dentify capital budgeting decisions. multiple select question. employee attainment decisions equipment replacement decisions expansion decisions product costing decisions

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Answer 1

According to the facts in the question, the step of group decision-making being discussed is Analyzing the decision that needs to be made. They are being asked to “assess a condition. the answer is product costing decision.

Which implies that a decision has already been made and that they must examine it to ensure that it is exactly what they desire.It implies that ideals and unconsciously held abilities, reflexes, and habits constrain decision-makers.A model of decision-makers who use their own perception and sense of reason to address difficult issues is called limited rationality. This occurs when decision-makers search for answers based on their own constrained thinking, ignoring every technology process already in use, including data analysis and artificial intelligence, which are useful tools for minimising constraints.The drawback of limited rationality is that it doesn’t optimise the decision-making process.

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which accounting type allows for accounts receivable (ar) to be recorded at the time of service delivery rather than

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Accounting type that allows for Account Receivable (AR) to be recorded at the time of service of delivery rather than when the money is received called Accrual Basis of Accounting.

Accrual Basis of Accounting is one of 2 basis on accounting which records revenues when earner and expenses as it incurred. This approach does not relay on the cash existence in every transaction. This approach will impact the balance sheet because the receivable or payables would be recorded even in the absence of a related cash receipt or payment.

Accrual Basis of Accounting provides more accurate picture of the company's performance and finances. Decision making process could be easily done because this type of accounting allows company to predicts the future condition and long-term of their financial statement.

However, doing accrual basis of accounting maybe confusing because we not only have to focus on our invoices but also on the company's bank accounts. The company may also be taxed by the services or works they've not been paid for.

Another type of accounting is Cash Basis of Accounting. Cash Basis of Accounting recognizes every transaction based on the existence of the cash receipt or payment. Cash basis of accounting will only record and recognize income and expenses when money do change hands.

Cash Basis of Accounting is more simple and show clearly about the amount of money on hand. A company who is using this kind of accounting type only have to pay tax based on the money they have received.

However recording the transaction mainly based on the cash movement is not accurate. Some works may have been done but not yet received the payment, or many expenses and bills may already take place but haven't been paid. When making management decision, this type of accounting could hinder the decision making process because the  company only have a day-to-day finance informations.

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when billing the insurance company, what resource provides the medical assistant with a common coding system representing procedures, supplies, and products not included in the cpt coding system?

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HCPCS resource gives the medical assistant a common coding system to use when billing the insurance company for procedures, supplies, and items not covered by the CPT coding system.

Why is the HCPCS coding system used?

A group of uniform codes known as HCPCS are used to identify medical procedures, supplies, goods, and services. The codes are used to make it easier for Medicare and other insurers to handle health insurance claims.

What does an HCPCS code do in terms of invoicing and insurance for healthcare?

The Healthcare Common Procedure Coding System (HCPCS) is a database of codes that describe the procedures, products, and services that Medicare beneficiaries and people covered by private health insurance plans may get.

Do CPT codes appear in HCPCS codes?

Level I and Level II of the HCPCS are the two main subsystems that make up the HCPCS. CPT (Current Procedural Terminology), a numerical coding system administered by the American.

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because you are suspected of sending out bulk unsolicited e-mail advertisements, the ftc asks your internet service provider to supply information on what you do in foreign jurisdictions. will you succeed in a lawsuit against your internet service provider for providing such information to the ftc?

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No, internet service provider is not providing such information to the ftc because the ISP is shielded from accountability for such behaviour by the US Safe Web Act.

The enforcement of civil (non-criminal) antitrust legislation and the promotion of consumer protection are the primary responsibilities of the Federal Trade Commission (FTC), an independent body of the US government.

Together with the Department of Justice Antitrust Division, the FTC is responsible for overseeing federal civil antitrust enforcement. The Federal Trade Commission Building in Washington, DC, serves as the organization's headquarters. In reaction to the monopolistic trust crises of the 19th century, the Federal Trade Commission

Act, which became law in 1914, formed the FTC. Since its founding, the FTC has enforced both the provisions of the FTC Act, 15 U.S.C. 41 et seq., as well as the provisions of the Clayton Act, a significant antitrust act.

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because walmart is such a large organization, its sales volume is enormous. as a result, the company has great bargaining power with its suppliers to lower the price walmart pays for merchandise to be shipped to its stores to be sold. this illustrates multiple choice learning effects. economies of scale. purchasing power parity. subsidiary skills.

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The company has great bargaining power with its suppliers to lower the price Walmart pays for merchandise to be shipped to its stores to be sold. This illustrates an economies of scale.

Cost advantages that businesses enjoy when production becomes efficient are known as economies of scale. By increasing production and reducing expenses, businesses can attain economies of scale. Costs are divided among more products, which causes this. Costs come in fixed and variable forms.

When it comes to economies of scale, the size of the business typically matters. Cost savings increase with business size. Both internal and external economies of scale are possible. While external economies of scale are influenced by outside causes, internal ones are based on management choices.

Internal operations such as accounting, IT, and marketing are also seen as operational efficiencies and synergies.

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what factors make capital appreciation bonds (can) a controversial method for local governments to finance projects?

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Without raising taxes, they enable local governments to finance new initiatives.

A taxes is a mandatory financial charge or other sort of levy that is placed on a taxpayer by an administrative body to pay for various public expenditures, taxes, and administrative costs. A government organization collects taxes from people or businesses as mandated contributions. A tax credit is a sum of money that taxpayers are allowed to deduct, dollar for dollar, from the income taxes they must pay. Since tax credits lower the total amount of tax owed rather than simply the amount of taxable income, they are preferable to tax deductions. A nation's customs officials collect import duty, which is a tax, on both imports and some exports. The import duty will often be determined by a product's worth. Customs duties, tariffs, import taxes, and import tariffs are other names for import duties that depend on the context.

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the overall growth in the market and the impact on a company caused by expanding production and by the company's ability to achieve greater economies of scale?

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Impacts of economic integration are the general development on the lookout and the effect on an organization brought about by growing creation and by the organization's capacity to accomplish more prominent economies of scale.

What is the impact of an expansion in the degree of creation by firms?

Expansions in efficiency permit firms to deliver more noteworthy result for a similar degree of info, procure higher incomes, and at last create higher GDP.

What are the reasons for economies of scale?

Economies of scale happen when an organization's creation expansions in a manner that lessens per-unit costs. Inner economies of scale can result from specialized enhancements, administrative proficiency, monetary capacity, monopsony power, or admittance to enormous organizations

What are the sorts of economy of scale?

There are two sorts of economies of scale: inside and outside economies of scale.

Inner economies of scale are firm-explicit or caused inside while outer economies of scale happen in light of bigger changes outside the firm.

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the state income tax where kristin lives is levied at the rate of p\%p% of the first \$ 28000$28000 of annual income plus (p 2)\%(p 2)% of any amount above \$ 28000$28000. kristin noticed that the state income tax she paid amounted to (p 0.25)\%(p 0.25)% of her annual income. what was her annual income?

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Kristin's annual income is $32000.

Let A, and T be Kristin's annual income and the income tax total, respectively.

T = p%×28000+(p+2)%×(A-28000)

= p%×28000+ p%×(A-28000) + 2%×(A-28000)

=p%×A+2%×(A-28000)

According to the question,

T=(p+0.25)%×A=p%×A+0.25%×A

p%×A+2%×(A-28000) = (p+0.25)%×A=p%×A+0.25%×A

2%×(A-28000) = 0.25%×A

A = $32000

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assume disposable income increased by $2,500 and consumption spending increased by $2,000. what is the marginal propensity to consume (mpc)?

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The marginal propensity to consume (MPC) was 0.2 .

The marginal propensity to save (MPS) is an economic measure of how savings change as income changes. It is simple to calculate by dividing the change in savings by the change in income. A higher MPS suggests that small changes in income result in large changes in savings, and vice versa.

The Master Production Schedule (MPS) is a comprehensive timetable of our future production. It specifies what product will be manufactured, when it will be manufactured, and in what quantity.

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zoe company reports the following for its overhead cost for the year. activity budgeted cost budgeted activity usage engineering support $ 98,000 70 design changes electricity 136,000 3,400 machine hours setup 210,000 350 setups compute the activity rate for engineering support using activity-based costing.

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The activity rate for engineering support using activity-based costing is $1400.

What is an activity-based costing rate?

An activity-based costing rate is calculated by allocating indirect costs to a cost pool, totaling the costs in that cost pool, and then dividing the total cost pool by the cost driver. Activity rates are the allocation rates used in activity-based costing to assign overhead costs to the product manufactured.

For each activity cost pool, an activity rate is calculated using an appropriate activity driver as an allocation base. ABC is a costing method that identifies an organization's activities and assigns the cost of each activity to all services and products based on their actual consumption. As a result, when compared to traditional costing, this model assigns more indirect costs (overhead) to direct costs.

Activity rate for engineering support will be:

= Budgeted cost / Budgeted activity usage

= 98000 / 70

= 1400

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suppose a firm has had the historical sales figures shown as follows. what would be the forecast for next year's sales using the average approach? year20172018201920202021 sales$ 500,000$ 750,000$ 700,000$ 750,000$ 775,000

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The forecast for next year's sales, using the average approach, is $ 695, 000

How to find the forecast for sales?

When using the average approach to forecast sales, the average sales figure of the sales from the previous years, are averaged, and the average will be the forecasted sales figure for the next year .

The average of the sales from 2017 to 2021 is:

= (500, 000 + 750, 000 + 700, 000 + 750, 000 + 775, 000 ) / 5 years

= 3, 475, 000 / 5

= $ 695, 000

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Determine the effective tax rate for a taxable income of $63,425. round the final answer to the nearest hundredth. 10% 14.67% 15.18% 22%

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22% is the effective tax rate.The effective tax rate is the proportion of income that a person or business must pay or withhold as taxes.

The average tax rate paid by an individual on both earned and unearned income, such as stock dividends, is referred to as their effective tax rate. The progressive tax model states that as income increases, the tax rate increases, moving people into a higher tax band. Any taxable income produced outside of that range is taxed at the next highest tax rate; each marginal tax rate only applies to income earned within that bracket. This means that all new income produced above the previous bracket is taxed at a higher rate for higher income individuals.Here, the provided table displays theFor taxable income in the income range of $40,526 to $86,375, the marginal tax rate is 22%.Actual tax rate:Effective tax rate = total taxes owed/taxable income multiplied by 100.Effective tax rate: $6,847.50/$56,152.5 multiplied by 100.Tax rate in effect: 10.869%.

Tax rate in effect: 10.87% (Approximately)With a total tax obligation of $6,847.50, taxable income of $56,152.2, a marginal tax rate of 22%, and an effective tax rate of 10.87%, they are excluded.

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taxes cause deadweight losses because taxes a. reduce the sum of producer and consumer surpluses by more than the amount of tax revenue. b. prevent buyers and sellers from realizing some of the gains from trade. c. cause marginal buyers and marginal sellers to leave the market, causing the quantity sold to fall. d. all of the above are correct.

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Taxes cause deadweight losses because taxes prevent buyers and sellers from realizing some of the gains from trade.

The outcome is the same whether the taxes on a good apply to the consumers or sellers of that good. When purchasers pay the tax, the demand curve shifts downward by the same percentage as the tax; when sellers pay the tax, the supply curve shifts upward by the same percentage as the tax. When a tax is implemented, the price that purchasers pay rises and the price that sellers receive falls in both situations. How the taxes burden is split between producers and consumers is ultimately determined by the elasticities of supply and demand. No matter who pays the tax, the distribution is the same.

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which of the following are included in the net tax flows between businesses and the government? multiple select question. sales taxes low-interest government loans income taxes federal employee salaries

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Include income taxes, low-interest government loans, and sales taxes in the net tax flows between businesses and the government.

What is an illustration of a tax expense?

Tax expenditures include, for instance, individual itemized deductions for charitable contributions, mortgage interest, and state and local taxes.

Which method of taxation generates more revenue for the government?

According to the Income Tax Act of 1962 (the Act), income tax is the primary source of revenue for the government.

What is the taxation system?

There are numerous tax forms in the system, each of which is unique. This framework is a bunch of establishments and instruments accessible to burden experts for accomplishing specific financial, monetary, social and political objectives inside the monetary framework.

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which candidate for the position of ceo provides the best opportunity for strategic change to occur within the firm?

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Someone from outside the firm and outside the firm's industry candidate for the position of CEO provides the best opportunity for strategic change to occur within the firm.

What part does management play in a change in strategy?

Companies can implement necessary changes with care and responsibility through strategic change management. The process of managing change in an organized, deliberate manner in order to fulfill organizational goals, objectives, and missions is known as strategic change management.

Effective leaders carry out the routine duties involved in developing and implementing a strategy. They create a strategic vision and mission, establish goals and objectives, build the tactics, put them into action, and then assess the results

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your employer uses a career average formula to determine retirement payments to its employees. you have 20 years of service at the company and are considering retirement at some time in the next 10 years. your average salary over the 20 years has been $50,000 and you expect this to increase at a rate of 1% a year. your employer uses a career average formula by which you receive an annual benefit payment of 5% of your career average salary times the number of years of service. calculate the annual benefit if you retire now, in 2 years, in 5 years, 8 years, and 10 years.

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The average income of a person in a given profession is referred to by this phrase. This is intended to provide readers a broad notion of how much money someone in that profession may expect to make. "Median" salary is a comparable phrase that serves the same function.

The following is the annual benefit if you retire right away, in two years, five years, eight years, or ten years:

Years worked = Y; Salary: S; Average: S; Benefit annually = Y x S x 5%

1) 28, 69000, 96600

2) 31, 71500, 110825

3) 33, 73,000, 120450

The average compensation given to employees in a position reflects both the position's internal value to an organization and its market value. Average salary refers to the member's yearly earnings on average that were received or believed to have been received during the time frame.

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what two variables were necessary for the bretton woods system to work? multiple select question. us could no longer trade with europe. us could not run a balance-of-payments deficit. us needed to import as much as it exported. us inflation needed to remain low.

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the two variables  necessary for the Bretton woods system to work are

If the US did not have a balance-of-payments deficit

If the US inflation rate remained low

The Bretton Woods system found its political foundation in the fusion of two critical conditions: the shared experiences of two World Wars, with the sense that the inability to deal with economic difficulties after the first war had led to the second; and the concentration of authority in a small number of states.

Following the 1944 Bretton Woods Agreement, the Bretton Woods system of monetary management established the regulations for commercial and financial relations among the United States, Canada, Western European countries, Australia, and Japan. The Bretton Woods system was the first fully negotiated monetary order designed to govern financial relations between independent states.

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how much should new parents invest now at 8% per year compounded quarterly to have $20,000.00 towards their child's college education in 9 years?

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New parents should invest $7,570 at 8% per year compounded quarterly to have $20,000 towards their child's college education in 9 years.

What is investment and how much should new parents invest now at 8% per year compounded quarterly ?Investment is the money put on some asset either or to save it in account in order to keep it to buy some asset .Investments could be in the form of shares, property and investment funds that people generally put money onto .Here the question is asked of how much new parents invest now at 8% per year compounded quarterly to have $ 20,000 towards their child's college education in 9 years.Hence the new parents should invest $7,570 at 8% per year compounded quarterly to have $20,000 towards their child's college education in 9 years.The investment of new parents at 8% per year would approximately be $7,570 compounded quarterly to have $20,000 towards their child's college education.

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your current $115,000 mortgage calls for monthly payments over 30 years at an annual interest rate of 7 percent. if you pay an additional $50 each month beginning with the first payment, how much interest expense do you save by prepaying?

Answers

$32,764 interest expense can be saved by prepaying

Mortgage amount = $115,000

Annual Interest rate = 7%

Term of mortgage = 30 years

Additional monthly payment = $50

Initial monthly payment = $765

New monthly payment = 765 + 50 = $815

New term (months) = 298

Total of payments (original) = $275,435

Total of payments (new) = $242,671

An interest expense is a cost incurred by a business for borrowing money. On the income statement, interest expense is a non-operating expense. It denotes the interest payable on all borrowings, including bonds, loans, convertible debt, and lines of credit. It is calculated by multiplying the interest rate by the outstanding principal amount of the debt. On the income statement, interest expense represents interest accrued during the period covered by the financial statements, not interest paid during that period.

Mortgage interest is the single-largest category of interest expense for most people over their lifetimes, as it can total tens of thousands of dollars over the course of a mortgage, as illustrated by online calculators.

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a u.s. treasury bill with 108 days to maturity is quoted at a discount yield of 2.00 percent. assume a $1 million face value. what is the bond equivalent yield?

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The bond equivalent yield of U.S. treasury bill is 1.37%.

What is bond equivalent yield?

Financially speaking, the bond equivalent yield (BEY) is a statistic that allows investors to figure out the yearly percentage yield for fixed-come assets, even if they are discounted short-term bets that only pay out on a monthly, quarterly, or semi-annual basis. Investors can contrast the performance of these investments with that of conventional fixed income assets, which last for a year or more and generate yearly yields, thanks to the BEY numbers that are readily available to them. This enables investors to build their total fixed-income portfolios with more knowledge and to make better decisions. The bond equivalent yield is computed by dividing the difference between the bond's face value and its purchase price by the bond's price.

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martha, a marketing researcher, is currently analyzing the information collected and determining what possible opportunities it has for management. at which stage of marketing research is she?

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Martha, a marketing researcher, is currently analyzing the information collected which reflects that she is at the interpreting information stage of marketing research.

Interpreting information in marketing research helps the company to make effective strategies for sales and consumer satisfaction. It widens the scope of success of the campaigns started by the company.

Marketing data is usually collected by surveys, questionnaires, focus groups, and quantitative measures. The collected data is further researched based on the target that needs to be improved in a product.

The data is objectively reviewed and the marketing researcher provides a report on the product whether it is effective or needs improvement.

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complex and expensive technology is needed to develop products at feel-better pharmaceuticals based in austin, texas. for this reason, the company plans to have a plant built in portugal that is ready for full operation and will be used for products sold in europe. what type of entry mode is feel-better pharmaceuticals using?

Answers

Using medications to make you feel better is a turnkey project sort of entrance mode. At Austin, Texas-based feel-better medicines, developing drugs requires sophisticated and pricey equipment.

What does a brief definition of technology mean?

Technology, or as it is sometimes referred to, the modification and modification of the human environment, is the application of practical application of such new goals of human life.

What makes technology so crucial?

Information technology is crucial in our lives because it makes managing with the uncertain facets of life easier. Technology offers a variety of methods to promote development and information exchange. IT intends to implement both of these objectives in simplifying tasks and find solutions to lots of issues.

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geek squad performs services for a customer and bills the customer for $500. how would geek squad record this transaction?

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The correct answer is Accounts receivable increase by $500 or revenues increase by $500

Money due by organisations to the company on the sale of goods or services on credit is represented by accounts receivable. In the majority of business entities, accounts receivable are normally handled by creating an invoice, mailing it or delivering it electronically to the client, who is then required to pay it within a predetermined window of time known as the credit terms or payment terms.

The amount of sales a company made.

Monetary compensation for goods or services.

Every month, there are different amounts due (debtors).

Receiving money on behalf of a business and applying it to outstanding balances is the responsibility of the accounts receivable department.

Accounts receivable includes the cashiering and collection teams. The cashiering team uses the funds collected while the collections section looks for the debtor.

It is crucial to pay attention to this indicator because accounts receivable might affect the company's liquidity. Consequently, the investment risk ought to be as low as possible.

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judy nicely, cfa, works for a large brokerage firm managing portfolios for individuals. in a meeting with patty owen, a client, nicely suggests moving a portion of owen's portfolio to u.s. bank certificates of deposit. nicely states that the principal is guaranteed up to federal deposit insurance corporation limits. nicely has:

Answers

Complied with CFA Institute Standards of Professional Conduct.

A bank certificate is only a letter from the bank that details how much money the account holder has on the date the certificate is sought, among other information. The Bank Statement, on the other hand, details all transactions made by the account holder from one certain date to another.

What is Bank certificates ?

A certificate of deposit (CD) is a type of savings account where the issuing bank pays interest in exchange for holding a specified sum of money for a predetermined length of time, such as six months, a year, or five years. You will receive the amount you initially invested plus any interest when you cash in or redeem your CD.

What is federal deposit insurance corporation limits ?

For each category of account ownership, the usual insurance amount is $250,000 per depositor, each insured bank. For deposits held in various account ownership types, the FDIC offers different levels of coverage.

Deposits are insured by the FDIC, which also oversees receiverships, makes huge and complicated financial institutions resolvable, and inspects and supervises financial institutions for safety, soundness, and consumer protection.

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the entry that includes a debit to allowance for doubtful accounts and a credit to accounts receivable is a(n) . multiple choice question. adjusting entry to allow for estimated bad debts net realizable entry to report the amount expected to be collected write-off of a specific customer's account subsidiary entry to increase a customer's account for credit sales

Answers

The entry that includes a debit to allowance for doubtful accounts and a credit to accounts receivable is  "adjusting entry to allow for estimated bad debts''.

In the accounts, the purpose of the allowance for doubtful accounts is to estimate how many customers out of the 100 will not pay the full amount they owe and to see exactly how payments work out, the company will debit a bad debt expense and credit allowance for doubtful accounts.

To record adjusting entry for doubtful accounts are assuming that the allowance for doubtful accounts has a credit balance, subtract the amount of the credit balance from the amount estimated to be uncollectible to get the amount of the adjusting entry in the accounts.

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a treasury bill with 119 days to maturity is quoted at 97.630. what are the bank discount yield, the bond equivalent yield, and the effective annual return?

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The effective annual return is 7.64%, the bond equivalent yield is 2.37%, and the bank discount yield is 2.37.

Discount yield = 7.17%

Bond equivalent yield = 7.34%

Effective annual yield = 7.64%

Discount yield = discount/face value × 360/t

Where t is the time until maturity.

Discount = face value - face value

Discount = 100 - 97.63

Discount = 2.37

Discount yield = 2.37/100 × 360/119

Discount yield = 7.17%

Bond equivalent yield = (1 + periodic yield)^360/t - 1

Periodic yield = discount/face value

= 2.37 ÷ 100 = 2.37%

Bond equivalent yield = [tex](1 + 2.37)^{(\frac{360}{119})} - 1[/tex]

Bond equivalent yield = 7.34%

Effective annual yield = (1 + HPY)^365/t - 1

Holding period yield (HPY) = Discount/Price

= 2.37 ÷ 97.63

Holding period yield = 2.43%

Effective annual yield = [tex](1 + 2.43)^{\frac{365}{119} } - 1[/tex]

Effective annual yield = 7.64%

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miller brothers hardware paid an annual dividend of $1.15 per share yesterday. today, the company announced that future dividends will be increasing by 2.6% annually. if you require a 12% rate of return, how much are you willing to pay to purchase one share of this stock today? o a. $9.83 o b. $9.81 o c. $12.23 o d.$12.55

Answers

An annual dividend is a yearly payment made to an insurance policyholder, most often of a permanent life insurance or long-term disability policy.

How are annual dividends calculated?

If a company pays monthly dividends, you can multiply the payment amount by the number of payments in a year, which means you can multiply the dividend by 12 to get an annual rate dividend per share.

Use the P equation on the formula sheet

P0 = (Dividend x (1 + Growth)) / (required rate of return - growth)

= (1.15 x 1.026) / (0.12 - 0.026)

= $12.55

Therefore, The dividend amount is determined by factors such as the insurance company's profits, investment performance, and the sum of money paid into the policy.

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what is the overall management of the availability, usability, integrity, and security of company data?

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Data governance is the overall management of a company's data availability, accessibility, integrity, and security (DG).

It is the system in charge of making sure that information is accurate, dependable, high-quality, and secure.

It is a component of business software, which is built on internal data standards and laws governing the usage of data.

The provision of accurate, reliable information and prevention of information misuse are achieved by effective data management in this procedure.

Data governance is the general management of an enterprise's data availability, usability, integrity, and security. Global organizations have had to update their data management systems due to the enormous growth in data volume and sources.

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assume hudson has a target income of $162,000. what amount of sales dollars is needed to produce this target income? 2. if hudson achieves its target income, what is its margin of safety (in percent)? (round your answer to 1 decimal place.)

Answers

Sales to achieve targeted profit of $162,000 is: $2,430,000.
The margin of safety: 33%
Contribution = sales - variable cost / sales
                      = $ 2,430,000 - $ 1,728,000 / $ 2,430,000  
                      = $ 0.28
Targeted sales = fixed cost + targeted profit / contribution
                          = $ 324,000 + $ 162,000 / 0.28
                          = $ 2,430,000
Break even point = fixed cost / contribution
                              = $ 324,000 / $ 0.28
                              = $ 1,620,000
Margin of safety = actual sales - Break even point / actual sales
                            = $ 2,430,000 - $ 1,620,000 / $ 2,430,000
                            = 0.33

Targeted income is the income that a corporate entity expects to receive from its operations. Based on prior sales and profits, this income is projected.

In order to reach a specific goal income, managers may plan a company's expenses. This necessitates routine budgeting and in-depth planning for expenditure levels. The target income figure could be determined by a number of variables, including the required cash flow level, the desired rate of return on capital, or the required earnings per share.

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if i high tech firm wanted to set up operations in iran, what steps could it take to ensure that the subsidiary would not be expropriated? identify and describe three strategies that would be particularly helpful. how can you approach potential future changes in the political environment strategically? (ch.10)

Answers

This can entail finding a partner that depends on the parent company for crucial aspects of the business, like funding, research, and technology, so that there is no real motivation to keep the partner.

The company could, for example, find some Iranian allies in the area. The government would see the company more favorably as a result.

Additionally, by limiting the use of advanced technology, the company could make it less profitable for the Iranian government to seize its assets (since they would not have the option to copy any significant cutting edge advancements). The company may now create dependencies at last.

Project dependencies deal with managing and scheduling project tasks while taking their sequences and requirements into consideration. Task B will be referred to as dependent on Task A if it is necessary for Task A to be completed. This may seem easy now, but things can get complicated in projects with many interconnected tasks.

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melissa wants to retire with $40,000 per month. she needs $4,000,000 in principal at the time she retires in order to generate this amount of monthly income if the interest rate is 12%. if melissa has 25 years before retirement and has $80,000 to invest today, what simple interest rate does she need to achieve the necessary amount of principal?

Answers

190 % of simple interest rate does she need to achieve the necessary amount of principal.

we know that

The simple interest formula is equal to

A=P(1+rt)

where

A = Final Investment amount

P = Principal amount of money

r = rate of interest  

t = Number of Time Periods

in this problem we have

t= 25 years

P= $80,000

A= $4,000,000

r=?

substitute in the formula above

4,000,000 = 80,000(1+25r)

50 = 1+25r

50-1=25r

49=25r

r=1.96

Convert to percentage

r = 1.9 * 100

  = 190 %

The simple interest rate is 190%

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