The cost of preferred stock that sells for $10 per share and pays a $1.20 dividend with a tax rate of 21% is approximately 8.33%.
To calculate the cost of preferred stock that sells for $10 per share and pays a $1.20 dividend with a tax rate of 21%, you can follow these steps:
Step 1: Calculate the dividend yield.
Dividend Yield = (Dividend per share / Preferred Stock Price) * 100
Step 2: Determine the after-tax dividend yield.
After-Tax Dividend Yield = Dividend Yield * (1 - Tax Rate)
Now, let's use the provided information to calculate the cost of preferred stock:
Step 1: Calculate the dividend yield.
Dividend Yield = ($1.20 / $10) * 100
Dividend Yield = 0.12 * 100
Dividend Yield = 12.00%
Step 2: Determine the after-tax dividend yield.
After-Tax Dividend Yield = 12.00% * (1 - 0.21)
After-Tax Dividend Yield = 12.00% * (0.79)
After-Tax Dividend Yield = 9.48%
From the given multiple-choice options, the closest answer to 9.48% is 8.33%. Therefore, the cost of preferred stock that sells for $10 per share and pays a $1.20 dividend with a tax rate of 21% is approximately 8.33%.
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Complete Question:
If the tax rate is 21%, what is the cost of preferred stock that sells for $10 per share and pays a $1.20 dividend?
Multiple Choice
4.20%8.33%7.80%12.00%Note that common tasks are listed toward the top, and less common tasks are listed toward the bottom. According to
O*NET, what are common tasks performed by Graphic Designers? Check all that apply.
conferring with clients
creating designs, concepts, and sample layouts
scheduling projects for clients
hiring and training new team members
determining size and arrangement of illustrative material and copy
developing graphics and layouts
Answer:
creating designs, concepts, and sample layouts
scheduling projects for clients
determining size and arrangement of illustrative material and copy
developing graphics and layouts
Answer:1,2,5,6.
Explanation:
define business systems
Answer:
In business terminology, a business system refers to the value-added chain, which describes the value-added process, meaning the supply of goods and services. A business can span one or several business systems. Each business system, in itself, generates economic benefit.hope it helps.stay safe healthy and happy...true or false? goodwill only applies to shareholders, and it is the amount of money a shareholder could make after selling a holding in a company
False, goodwill does not only apply to shareholders.
What is a goodwill?
An intangible asset known as goodwill is connected to the acquisition of one business by another. It stands for value that could provide the purchasing business a competitive edge.
The percentage of the purchase price that exceeds the total of the net fair value of all the assets acquired in the acquisition and the liabilities taken on during the process is referred to as goodwill.
Aspects of goodwill include the value of a company's name, brand recognition, devoted clientele, strong customer service, positive staff relations, and proprietary technology. One corporation may pay more for another due of this worth.
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true or false? goodwill only applies to shareholders, and it is the amount of money a shareholder could make after selling a holding in a company
Q3. In this question, you will investigate the relationship between credit ratings and volatility of the stock market for a group of countries. The data in volatility.xls gives the volatility (measured as the standard deviation of stock returns), credit rating (measured as a percentage), and market type (developed, D or emerging, E) for a sample of 30 different countries.
a. Compute the proportion of developed countries in the sample. [1]
b. Construct a histogram for the volatility of the stock returns. What does the distribution look like? [1]
c. Compare the credit ratings of developed versus emerging markets using box plots. [2]
d. Plot volatility (y-axis) against credit rating (x-axis). Color-code the points on the scatterplot such that blue points indicate developed countries whereas green points indicate emerging economies. [2]
e. Based on the scatter plot in part d, are there any notable differences in the volatility-credit rating relationship between developed and emerging economies? [1]
The proportion of developed countries in the sample can be computed by dividing the number of developed countries by the total number of countries in the sample.
What is the proportion of developed countries in the sample?To calculate the proportion of developed countries, we need to determine the number of developed countries and divide it by the total number of countries in the sample. Let's denote the number of developed countries as "D" and the total number of countries as "T".
The proportion of developed countries can be calculated using the formula:
Proportion of developed countries = D / T
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In the Keynesian model, the government can respond to a recessionary or inflationary gap bykeeping government spending constant, and letting the economy adjust on its own.changing financial regulations on banks.changing government spending and relying on the spending multiplier to generate a multiple change in real GDP.
Changing government spending and relying on the spending multiplier to generate a multiple change in real GDP.
In the Keynesian model, the government can respond to a recessionary or inflationary gap by changing government spending and relying on the spending multiplier to generate a multiple change in real GDP.
Keynesian economics suggests that during a recessionary gap, when there is insufficient aggregate demand in the economy, the government can increase its own spending to stimulate economic activity. By increasing government spending, the overall demand in the economy increases, leading to an increase in production, employment, and real GDP. Similarly, during an inflationary gap, when there is excessive aggregate demand leading to rising prices, the government can decrease its spending to reduce overall demand and curb inflationary pressures. The concept of the spending multiplier suggests that changes in government spending can have a larger impact on overall economic output. When the government increases spending, the initial increase in demand leads to additional rounds of spending and income generation, creating a multiplier effect that magnifies the initial impact.
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shows the amount of savings and borrowing in a market for loans to purchase homes, measured in millions of dollars, at various interest rates. What is the equilibrium interest rate and quantity in the capital financial market
Answer:
7% and 135
Explanation:
The computation of the equilibrium interest rate and the quantity is shown below:
As we can see in the attached figure that at the interest rate of 7% the Qd is equivalent to Qs i.e 140
And when it the interest rate is 8% the quantity of lending is 145 and the quantity of borrowing is 135 that decreased the quantity of lending by 140 to 135 so we considered the 135
All other things equal (YTM = 10%), which of the following has the longest duration?
A. a 30-year bond with a 10% coupon
B. a 20-year bond with a 9% coupon
C. a 20-year bond with a 7% coupon
D. a 10-year zero-coupon bond
The following has the longest period: Option A (30 Year bond with 10% Coupon) and Option D (10 Year Zero Coupon Bond).
The required details for Bonds in given paragraph
Duration of bond is the weighted common of the instances till the ones constant coins flows are received. Since amongst all of the different alternatives the 30 yr bond with 10% Coupon will acquire its coins flows with the longest time, Hence 30 Year bond with 10% Coupon has the longest period. A Zero Coupon Bond is the bond wherein the coins float happens most effective on adulthood without a intermediate coins flows in the course of the existence of project, Hence the period of a ten Year Zero Coupon Bond is 10 Years that's the shortest amongst all of the different alternatives. a bond is a kind of security beneath which the issuer (debtor) owes the holder (creditor) a debt, and is obliged – relying at the terms – to pay off the principal (i.e. quantity borrowed) of the bond at the adulthood date as nicely as hobby (known as the coupon) over a particular quantity of time. The hobby is typically payable at constant intervals: semiannual, annual, and much less frequently at different periods. Thus, a bond is a shape of loan or IOU.
Bonds offer the borrower with outside budget to finance long-time period investments or, within side the case of authorities bonds, to finance cutting-edge expenditure.
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Chip and Charlie own a local pizza shop. The pizza was the talk of the neighborhood. When
customers suggested that they open more stores, Chip and Charlie were hesitant. They didn’t
have the money. Chip and Charlie went ahead with plans to open another shop across town.
To finance the venture, the partners formed a private corporation and sold shares of stock to
friends. They chose a legal arrangement that allowed them to avoid dual taxation.
The form of private corporation that Chips and Charlie chose is the S corporation.
An s corporation is a type of privately held corporation that elects to pass its corporate earnings through its shareholders for the purposes of federal tax. This allows a s-corporation to be taxed only once. The company does not pay federal income tax.
In order for a corporation to be classified as a s corporation, it must meet several requirements set forth by the Internal Revenue Service. Some of these requirements include:
Shareholders must not exceed 100.The corporation should be incorporated in the United States.The corporation must have only one type of shares.To learn more about s corporation, please check: https://brainly.com/question/16128695?referrer=searchResults
where does McKenna grace live? Brainliest for the correct answer
Answer:
McKenna grace lives in Texas of America.
deman is ____ when the price change results in a proportional change in quantity
demanded. This type of demand is __________________ to find.
Answer:
Unit elastic, difficult
Wich of the following accounts is credited after the sale of a fully depreciated asset
Answer:
Relevant asset account is credited
A lower incidence of accidents and diseases, a reduced level of occupational stress, and improved QWL result in all of the following except _______.
a. Greater efficiency from workers
b. Greater flexibility and adaptability in the workforce
c. Greater workers’ compensation rates
d. Greater productivity due to fewer lost days
A lower incidence of accidents and diseases, a reduced level of occupational stress, and improved quality of work-life (QWL) result in all of the following except:
c. Greater workers' compensation rates.
Improving workplace safety, reducing occupational stress, and enhancing the quality of work-life can lead to several positive outcomes. These include greater efficiency from workers, greater flexibility and adaptability in the workforce, and greater productivity due to fewer lost days.
However, it does not necessarily result in greater workers' compensation rates. Workers' compensation rates typically depend on factors such as the severity of accidents, injury rates, and specific insurance policies rather than solely on the overall improvement in workplace conditions.
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nancy was both nervous and excited about her phone call with a client. her enthusiasm was manifested in the phone call by fast and seemingly rushed talking. which of the following is the most likely reaction from the client? a - the client believed Nancy was late for an appointment
b - the client believed Nancy was distracted
c - the client thought Nancy was overly prepared
d - the client felt Nancy was enthusiastic about the phone call
The most likely reaction from the client when Nancy was both nervous and excited about her phone call with a client is that the client felt Nancy was enthusiastic about the phone call. Therefore, option D is correct.
What is Enthusiasm?Enthusiasm is an intense emotion characterized by a powerful inclination or desire to engage in something. It may be sparked by someone, something, or an idea. Enthusiasm is frequently regarded as having a favorable attitude towards a person, subject, or task, and it is a crucial factor in personal and professional achievement. It is an essential aspect of motivation and is commonly associated with goal accomplishment.
In the question at hand, Nancy was both nervous and excited about her phone call with a client. Her enthusiasm was manifested in the phone call by fast and seemingly rushed talking. Therefore, it is most likely that the client felt Nancy was enthusiastic about the phone call.
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The interbank market is the money market in which banks borrow or lend among themselves. One interest rate at which funds are offered to first-class banks is called LIBOR. What does the "L" in this abbreviation stand for?
The "L" in LIBOR stands for "London." LIBOR is an acronym for London Interbank Offered Rate. It is a benchmark interest rate used in the interbank market, where banks borrow or lend among themselves. LIBOR is commonly used as a reference rate for various financial instruments such as loans, mortgages, and derivatives.
To provide more context, the interbank market is a critical component of the global financial system. Banks participate in this market to manage their liquidity, to meet reserve requirements, or to provide short-term loans to other banks in need of funds. LIBOR is determined based on the average interest rate at which first-class banks are willing to lend unsecured funds to each other. It is published daily in various currencies and for different loan maturities.
As a key interest rate, LIBOR influences borrowing costs for individuals, businesses, and governments around the world. It is an essential tool for central banks in implementing monetary policy and ensuring stability in the financial system. However, due to some rate manipulation scandals, LIBOR is being replaced by alternative reference rates, such as the Secured Overnight Financing Rate (SOFR) in the United States.
In summary, the "L" in LIBOR represents "London," and the full abbreviation stands for London Interbank Offered Rate, a vital benchmark interest rate in the global interbank market.
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For questions #1 - #4: Visit the PeachState Credit Union Website
https://www.peachstatefcu.org/ (Links to an external site.) Click on Accounts --> Checking
What is the name of the account for young adults?
Group of answer choices
eXtreme Checking
CU60 Checking
Basic Checking
Fresh Start Checking
Premium Checking
Answer:
I'm pretty sure that the answer is basic checking I'm not sure but you could try it if nobody else has an answer for you :)
what is a factor that affects a business relations with its customers?
There are the following factors on which the business relationship with its customers depends.
1. Treat your customers politely: Customers become happy only if all their issues are resolved correctly and early. Being a representative of your business address your customers by their name and with due respect at the very beginning of the conversation to let them know that you know their very Vell name and try to interact with them genuinely to know their problems and to fix them all.
2. Become a good listener: Always try to hear your customer what is saying and listen to their problems. Truly listening to your customers is very important it not only helps to resolve issues rather it is one of the customer relationship building processes Listening gives them satisfaction. They will get satisfaction after positively talking to you.
3. Try to build trust: It needs many positive experiences to cover up the dissatisfaction of a single negative experience of a customer. In the customer relationship-building process it is necessary to build trust among your customers. always say the truth to your customers. Let your customers know clearly about all the new positive and negative changes occurred in your products or services. Be honest as well as transparent because these are crucial factors in customer relationship building.
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60 POINTS PLS HELP ASAP
(this is a short answer question)
What are the taxes you will have to pay and what impact will they have on the spending decisions you make?
Please make sure to include the following in your response:
What taxes will you be responsible for?
Explain the impact taxes have on your financial decisions.
Explain the benefits and consequences of taxes on your income?
Explain how different regions of the country would affect your take home pay?
Why do we pay taxes and what they are used for?
How and why do you need to file for your taxes?
What taxes will you be responsible for?
The taxes you will be responsible for depend on various factors such as your income, employment status, and where you live. Some of the most common taxes include federal income tax, state income tax, property tax, sales tax, and social security tax.
Explain the impact taxes have on your financial decisions.
Taxes can have a significant impact on your financial decisions as they reduce the amount of money you have available to spend or save. Depending on your tax bracket and the taxes you owe, you may have to adjust your spending habits and financial goals accordingly.
Explain the benefits and consequences of taxes on your income?
The benefits of taxes on your income include funding public goods and services such as healthcare, education, infrastructure, and national defense. Taxes also help to reduce income inequality by redistributing wealth through social welfare programs. However, taxes can also have negative consequences on your income such as reducing your disposable income and decreasing your purchasing power.
Explain how different regions of the country would affect your take-home pay?
Different regions of the country can have different tax rates and regulations that affect your take-home pay. For example, if you live in a state with high income and property taxes, you may end up paying more in taxes and having less take-home pay than if you lived in a state with lower taxes.
Why do we pay taxes and what are they used for?
We pay taxes to fund public goods and services such as healthcare, education, infrastructure, and national defense. Taxes are also used to redistribute wealth and reduce income inequality through social welfare programs.
How and why do you need to file for your taxes?
Filing for taxes is required by law in most countries, and it involves reporting your income, deductions, and tax liabilities to the government. Filing for taxes is necessary to ensure that you are paying the correct amount of taxes owed and avoiding any penalties or legal consequences for failing to do so. It's important to file for taxes accurately and on time to avoid any unnecessary financial burdens or legal issues.
A developer is hard at work on a project that would store hundreds of millions of product reviews in an Amazon DynamoDB database. The records include the following data elements shown in the table :
Name : reviewID ; starRating ; comment ; productID
Type : Number ; Number ; String ; Number
Description : 16 Digit UUID ; Integer 1-5 of user rating ; Product ID Being Reviewed
Which field, when used as the partition key, would result in the MOST consistent performance using DynamoDB?
A. starRating
B. reviewID
C. comment
D. productID
The most consistent performance using DynamoDB is review ID.
The partition key value is used by DynamoDB as an input to an internal hash function.The hash function's output determines the partition (physical storage internal to DynamoDB) in which the item will be stored. DynamoDB does an all-partition scan when the user queries or scans a table or secondary index.
In the given case, When used as a partition key in DynamoDB in the example, review ID would produce the MOST consistent performance. When review ID is used as the partition key, the data will be distributed evenly over all the partitions and will be unique for each review. By doing this, DynamoDB will be able to fetch the records quickly and consistently.
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the total export was 1 500 000 and the total import was 2 250 000 .. Calculate the balance of trade?
Answer:
-750,000
Explanation:
The export is generally the profit, or the amount gained from selling (either a service or a product). The import is the loss, as you pay for the commodity or service.
In this case:
Total import: 2 250 000
Total export: 1 500 000
2 250 000 - 1 500 000 = 750 000
The balance of trade is: -750,000 (or a loss of 750k).
~
what are the top three industries that employ this career
According to the Bureau of Labor Statistics (BLS), the top three industries that employ credit analysts are: Banking, Finance and insurance and Credit rating agencies.
Banking
Credit analysts in the banking industry assess the creditworthiness of individuals and businesses to determine whether they qualify for loans. They also monitor borrowers' credit histories to ensure that they are making their payments on time.
The BLS projects that employment of credit analysts in the banking industry will grow 9% from 2020 to 2030, about as fast as the average for all occupations. This growth is expected to be driven by the increasing demand for credit from individuals and businesses.
Finance and insurance
Credit analysts in the finance and insurance industry assess the creditworthiness of companies and government entities to determine whether they qualify for bonds or other forms of debt financing. They also monitor the financial health of these borrowers to ensure that they are able to repay their debts.
The BLS projects that employment of credit analysts in the finance and insurance industry will grow 7% from 2020 to 2030, about as fast as the average for all occupations. This growth is expected to be driven by the increasing demand for credit from companies and government entities.
Credit rating agencies
Credit analysts at credit rating agencies assign ratings to debt securities, such as bonds and stocks. These ratings are used by investors to assess the riskiness of these investments.
The BLS projects that employment of credit analysts at credit rating agencies will grow 6% from 2020 to 2030, about as fast as the average for all occupations. This growth is expected to be driven by the increasing demand for credit ratings from investors.
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A private pilot wishes to insure his airplane for $200,000. The insurance company estimates that a total loss will occur with probability .002, a 50% loss with probability .01, and a 25% loss with probability .1. Ignoring all other partial losses, what premium should the insurance company charge each year to realize an average profit of $500?
The insurance company should charge an annual premium of $2,520 to realize an average profit of $500.
To determine the premium that the insurance company should charge, we need to calculate the expected value of the losses and add the desired profit margin.
Given that the private pilot wishes to insure the airplane for $200,000, and the insurance company estimates the probabilities of different loss scenarios, we can calculate the expected value of the losses.
The expected value of a loss is calculated by multiplying the loss amount by its corresponding probability and summing up all the expected losses.
Expected Loss = (Loss Amount) * (Probability)
Total Expected Loss = (0.002 * 200,000) + (0.01 * 0.5 * 200,000) + (0.1 * 0.25 * 200,000)
= 400 + 1,000 + 5,000
= 6,400
To realize an average profit of $500, the insurance company should charge a premium that covers this expected loss and includes the desired profit margin.
Premium = Expected Loss + Desired Profit
= 6,400 + 500
= 6,900
Therefore, the insurance company should charge an annual premium of $6,900 to achieve an average profit of $500.
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A(n) ____ is an object, person, or other entity that is a potential risk of loss to an asset.
A. Threat
B. Intellectual property
C. Payload
D. Trojan horse
Threat is an object, person, or other entity that is a potential risk of loss to an asset.
What is asset?An asset is an economic resource that has potential to generate future economic value for its owner. Assets can be tangible, such as property, cash, and investments, or intangible, such as intellectual property, copyrights, and trademarks. Assets are also classified as either current or non-current, depending on their expected useful life. Assets are typically recorded on a company's balance sheet, and represent the company's ownership of resources. Assets are beneficial to the business because they can be used to generate revenue and profits, and can also be used as collateral in order to obtain financing.
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Which of the following is an argument in favor of government regulation in a free-enterprise system?
Responses:
-Alleviation of wealth gaps
-Higher business costs
-Competition between businesses
-Inefficient processes
An argument in favor of government regulation in a free-enterprise system response as an alleviation of wealth gaps. The correct option is (A).
What do you mean by free- enterprise system?An economic system referred to as free enterprise gives people the freedom to manage their own finances without interference from the government and as independently profitable companies.
To uphold law and order, defend the right of individuals to own property, and implement voluntarily entered-into agreements, the government has the coercive authority. In substance, the free business system functions under the protection of the government.
Therefore, an argument in favor of government regulation in a free-enterprise system response as an alleviation of wealth gaps.
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Which of the following helps to avoid wasting resources on goals that CANNOT be
accomplished?
Flexibility
Realistic expectations
Persistence
Organized planning
Realistic expectations helps to avoid wastage of resources.
What is Realistic expectations?Realistic expectations refers to goals or Target that are set which is realistic or can sensibly be achieved at the set time. Something you know you can achieve base on what you have and the solutions you intend to give.
Therefore, Realistic expectations helps to avoid wastage of resources.
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REALLLYYYY NEEED HELLLPPP!!!!
Questions below!!
1. Players in Game B are likely to rate their game as more fair, because the starting wealth is more evenly distributed between the various classes and the salaries are more balanced.
What is salaries?Salaries refer to the periodic payments made to employees for their services. Salaries may be paid on a weekly, bi-weekly, monthly, or annual basis, depending on the type of job and the agreement between the employer and the employee. Salaries may be paid in cash, by check, through direct deposit, or in other forms. Generally, salaries are based on the amount of work performed and may be influenced by factors such as experience, education, and performance.
This creates a more level playing field and gives players of all classes more opportunities to succeed.
2. Players in the middle class are likely to rate the game as most fair, because they have the best balance of starting wealth and salary when compared to the other classes.
3. Players in the upper class are likely to cheat the most, because they have the highest starting wealth and salary and therefore the most incentive to try and increase their wealth even further.
4. Game B gives players the most opportunity for success, because it is more evenly stratified and provides more balanced starting wealth and salaries for each class. This gives players of all classes more opportunity to succeed, rather than giving an advantage to those in the upper classes.
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When there is an increase in the price of one good what will happen to the demand of its substitute product?
There is an increase in the price of one good or substitute goods. Then, the demand curve for other good to shift will happen to the demand of its substitute product.
The demand curve according to the economics, shows the relation between the price of a certain commodity and the quantity of that commodity that is demanded at that price.
The change in price of one product in pair of substitute goods can cause demand curve for other good to shift. If price goes up for one thing, the other product will usually increase in quantity of demand because people will pay for the cheaper of the two.
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the magnitude of operating leverage for perkins corporation is 4.5 when sales are $100,000. if sales increase to $110,000, profits would be expected to increase by what percent? a. 4.5% b.14.5% c.45% d.10%
It would be anticipated that the profit would rise by 45%. The appropriate response to the given question is option (c).
What is Operating Leverage?The percentage of a company's cost structure that is made up of fixed expenses as opposed to variable costs is measured by operating leverage. A corporation is said to have more operating leverage if its fixed expenses are higher than its variable costs.
Magnitude of operating leverage= 4.5
Old sales= $100000
New sales= $110000
Percentage increase in sales:
(New-old)/old = (110,000-100,000)/100,000
= 10%
Consequently, a percentage rise in profit might be anticipated:
sales percentage growth times the degree of operational leverage
= 10% * 4.5
= 45%
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help!
Sandhill Corporation accumulates the following data concerning a mixed cost, using miles as the activity level. Compute the variable and fixed cost components using the high-low method. (Round variabl
The variable and fixed cost components using the high-low method for Sandhill Corporation are Variable Cost: $1.50 per mile and Fixed Cost: $19,000.Given data:Miles Driven | Total Cost 5000 | $23,5009000 | $32,500.
The High-Low Method is a simple approach used to determine the mix cost formula. The mixed cost formula is used to estimate total mixed costs at any given level of activity within the relevant range.
The High-Low Method includes two steps:
Step 1: Calculate the Variable Cost per Unit Variable Cost per Unit = Change in Cost / Change in Activity Variable Cost per Unit = [(High Total Cost - Low Total Cost) / (High Miles - Low Miles)]Variable Cost per Unit = [($32,500 - $23,500) / (9,000 - 5,000)]Variable Cost per Unit = $1.50 per mile.
Step 2: Calculate Fixed Cost .
Using the High-Low method, the fixed cost is calculated as follows:Fixed Cost = Total Cost - (Variable Cost per Unit x Miles)
Using the high data point:Fixed Cost = $32,500 - ($1.50 x 9,000)Fixed Cost = $32,500 - $13,500 Fixed Cost = $19,000.Thus, the variable and fixed cost components using the high-low method for Sandhill Corporation are Variable Cost: $1.50 per mile and Fixed Cost: $19,000.
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paid Rs 1,00,000 to so Mrs Shakya as an advance to purchase office furniture.
It's journal voucher.....
Answer:
Dr. BE Mrs shakya, advance for furniture and fixtures
Cr. NRB
what's the time now?
Answer:
13:20 UK timeeeeeeeeee