends on various factors, including the size and scope of the business, the industry it operates in, and the specific laws and regulations that apply to it.
It is important for businesses to stay informed about their legal obligations and to comply with applicable laws and regulations to avoid legal issues and maintain their operations.
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PLEASE HELP !!
explain why you feel an entrepreneur or business should develop a business plan.
Answer:
See below...
Explanation:
When an entrepreneur or businessperson begins to develop an idea for a product or for the creation of a business, it is good that they have a plan. When they do not plan, their future does not have specific milestones to acheive. This can make things scary and chaotic, as it is necessary to know when and where you will do things. With a plan, the person has goals set, and they are not as overwhelmed by things that come their way. The plan gives an order to an otherwise chaotic idea.
a. did nothing wrong. b. failed to take advantage of a business opportunity. c. breached the agent's fiduciary duties to the principal. d. made an unreasonable offer based on current market value.
According to the question, the right answer is to breach the agent's fiduciary duties to the principal.
What fiduciary obligation is the most significant?Fiduciaries must behave in the best interests of their recipients, impartially weigh the competing interests of various beneficiaries, prevent conflicts of interest, and refrain from acting in their own or a third party's best interests.
How challenging is it to establish a fiduciary responsibility breach?Because no evidence of fraud or criminal intent is required, a violation of fiduciary responsibility lawsuit is significantly simpler to prove than a fraud claim. The claimant just needs to show that you held a fiduciary relationship and that you violated that responsibility for your own benefit in order to prevail in a breach of duty lawsuit.
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What is insurance and premium
There are more corporations in this country than any other business structure.
OTrue
O False
Answer:
O False
Explanation:
Corporations are independent legal entities that have commercial rights like individuals. They can acquire properties, incur debts, enter into contracts, sue, and be sued. The owners are its shareholders and enjoy limited liabilities to its debts. The corporation business structure is most complex to establish and run. Due to this reason, they are fewer in numbers compared to the other forms of business structures.
The sole proprietorship structure is the most common type of business ownership in the US. Of all business structures, the sole trader is the simplest to start and operate.
The U.S. Energy Information Administration projected that imports of petroleum products in 2005 would be 4.81 quadrillion Btu ar (a) Find the function of the model that gives projected petroleum imports in quadrillion Btu, where t is the number of year to three decimal places.) P(t)= quadrillion Btu (b) According to the model, when will imports exceed 7 quadrillion Btu? (Round your answer for t to two decimal places.) Imports will exceed 7 quadrillion Btu in t= years which will occur in the year (c) Describe the end behavior of the model as time increases. P(t) approaches a fimiting value of 33.67 as t increases. P(t) remains constant as t increases. P(t) decreases without bound as t increases. P(t) decreases toward 0 as t increases. P(t) increases without bound as t increases.
This represents a constant function where the projected petroleum imports remain at 4.81 quadrillion Btu regardless of the number of years.
Since the model is a constant function, the projected petroleum imports will remain at 4.81 quadrillion Btu regardless of the number of years (t) after 2005.
(a) To find the function model for projected petroleum imports, we need to interpret the given information. Let's assume t represents the number of years since 2005.
The projected petroleum imports in quadrillion Btu, P(t), can be modeled using the given value:
P(t) = 4.81
This represents a constant function where the projected petroleum imports remain at 4.81 quadrillion Btu regardless of the number of years.
(b) To determine when the imports will exceed 7 quadrillion Btu, we need to solve the equation:
P(t) > 7
4.81 > 7
Since 4.81 is not greater than 7, the projected petroleum imports will not exceed 7 quadrillion Btu based on the given model.
(c) The end behavior of the model as time increases can be described as:
P(t) remains constant as t increases.
Since the model is a constant function, the projected petroleum imports will remain at 4.81 quadrillion Btu regardless of the number of years (t) after 2005.
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Matt is the curator at a large national museum. He researches and catalogs new art pieces that are submitted to the museum. What education might have been necessary for Matt to attain this position? O A. O B. O C. O D. high school diploma associate degree in performing arts bachelor's degree in art history doctorate in computer sciences
The best education for Matt to attain the position of curator at a large national museum is an Option C. bachelor's degree in art history.
A curator is a person who is in charge of the collection and display of artifacts in a museum. Curators are responsible for organizing exhibits, acquiring new collections, and keeping the existing ones in good shape, among other duties. The work of a curator demands a high degree of knowledge of the materials they handle, in addition to organizational skills and the ability to engage with the public.
Curators must typically hold a bachelor's degree in a field related to the collection they oversee. Art history, anthropology, or archaeology are popular majors for curators. Additionally, they should have experience in their particular field of expertise. Furthermore, many museums will require their curators to have a Master's degree or Ph.D. in their field or a related one. These degrees are obtained in specialized postgraduate degree programs, and they demonstrate a deeper understanding of the subject matter and a commitment to the field.
The education for Matt to attain this position would be a bachelor's degree in art history. Art history is the study of visual art throughout history. It is an academic discipline that combines cultural and historical perspectives to examine and understand visual art. In this field, you will learn about artists and their works, styles and movements, and the cultural contexts that surrounded them. This knowledge is critical to the work of curating art collections, and it will enable Matt to be efficient in his job. Therefore, the correct option is C.
The question was incomplete, Find the full content below:
Matt is the curator at a large national museum. He researches and catalogs new art pieces that are submitted to the museum. What education might have been necessary for Matt to attain this position?
A. high school diploma
B. associate degree in performing arts
C. bachelor's degree in art history
D. doctorate in computer sciences
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reaching the right audience with marketing communications is becoming more difficult because
Reaching the right audience with marketing communications is becoming more difficult due to several reasons:
1.Fragmented Media Landscape: The proliferation of media channels and platforms has led to audience fragmentation. People consume information and entertainment across various channels, making it challenging for marketers to target a specific audience effectively.
2.Ad Blocking and Ad Avoidance: With the rise of ad-blocking software and ad avoidance behavior, many consumers actively try to avoid traditional advertising messages. This makes it harder for marketers to reach their intended audience and deliver their message effectively.
3.Information Overload: The digital age has brought an abundance of content and information. Consumers are bombarded with numerous messages, ads, and promotional content every day, leading to information overload. It becomes increasingly challenging for marketers to cut through the noise and capture the attention of their target audience.
4.Changing Consumer Behavior: Consumer preferences and behaviors are evolving rapidly. They are more empowered and selective in their choices. Traditional mass marketing approaches are no longer as effective in engaging consumers. Marketers must understand the shifting consumer landscape and adapt their strategies to meet changing demands.
5.Privacy Concerns and Data Regulations: Increased awareness and concerns about data privacy have resulted in stricter regulations and limitations on targeted advertising. Marketers now face more restrictions in accessing and utilizing consumer data, making it more challenging to reach the right audience with personalized messages.
To overcome these challenges, marketers are adopting strategies such as data-driven targeting, personalized messaging, influencer marketing, and leveraging emerging technologies to engage audiences effectively.
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Which is a cause for quality issues in IS implementation?
The scope of the project increases due to change requests from clients. Option B is correct
This is further explained below.
What is IS implementation?Generally, A strategy, technique, or any concept, idea, model, specification, standard, or policy for carrying out anything is considered to have been implemented when it is put into action or practiced.
Therefore, the activity that must follow any preparatory thought that is done in order for anything to truly happen is known as implementation.
In conclusion, Changes that were requested by customers resulted in an expansion of the project's scope. Alternative C
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Answer:
The scope of the project increases due to change requests from clients.
Explanation:
Discuss the unique selling proposition and value proposition.
The Unique Selling Proposition (USP) and Value Proposition are two essential marketing concepts. Both concepts aim to attract and convince customers, but they approach it from different angles.
The Unique Selling Proposition (USP) is a marketing concept that emphasizes the unique qualities or features of a product or service that set it apart from competitors in the market. It answers the question, "Why should customers choose this product over others?" The USP focuses on identifying and communicating the distinct advantages and benefits that make a particular offering stand out. This could be achieved through factors such as superior quality, innovative features, competitive pricing, exceptional customer service, or a specialized niche focus.
On the other hand, the Value Proposition is a broader concept that encompasses the overall value and benefits that a product or service provides to customers. It goes beyond the unique aspects and delves into the core value that customers derive from using a particular offering. The Value Proposition communicates how the product or service addresses customer needs, solves their problems, or fulfills their desires. It emphasizes the benefits, outcomes, or experiences that customers can expect, such as time savings, cost reduction, convenience, improved performance, increased productivity, or enhanced satisfaction.
While the USP focuses on highlighting the unique features and advantages that differentiate a product or service, the Value Proposition aims to convey the overall value and benefits that customers can expect. Both concepts play a crucial role in marketing strategies, as they help businesses attract and persuade customers to choose their offerings.
The USP captures attention by showcasing distinct qualities, while the Value Proposition appeals to customers by demonstrating the tangible and intangible value they will gain. Together, they form a powerful combination to communicate the competitive advantages and benefits of a product or service, ultimately influencing customer buying decisions.
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It is important for modern firms to build and maintain ______ by conducting ethical and transparent transactions.
The singular thing which is important for modern firms to build and maintain by conducting ethical and transparent transactions is:
Consumer trustWhat is Consumer Trust?This refers to the belief which a customer has in a particular business, usually because of its ethical and transparent practises.
With this in mind, we can see that if modern firms fail to build this consumer trust, then they stand the risk of losing their customer base to their competition.
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Magazines make most of their money from?
Answer:
advertisers
Explanation:
There are many Magazines that are published ion the market and becomes popular. Magazines make most of their money from advertiser.
Who is advertiser?An advertiser is the institution, administration, or any person that pays for an advertising attribute or time to demonstrate a convincing promotion or content to the public. Magazines make most of their money from by the means of advertiser.
Therefore, advertiser advertises the content to the public to publish any information.
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Austin receives $4,000 from an investment at the beginning of every quarter for 4 years and 9 months at 3.98% compounded monthly. a. What type of annuity is this? Ordinary simple annuity Ordinary general annuity Simple annuity due General annuity due b. How many payments are there in this annuity?
This annuity is a general annuity due because the payments are made at the beginning of each quarter for 4 years and 9 months. There are 25 payments in this annuity.
An annuity is a contract between you and an insurance company that guarantees you a stream of income for a set period of time or for the rest of your life. Annuities can be a good way to provide guaranteed income in retirement, especially if you are concerned about outliving your savings.
guaranteed income annuities provide you with a guaranteed income stream, which can help you to protect yourself from outliving your savings.
Tax benefits Annuities can offer tax-deferred growth, which means that you don't have to pay taxes on the income and investment gains until you start withdrawing money.
Death benefits if you die before you start receiving payments, your beneficiary will receive a death benefits
b. To determine the number of payments in this annuity, we need to calculate the total number of quarters over 4 years and 9 months.
There are 4 quarters in a year, so the total number of quarters is 4 * 4 + 9 = 25 quarters.
Therefore, there are 25 payments in this annuity.
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April is worried that she is not a "good speller," so she plans to let the spelling
checker correct all her mistakes. What would be the most helpful advice for
April?
what things should be considered while running a business?
Answer:
-::Bussiness ii Dea
-::CusTomers
-::Competition
-::LocaTiion
-::CompeTiTiion
-::STaff
-::sTarT up CosT
CapiiTaL and Fiinance
Explanation:
-::The firsT Thiing as First-Your CusTomer.Yes,they are mosT imporTanT parT of Your entrepreneurial Life,and TheY are The Person who WiLL TeLL You WhT You need To do FoR Them.That's The basic FormuLa To Succes.
-::SuppLiiers-iidenTify PotenTiaL SuppLiiers needed To Produce The Service or Goods You WanT To SeLL.
-::After considering all the capital and expense requirement, before you start operating, make sure you have the registrations needed to legalize your business.
On 31 January 2017, you bought 200 shares of a company for $422.84 a share and on 31 January 2021 you sold them for $862.14 a share. In January 2021, you also received a cash dividend of $11.64 per share. Calculate the annual holding period yield (in percentage) on your investment.
The annual holding period yield (in percentage) on the investment of 200 shares purchased
at $422.84 a share and sold at $862.14 a share and a cash dividend of $11.24 per share is 14.27%.
Number of shares = 200
Cost per share = $422.84
Selling price per share = $862.14
Dividend per share = $11.24
To calculate the annual holding period yield of the investment, we need to determine
the holding period, the dividend, and the return on investment.
Holding period = (2021 - 2017) = 4 years
Dividend income = $11.24 x 200 = $2,248
Total revenue from selling shares = Selling price per share x Number of shares= $862.14 x 200 = $172,428
Total Cost of 200 shares = Cost per share x Number of shares= $422.84 x 200 = $84,568
Total Return on Investment = Dividend income + Total Revenue from Selling Shares - Total Cost of shares= $2,248 + $172,428 - $84,568= $90,108
Annual Holding Period Yield = ((Total Return on Investment / Total Cost of shares)^(1/number of years)) - 1= (($90,108/$84,568)^(1/4)) - 1= (1.06769^(1/4)) - 1= 0.135 = 13.5% (rounded to one decimal place)Therefore, the annual holding period yield (in percentage) on the investment of 200 shares purchased at $422.84 a share and sold at $862.14 a share and a cash dividend of $11.24 per share is 14.27%. (rounded to two decimal places).
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what do limited partners in a business give up ? why ?
Answer:In return for giving up management power, limited partners get the benefit of protection from personal liability. This means that a limited partner can't be forced to pay off business debts or claims with personal assets. A limited partner, however, can lose his or her financial investment in the business.
Explanation:
Which of the following is not an example of an operational cost?
A. the cost of the manufacturing process
B. the cost of supplies
C. the cost of hiring contractors
D. the cost of opening the business
Answer:
D
Explanation:
Direct expenses are operational expense that can be straightforwardly applied to creating a particular expense object, similar to a decent or administration. Cost objects are things that expenses are alloted to. Instances of direct expenses incorporate direct work, direct materials, and assembling supplies.
Brainliest?
The example of an operating cost does not involve the option d. the cost of opening the business
What are the direct expenses?It is considered to be the operational expense that should be applied for developing the specific expense object.
An example of the direct expense is direct material, supplies assembling, etc.
Therefore, the option d is correct.
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A BIC has been notified that a buyer has decided to walk away from a transaction over the inspection results. The seller states that he is willing to perform under the contract and make repairs to the systems of the property. The buyer still does not want to remain in the contract. In this case, the BIC is allowed to
The Broker-in-charge (BIC) is allowed to take several steps when a buyer decides to walk away from a transaction over the inspection results even when the seller states they are willing to make repairs to the systems of the property.
Here are the steps the BIC can take:
1. First, the BIC should check the sales contract to see if the buyer has any contingencies that allow them to walk away from the sale due to inspection results. If the buyer has contingencies, they may be able to walk away without penalty.
2. If there are no contingencies, the BIC can advise the buyer that they are obligated to follow through with the purchase or risk losing their earnest money deposit. The seller may also choose to sue for specific performance to force the buyer to complete the sale.
3. Alternatively, the BIC can try to negotiate with the seller to see if they are willing to allow the buyer to terminate the contract without penalty. This negotiation can help the buyer avoid losing their deposit or getting sued for specific performance.
4. The BIC can also help the seller by advising them to make the necessary repairs to the property to make it more attractive to potential buyers. This could include repairing any systems that failed inspection, painting the interior or exterior of the property, or updating the landscaping.
5. Ultimately, the BIC's goal is to protect the interests of their client while also ensuring that they are in compliance with state and federal laws. In this case, the BIC should advise the seller to perform under the contract and make the necessary repairs while also informing the buyer of their obligations under the sales contract.
The BIC may also need to help the parties negotiate a resolution that works for everyone involved.
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the difference between a normal income statement and a multi-step income statement is:
The difference between a normal income statement and a multi-step income statement is that a normal income statement presents a simple summary of revenues and expenses, while a multi-step income statement provides a more detailed breakdown of revenues, expenses, and other financial activities, allowing for better analysis and understanding of a company's financial performance.
The main difference between a normal income statement and a multi-step income statement is that a multi-step income statement includes multiple subtotals and calculations that provide a more detailed analysis of a company's revenue and expenses. Unlike a normal income statement, which only presents a simple calculation of total revenue minus total expenses to arrive at net income, a multi-step income statement breaks down revenue and expenses into several categories, such as gross profit, operating expenses, and non-operating income. This allows for a more thorough analysis of a company's financial performance.
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Data about how, when, why, where, and what people buy refers to Group of answer choices demographics. value-based marketing. relational orientation. statistics. marketing analytics.
Data on how, when, why, where and what people buy refers to marketing analytics which is a strategy that companies use to segment their market and develop promotional campaigns that are more aligned with their consumer.
What is Marketing Analytics?It is the area of marketing responsible for collecting data to identify consumption patterns, develop the most effective strategy to reach the target audience and facilitate the decision-making process.
Therefore, a company that performs marketing analysis is more likely to be well positioned in a competitive market, where companies need to identify how to generate value for their consumers to achieve strategic advantages.
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Research the consumer services industries in United States. Choose any one of the consumer services companies and write an essay of about 500 words on how a diverse economy such as the United States can satisfy the needs of its consumers. Consider different cultures and languages, services offered to lower socioeconomic populations, or services offered to disabled consumers or women. Also analyze the challenges faced by the consumer service industry.