in sport, five methods of financing are commonly used. list at least four of the five methods of financing related to sport businesses

Answers

Answer 1

Four of the five common methods of financing in the sports industry are: Sponsorship, government funding, Ticket sales and broadcasting rights, Merchandise and licensing.

1. Sponsorship: In this method, businesses and brands provide financial support to a sports team, event, or athlete in exchange for advertising and promotional opportunities. Sponsorships can come in the form of cash, products, or services, and help fund various aspects of the sports business.

2. Government funding: Governments often allocate funds to support sports development, infrastructure, and organizations. This can be through direct investment, grants, or tax incentives. Government funding is typically aimed at promoting physical activity, national pride, and economic growth through sports events and facilities.

3. Ticket sales and broadcasting rights: Income from ticket sales for sporting events and broadcasting rights for televising or streaming sports events are significant sources of revenue for sports businesses. This helps finance the operation of stadiums, payment of athlete salaries, and other expenses related to running a sports organization.

4. Merchandise and licensing: Sports businesses generate revenue by selling merchandise, such as apparel, accessories, and memorabilia, as well as licensing their logos and trademarks to other businesses. This method helps create brand recognition and additional income streams for sports organizations.

These four methods play a crucial role in financing sport businesses, allowing them to grow, improve, and maintain their operations.

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Related Questions

which one is the correct answer
1. Local Economy vs. Local Responsiveness When expanding into China, your team is looking for the best way to apply a regionalization strategy. Which of these factors will be most important in IKEA’s efforts to regionalize its stores?
Focus on lowering its product price points by up to 70% to maintain competitiveness in China
Create a new line of balcony furniture for the Chinese population that lives primarily in apartments, emphasizing the functionality of their balconies

Answers

Create a new line of balcony furniture for the Chinese population that lives primarily in apartments, emphasizing the functionality of their balconies.

When applying a regionalization strategy, IKEA should prioritize local responsiveness, which means adapting its products and services to cater to the specific needs and preferences of the Chinese market.

In this case, creating a new line of balcony furniture tailored to the living situation of the majority of the Chinese population, who live in apartments, addresses a unique local need.

This approach allows IKEA to provide products that are more relevant and appealing to Chinese consumers, which can lead to greater market success. Lowering product price points can be a part of their strategy, but addressing the specific needs of the target market will have a greater impact on regionalization efforts.

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Mac-Way Macaroni needs to hire a company to combine its smaller shipments into one larger shipment and orchestrate transportation of its product to international partners. Mac-Way is looking for a(n)
Multiple Choice
confirming house.
export packaging company.
customs broker.
buying agent.
freight forwarder.

Answers

Hi! Mac-Way Macaroni is looking for a freight forwarder to combine its smaller shipments into one larger shipment and orchestrate transportation of its product to international partners. Option e is answer.

Mac-Way Macaroni is looking for a freight forwarder, which is a company that specializes in consolidating smaller shipments into larger ones and arranging for transportation of goods to international destinations. Freight forwarders also handle documentation, insurance, and customs clearance procedures on behalf of their clients.

Therefore, the correct answer is e: freight forwarder.

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• A bond’s _____ refers to the interest payment or payments paid by a bond.
• A bond issuer is said to be in _____ If it does not pay the interest or the principal in accordance with the terms of the indenture agreement or if it violates one or more of the issue’s restrictive covenants.
• A bond contract feature that requires the issuer to retire a specified portion of the bond issue each year is called a _______
• A bond’s ______ gives the issuer the right to call, or redeem, a bond at specific times and under specific conditions.

Answers

• A bond’s coupon rate refers to the interest payment or payments paid by a bond.

• A bond issuer is said to be in default If it does not pay the interest or the principal in accordance with the terms of the indenture agreement or if it violates one or more of the issue’s restrictive covenants.

• A bond contract feature that requires the issuer to retire a specified portion of the bond issue each year is called a sinking fund provision.

• A bond’s call feature gives the issuer the right to call, or redeem, a bond at specific times and under specific conditions.

A bond's interest payment is commonly referred to as the bond's coupon. The coupon rate is the annual interest rate paid to the bondholder based on the face value of the bond. The coupon is typically paid semi-annually to the bondholder.

If a bond issuer fails to make timely interest or principal payments or violates any terms of the indenture agreement, they are said to be in default. This can lead to severe consequences, including a decrease in the bond's credit rating and legal action taken by bondholders.

A bond contract feature that requires the issuer to retire a specified portion of the bond issue each year is called a sinking fund provision. The sinking fund provision helps to mitigate the issuer's default risk by requiring them to set aside funds to pay off the bondholders over time.

The bond's call feature gives the issuer the right to redeem the bond at specific times and under specific conditions. The call feature can be advantageous for issuers if interest rates decline, as they can refinance the bond at a lower rate. However, it can be disadvantageous for bondholders if the bond is called before maturity, as they may not be able to reinvest the proceeds at a similar rate.

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what two procedure should you routinely carry out to verify the purity of your working stock?

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The two procedures that should be routinely carried out to verify the purity of working stock in any business are physical inventory counts and reconciliations.

Physical inventory counts involve physically counting the stock on hand and comparing it to the recorded inventory balance to identify any discrepancies. Reconciliations involve comparing the recorded inventory balance to the balance in the accounting system and identifying any differences.

This process helps to identify any errors in recording inventory transactions, such as incorrect purchase orders or sales invoices, and ensures that the inventory balance is accurate.

Regular verification of the purity of working stock is important for maintaining the integrity of a company's financial statements and ensuring that accurate information is available for decision-making.

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QUESTION 5
How are NAICS codes useful to supply chain management?
Guarantees company success
Search for employees
Search for competitors and suppliers
NAICS codes are an accounting thing and not very useful to supply chain managers

Answers

NAICS codes are useful to supply chain management as they help in searching for competitors and suppliers.

NAICS (North American Industry Classification System) codes are a standardized system for classifying businesses into industry sectors. In supply chain management, these codes play a vital role in identifying potential competitors and suppliers.

By using NAICS codes, supply chain managers can effectively analyze market trends, assess industry-specific risks, and compare company performance within their sector.

This information can help them make informed decisions on procurement, partnerships, and business strategies, thus improving overall efficiency and competitiveness in their industry.

Although NAICS codes do not guarantee company success or help in searching for employees directly, they are an essential tool for strategic supply chain management.

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which of the following is true regarding subsidies and financial incentives to domestic firms? a they are illegal under national laws. b there are taxes on the consumption of imports. c they are intended to support the expansion of foreign firms. d they are recommended by the wto to promote free trade. e they hamper the expansion efforts of foreign firms.

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They are recommended by the WTO to promote free trade is true regarding subsidies and financial incentives to domestic firms. Option D is correct

Many governments use subsidies and financial incentives to domestic companies as tools to support their own industries and promote economic growth. These policies may consist of financial assistance in the form of grants, low-interest loans, tax breaks, and other forms.

The World Trade Organization (WTO) acknowledges that financial incentives and subsidies can distort global trade and competition, but it also acknowledges that in some situations, they can be used to advance free trade. In order to control the use of subsidies and financial incentives, the WTO has established rules and guidelines.

The WTO wants to encourage fair and free trade among its member nations.

Option d is correct

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true or false: the up-sloping aggregate supply curve means that leftward shifts of ad result only in demand-pull inflation rather than increased output.

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false: the up-sloping aggregate supply curve means that leftward shifts of ad result only in demand-pull inflation rather than increased output.

What does an upward-sloping aggregate supply curve indicate?

The positive association between price level and real GDP in the short run is depicted by the upward-sloping aggregate supply curve, also known as the short run aggregate supply curve.

What does a leftward change in the aggregate supply curve mean?

If the cost of essential inputs rises, the aggregate supply curve moves to the left, creating the potential for reduced output, increased unemployment, and higher inflation. Stagflation is the term used to describe an economy that is experiencing both high inflation and slow growth at the same time.

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for inferior​ goods, the substitution and income effects of an​ own-price increase will:______.

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Goods that see a decline in demand as consumer income rises are considered inferior. The substitution effect and the income effect both occur when the price of a subpar item rises.

The substitution effect occurs when consumers switch to cheaper substitutes due to the price increase. This effect results in a decrease in the quantity demanded of the inferior good. On the other hand, the income effect occurs when the price increase reduces the purchasing power of consumers' income.

This effect leads to a decrease in the quantity demanded of all goods, including the inferior good. Therefore, for an inferior good, the income effect and substitution effect work in opposite directions. The net effect on the quantity demanded of the inferior good depends on the relative strengths of these two effects.

If the substitution effect is stronger than the income effect, the quantity demanded of the inferior good will decrease. Conversely, if the income effect is stronger, the quantity demanded of the inferior good will increase.

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markets are often when negative externalities are present because . a.inefficient; social costs exceed private costs at the private market solution b.inefficient; private costs exceed social costs at the private market solution c.efficient; social costs exceed private costs at the private market solution d.efficient; private costs exceed social costs at the private market solution

Answers

Markets are often in-efficient when "negative-externalities" are present because : social-costs exceed "private-costs" at the private market solution, the correct option is (a).

The "Negative-Externalities" occur when the production or consumption of a good imposes costs on third parties who are not involved in transaction.

In a market with negative externalities, the private market solution does not take into account the costs imposed on third parties, which leads to an inefficient outcome.

At the private-market solution, the price and quantity traded reflect only the private costs of production or consumption, not social costs.

The social-cost is the sum of private costs and external costs, and it is greater than the private cost in the presence of negative externalities.

Therefore, Option(a) is correct.

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The given question is incomplete, the complete question is

Markets are often _____ when negative externalities are present because :  

(a) inefficient; social costs exceed private costs at the private market solution

(b) inefficient; private costs exceed social costs at the private market solution

(c) efficient; social costs exceed private costs at the private market solution

(d) efficient; private costs exceed social costs at the private market solution.

which of the below best describes the competitive tendencies of small firms? group of answer choices small firms tend to signal their competitive actions long before they launch those actions, because they lack legitimacy in the marketplace. small firms typically have more resources available as they undertake competitive attacks than do large firms. small firms are more nimble and can respond quickly to competitive attacks. small firms are more nimble and cannot respond quickly to competitive attacks.

Answers

The best answer that describes the competitive tendencies of small firms is small firms are more nimble and can respond quickly to competitive attacks. So, correct option is C.

This means that small firms have an advantage in responding to competitive threats because they are more agile and can make decisions more quickly than larger firms. They can respond to changes in the market or competitive environment more quickly, which allows them to adapt and compete effectively.

Small firms also tend to have fewer layers of bureaucracy and decision-making, which can make them more flexible and able to take action more quickly. In contrast, larger firms may have more complex structures, which can slow down decision-making and make it more difficult to respond quickly to competitive threats.

Furthermore, small firms often have a strong entrepreneurial spirit and a willingness to take risks. This can make them more willing to try new strategies and tactics to compete, which can give them an edge over larger, more established firms that may be more risk-averse.

In summary, small firms have a competitive advantage in their ability to be nimble and respond quickly to competitive attacks. This advantage stems from their flexibility, simpler organizational structures, and entrepreneurial spirit.

So, correct option is C.

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JPJ Corp has sales of $1.33 million, accounts receivable of $48,000, total assets of $4.75 million (of which $2.98 million are fixed assets), inventory of $155,000, and cost of goods sold of $597,000.
If JPJ Corp is able to increase sales by 11.8% but keep its total and fixed asset growth to only 4.7%, what will its new asset turnover ratios be?
JPJ's new fixed asset turnover is ____ (Round to two decimal places.)

Answers

To find JPJ Corp's new fixed asset turnover, we will first calculate the new sales and fixed assets figures after the given increases. Then, we will use the fixed asset turnover formula to find the ratio. JPJ's new fixed asset turnover is 0.48.

Step 1: Calculate new sales and fixed assets figures:


New sales = $1.33 million × (1 + 11.8%)

New sales = $1.33 million × 1.118

New sales = $1.48794 million


New fixed assets = $2.98 million × (1 + 4.7%)

New fixed assets = $2.98 million × 1.047

New fixed assets = $3.11986 million

Step 2: Calculate the new fixed asset turnover ratio:


Fixed asset turnover = (New sales) / (New fixed assets)

Fixed asset turnover = $1.48794 million / $3.11986 million

Fixed asset turnover = 0.476569

Step 3: Round the result to two decimal places.
New fixed asset turnover = 0.48 (rounded to two decimal places)

So, JPJ's new fixed asset turnover is 0.48.

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a country club wanted to see if it could increase its revenue from its members. every weekend, they offered half-off drinks from 12pm-2pm and 6pm-8pm. they also record whether or not the members are retired. is there blocking in this experiment? and, if so, what is the blocking element? group of answer choices yes; the weekend yes; being retired or not no yes; the time of half-off drinks

Answers

Yes, there is blocking in this experiment, and the blocking element is being retired or not.

The country club is recording whether or not the members are retired, which suggests that they are using this information to create separate groups or blocks of retired and non-retired members. The purpose of this blocking is to ensure that the comparison between the two groups is fair and that any observed differences in revenue can be attributed to the half-off drinks promotion, rather than any underlying differences between the two groups.

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for the compact disc industry, the advent of mp3 technology can best be described as what type of innovation?

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For the compact disc industry, the advent of MP3 technology can best be described as a disruptive innovation. This type of innovation occurs when a new product, service, or technology enters the market and displaces an existing one, often causing a major shift in consumer preferences and industry trends.

Disruptive innovation is characterized by the introduction of a more efficient, accessible, or cost-effective alternative to an established product or service. In the case of the compact disc industry, MP3 technology significantly changed the way people consumed music.

MP3 files could be easily downloaded, shared, and stored on personal devices, making it a more convenient and affordable option compared to traditional physical CDs.

Before the rise of MP3 technology, consumers primarily purchased music through physical CDs, which were relatively expensive and required a CD player for playback. With the advent of MP3 technology, music became readily available online, often at a fraction of the cost, or even for free.

As a result, many consumers shifted their preference from buying CDs to downloading MP3 files or streaming music online. The shift from CDs to MP3s also impacted the music industry as a whole. Record stores and CD manufacturers faced significant challenges as their primary source of revenue declined.

On the other hand, digital music platforms like iTunes, Amazon, and Spotify emerged, providing new revenue streams for artists and record labels.

In conclusion, the advent of MP3 technology can best be described as a disruptive innovation for the compact disc industry, as it introduced a more convenient and cost-effective alternative to CDs, ultimately changing consumer preferences and industry dynamics.

This shift not only impacted CD sales, but also transformed the music industry as a whole, paving the way for new business models and distribution channels.

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. Carbondale Casting produces cast bronze valves on a 15 person assembly line. On a recent day,160 valves were produced during the 4-hour shift. a) Labor productivity of the line = valves/labor hour (round your response to two decimalplaces).

Answers

The labor productivity of the line is 2.67 valves/labor hour

To calculate the labor productivity of the line, we need to divide the number of valves produced by the total number of labor hours:

Labor productivity = Number of valves produced / Total labor hours

The total labor hours can be calculated by multiplying the number of workers by the length of the shift in hours:

Total labor hours = Number of workers x Length of shift in hours

Total labor hours = 15 x 4 = 60

Therefore, the labor productivity of the line is:

Labor productivity = 160 / 60

Labor productivity = 2.67 valves/labor hour (rounded to two decimal places)

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3. an average pulverized coal power plant has an efficiency of about 33%. suppose a new ultra-supercritical (usc) coal plant increases that to 42%. assume coal burning emits 24.5 kg c/gj. a. if co2 emissions are eventually taxed at $50 per metric ton, what would the tax savings be for the usc plant ($/kwh)? b. if coal that delivers 24 million kj of heat per metric ton costs $40/t what would be the fuel savings for the usc plant ($/kwh)?

Answers

Case – 1 Pulverized cost power: -

Net energy requires = 0.01091 GJ

Amount of coal = 0.4453 kg

Case – 2 (USC)

Net fyel saving = (0.4453 – 0.3497) kg/kwh = 0.0956 kg/kwh

Net cost saving = 0.0956 (kg/kwh) * 40/1000($/kg) = 3.824*[tex]10^{-3}[/tex] $/kwh.

Pulverized cost refers to the cost of producing goods or services that are reduced to a fine, powdery substance or powder. The term is often used in industries that involve the pulverization of raw materials to create products, such as pharmaceuticals, cosmetics, and food processing. The cost of pulverization can significantly impact the overall cost of production, as it requires specialized equipment and processes that may be expensive to operate and maintain.

Pulverization involves the reduction of materials to a fine, uniform size through grinding or crushing. This can improve the quality and consistency of products and facilitate their handling, storage, and transport. However, the cost of pulverization can depend on various factors such as the hardness and density of the raw material, the desired particle size, and the type of equipment used.

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the construction in progress account is equivalent to which account in a manufacturing environment? multiple choice question. raw materials work-in-process cost of goods sold fixed overhead

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The construction-in-progress account is equivalent to the work-in-process account in a manufacturing environment.

The construction-in-progress account is equivalent to the work-in-process account in a manufacturing environment.
Here's an explanation of the terms:
- Raw materials: These are the basic materials used to create a product.
- Work-in-process: This account represents the value of unfinished products that are still being worked on during the manufacturing process.
- Cost of goods sold: This is the total cost of producing the finished goods that have been sold during a specific period.
- Fixed overhead: These are the indirect costs that don't change regardless of the production level, such as rent, utilities, and insurance.
In summary, the construction-in-progress account is similar to the work-in-process account as both represent the value of products that are not yet completed.

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The new standard, Revenue from Contracts with Customers, a. adopts an asset-liability approach for revenue recognition. O b. adopts criteria that deemphasize the importance of contracts with customers. c. adopts "risks and rewards" criteria. d. adopts a revenue-gain approach for revenue recognition.

Answers

In order to recognize revenue, the new norm, income from customer contracts, uses an asset-liability framework. Option A is correct.

The new standard, Revenue from Contracts with Customers, adopts an asset-liability approach for revenue recognition. Explain the statement.

The creation, improvement, or settlement of an asset or the payment of a liability occurs when an entity fulfils its commitments to transmit goods or services to a client, according to this definition. The requirement states that a business must depict the transfer of promised products or services to consumers in a way that reflects the consideration to which the company anticipates being entitled in exchange for such goods or services. This way, revenue is shown to be recognised. The new standard represents a fundamental change in how businesses are required to recognize earnings derived from client contracts and supersedes the existing revenue recognition advice in US GAAP and IFRS.

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Calculate all applicable documentary stamp taxes and intangible taxes associated with financing the transaction for a property located in Pinellas County. Purchase price: $67,550 Earnest money: $4,000 Recorded first mortgage (assumed): $27,800 Second mortgage (new): $14,700 Cash at closing: $21,050 A) $326.90 O B) $178.15 C) $233.75 D) $ 80.85

Answers

The correct answer is C) $233.75.

To calculate the documentary stamp taxes and intangible taxes associated with financing the transaction, you need to consider the following:

1. Documentary stamp taxes: These taxes are assessed on documents that transfer an interest in real property. The rate for Pinellas County is $0.70 per $100 of the purchase price, rounded up to the nearest hundred.

- Purchase price: $67,550
- Earnest money: $4,000
- Recorded first mortgage (assumed): $27,800
- Second mortgage (new): $14,700

Therefore, the total amount subject to documentary stamp taxes is $67,550 + $4,000 + $27,800 + $14,700 = $114,050.

The documentary stamp taxes on the recorded first mortgage are exempt because it is an assumed mortgage. Therefore, the taxable amount is $114,050 - $27,800 = $86,250.

The total amount of documentary stamp taxes for the transaction is $86,250 x $0.70 / $100 = $603.75.

2. Intangible taxes: These taxes are assessed on the amount of the loan for mortgages and other financing instruments. The rate for Pinellas County is $0.002 per dollar of the loan amount.

- Recorded first mortgage (assumed): $27,800
- Second mortgage (new): $14,700

The total amount of loans subject to intangible taxes is $27,800 + $14,700 = $42,500.

The total amount of intangible taxes for the transaction is $42,500 x $0.002 = $85.

Therefore, the total amount of applicable documentary stamp taxes and intangible taxes associated with financing the transaction is $603.75 + $85 = $688.75.

However, the cash at closing is $21,050, which can be used to pay for some of these taxes. Therefore, the amount due at closing for documentary stamp taxes and intangible taxes is $688.75 - $21,050 x $0.70 / $100 - $21,050 x $0.002 = $233.75.

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if you want to allocate your funds between a market portfolio and a mutual fund, and given that you calculated the following statistics for each mutual fund individually which performance measure is the most relevant in this case?

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The Sharpe ratio, a risk-adjusted performance measure, would be most relevant for allocating funds between a market portfolio and a mutual fund.

The Sharpe ratio would be the most appropriate performance indicator for deciding how much money to allocate between a market portfolio and a mutual fund. The Sharpe ratio provides a measurement of risk-adjusted performance by taking into consideration both the return and risk of an investment.

An investor may determine which mutual fund delivers the greatest risk-adjusted return by comparing the Sharpe ratios of several mutual funds. This information can then be used to assist make decisions about how to divide the money between a market portfolio and a mutual fund to maximise the risk-return trade-off of the investment portfolio.

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One of the strategies employed by organizational buyers to reduce information search and effort in evaluating competing alternatives for routine purchases is to use a fixed set of suppliers.
true/false

Answers

One of the strategies employed by organizational buyers to reduce information search and effort in evaluating competing alternatives for routine purchases is to use a fixed set of suppliers. - True

Those who make purchases on an organization's behalf are known as organizational buyers. These purchasers frequently utilise a predetermined list of vendors to minimise the information search and effort needed to assess competing options for routine purchases.

With this strategy, buyers may easily build connections with a small number of reliable suppliers, which helps speed up the procurement process and lessen the need for in-depth supplier research and assessment for each transaction. Buyers can gain from established pricing, delivery, and quality standards by depending on a certain number of suppliers, which can also assist to assure consistency and dependability in the purchasing process.

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Sidewinder, Inc., has sales of $698,000, costs of $344,000, depreciation expense of $89,000, interest expense of $54,000, and a tax rate of 21 percent. The firm paid out $84,000 in cash dividends and has 38,200 shares of common stock outstanding. a. What is the earnings per share, or EPS, figure? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) b. What is the dividends per share figure? (Do not round intermediate calculations and round your answer to 2 decimal places, e.g., 32.16.) Earnings per share a. Dividends per share b.

Answers

Earnings per share: $4.36 b. Dividends per share: $2.20 .we'll first calculate the net income, and then we'll calculate the earnings per share (EPS) and dividends per share. a. Earnings per share (EPS).

To calculate the earnings per share (EPS) and dividends per share, we need to follow these steps:

a. Earnings per share (EPS):
1. Calculate the net income: Net Income = Sales - Costs - Depreciation Expense - Interest Expense - Taxes
2. Calculate the taxes: Taxes = (Sales - Costs - Depreciation Expense - Interest Expense) x Tax Rate
3. Calculate EPS: EPS = Net Income / Number of Shares Outstanding

b. Dividends per share:
1. Calculate Dividends per Share: Dividends per Share = Total Cash Dividends / Number of Shares Outstanding

Now, let's calculate the EPS and dividends per share using the given information:

a. Earnings per share (EPS):
1. Net Income = $698,000 - $344,000 - $89,000 - $54,000 - Taxes
2. Taxes = ($698,000 - $344,000 - $89,000 - $54,000) x 0.21 = $42,420
3. Net Income = $698,000 - $344,000 - $89,000 - $54,000 - $42,420 = $168,580
4. EPS = $168,580 / 38,200 = 4.41 (rounded to 2 decimal places)

b. Dividends per share:
1. Dividends per Share = $84,000 / 38,200 = 2.20 (rounded to 2 decimal places)

So, the earnings per share (EPS) is 4.41, and the dividends per share is 2.20.

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Stella places a market order with her broker to buy 1,000 shares of One World Corp. The broker buys 1,000 shares at $16.00 each, and sells them to Stella at $16.15 each. He also charges a commission of $12.00. What is the total dollar amount spent towards the bid-ask spread in this case?

Answers

The total dollar amount spent towards the bid-ask spread is $150.

In the given case, we are required to determine the total dollar amount spent towards the bid-ask spread when Stella places a market order to buy 1,000 shares of One World Corp.

In order to determine the total dollar amount we need to follow these steps:

1. Calculate the bid-ask spread per share:

In this case, the spread is the difference between the broker's purchase price of $16.00 and the selling price to Stella of $16.15. So, the bid-ask spread per share is:

$16.15 - $16.00 = $0.15.

2. Calculate the total dollar amount spent towards the bid-ask spread:

To do this, multiply the bid-ask spread per share by the total number of shares. In this case, Stella is buying 1,000 shares, so the total dollar amount spent towards the bid-ask spread is:

$0.15 * 1,000 = $150.

In conclusion, the total dollar amount spent towards the bid-ask spread in this case is $150.

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Under the Multiple of Income method of estimating life insurance needs, what important factor is excluded from the calculation?Multiple Choicea. Annual incomeb. Your current employerc. Future earningsd. Past earningse. Current assets

Answers

Under the Multiple of Income method of estimating life insurance needs, the important factor that is excluded from the calculation is current assets. This method is based on the assumption that the amount of life insurance needed is a multiple of the policyholder's annual income. The correct option is (e).

The multiple typically ranges from five to ten times the individual's annual income, depending on various factors such as age, health, and family situation.The Multiple of Income method provides a quick and simple way to estimate the amount of life insurance coverage needed to protect against financial loss in the event of the policyholder's death.



It is important to remember that the Multiple of Income method is just one of several methods used to determine the appropriate level of life insurance coverage needed. Other factors such as outstanding debts, future expenses (such as college tuition), and the policyholder's overall financial goals should also be considered when deciding on the appropriate amount of life insurance coverage needed.

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Guerilla Radio Broadcasting has a project available with the following cash flows :
Year Cash Flow 0 −$12,600 1 5,200 2 6,500 3 5,900 4 4,300
What is the payback period?
1.85 years 2.39 years 2.51 years 3.00 years 2.15 years

Answers

The payback period is the length of time it takes for a project to generate enough cash flows to recover the initial investment.

In this case, the initial investment is -$12,600, and the cash flows for each year are $5,200, $6,500, $5,900, and $4,300 for years 1, 2, 3, and 4 respectively.

To calculate the payback period, we add up the cash flows until they equal or exceed the initial investment. In this case, the cash flows of $5,200 and $6,500 in years 1 and 2 respectively add up to $11,700, which is less than the initial investment of -$12,600. However, when we add the cash flow of $5,900 in year 3, the total becomes $17,600, which is greater than the initial investment. Therefore, the payback period is between 2 and 3 years.

To determine the exact payback period, we can use a linear interpolation formula:

Payback Period = Year of Initial Investment + (Remaining Investment / Cash Flow in Next Year)

Using this formula, we can calculate the payback period as follows:

Payback Period = 3 + (($12,600 - $11,700) / $5,900) = 3 + (900 / $5,900) ≈ 3 + 0.152 ≈ 3.15 years

Since 0.15 years is equivalent to approximately 2 months, the payback period is approximately 3.15 years. Therefore, the correct answer is not listed, as the closest option is 3.00 years.

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advertisers now continually monitor the activities of as many people as possible to identify ______.

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Advertisers now continually monitor the activities of as many people as possible to identify consumer behavior, preferences, interests, and trends.

What is Advertisement?

Advertisement, commonly referred to as advertising, is a form of communication used by organizations or individuals to promote a product, service, idea, or brand to a target audience. It is a marketing strategy that aims to create awareness, generate interest, and persuade potential customers to take action, such as making a purchase or engaging with a brand.

Monitoring consumer activities helps advertisers understand consumer needs, interests, and motivations, and enables them to optimize their advertising strategies to better connect with their target audience and drive desired consumer actions, such as making purchases, signing up for services, or engaging with their brand.

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According to the index model, covariances among security pairs are related to due to the influence of due to the influence of a single industry ob, several common factors common factor represented by represented by the several the market index return and are cvents market index return. usually positive O a. specific OG disually extremely difficult to calculate negative

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The index model suggests that covariances among security pairs are "due to the influence of a single common factor represented by the market index return and usually positive." Option E is correct.

The index model is a financial theory that explains the relationship between a portfolio's returns and the returns of a broad market index. According to this model, covariances among security pairs are due to a single common factor, which is represented by the market index return.

The index model assumes that this common factor affects all securities in the same way, leading to positive covariances among security pairs. This theory is used by portfolio managers to optimize portfolio diversification and manage risk by balancing the portfolio's exposure to the market index with individual security selection.

Option E holds true.

The complete question:

According to the index model, covariances among security pairs are

A) due to the influence of a single common factor represented by the market index return.B) extremely difficult to calculate.C) related to industry-specific events.D) usually positive.E) due to the influence of a single common factor represented by the market index return and usually positive.

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select all that apply the balanced scorecard is a unique system of performance measures in that it: (check all that apply.) multiple select question. has financial and nonfinancial measures. has multiple perspectives. has a focus on customer satisfaction. has key indicators measured by all companies. can only be used by small companies.

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The balanced scorecard is a unique system of performance measures in that it has financial and nonfinancial measures, has multiple perspectives and has a focus on customer satisfaction. The correct options are A, B and C.

The balanced scorecard is a system of performance measures that includes financial and nonfinancial measures, multiple perspectives (such as financial, customer, internal business processes, and learning and growth), and a focus on customer satisfaction.

It is not limited to small companies and is widely used by organizations of all sizes. The key indicators measured by companies can vary based on their specific goals and strategies. so, the correct answers are A, B and C.

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Given the following information: Lead time - 4 days, Standard deviation of demand = 6 per week, Demand = 50 per week, and Desired service level = 84 %. Approximately what is the statistical safety stock? 0 16 units 12 units 0 212 units O 16 units 0 25 units Question 29 2 pts

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The statistical safety stock is 4.49 units. The closest option is 4 units

To calculate the statistical safety stock given the provided information: Lead time - 4 days, Standard deviation of demand = 6 per week, Demand = 50 per week, and Desired service level = 84%, follow these steps:

1. Convert lead time demand to weeks: 4 days / 7 days per week = 4/7 weeks.

2. Calculate the lead time demand: (Demand per week) * (Lead time in weeks) = 50 * (4/7) = 200/7 ≈ 28.57 units.

3. Calculate the lead time standard deviation: (Standard deviation of demand per week) * sqrt(Lead time in weeks) = 6 * sqrt(4/7) ≈ 4.52 units.

4. Determine the Z-score for the desired service level of 84%: For this, refer to a standard normal distribution table, and you will find a Z-score of approximately 0.994.

5. Calculate the statistical safety stock: (Z-score) * (Lead time standard deviation) = 0.994 * 4.52 ≈ 4.49 units.

Approximately, the statistical safety stock is 4.49 units. The closest option is 4 units.

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Which behavior would NOT be considered a positive post-divorce coping strategy?
Reminiscing about the former spouse
Her number of roles will increase.
parent's education and family income
Lack of time with a parent

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Reminiscing about the former spouse would not be considered a positive post-divorce coping strategy.

Reminiscing about the ex-spouse is not a recommended post-divorce coping technique. This kind of behaviour frequently results in unhappiness, regret, and a desire for the past, which might impede one's ability to move on and come to terms with life after divorce. Positive coping techniques, on the other hand, can include reaching out for social support, partaking in self-care activities like exercise or meditation, picking up new hobbies or interests, and putting an emphasis on personal growth and development.

Additionally, variables like parental education and family income can affect the resources accessible to people before and after divorce, while a child's adjustment and well-being can suffer from a parent's absence.

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Questions 9-10. Do you think JLR will prosper under the ownership of Tata Motors? 9-11. What do you think are the biggest challenges facing the Jaguar and Land Rover brands in the next few years? 9-12. Tata Motors recently introduced the Nano, the world's least- expensive car. The Nano fits Tata's strategic goal of building a low-cost car for the Indian market. Can Tata succeed in targeting both the very low end of the auto market as well as the high end?

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9-10. It is possible for JLR (Jaguar Land Rover) to prosper under the ownership of Tata Motors due to Tata Motors' strong financial position and global presence.

9-11. The biggest challenges facing the Jaguar and Land Rover brands are increasing competition, shifting consumer preferences, stricter environmental regulations, and economic uncertainty.

9-12.  Tata can succeed in targeting both the very low end of the auto market as well as the high end.

9-10. JLR (Jaguar Land Rover) can prosper under the ownership of Tata Motors. Tata Motors has a strong financial position and global presence, which can help JLR access new markets and invest in new technologies. Additionally, Tata Motors has a history of successfully managing acquired companies, indicating that they have the necessary management skills to handle JLR's business operations.

9-11. The biggest challenges facing the Jaguar and Land Rover brands in the next few years include:

1. Increasing competition in the luxury car market from established players and new entrants.

2. Shifting consumer preferences towards electric and autonomous vehicles, which require significant investments in research and development.

3. Stricter environmental regulations that require automakers to reduce emissions and improve fuel efficiency.

4. Economic uncertainty and fluctuations in currency exchange rates, which can impact sales and profitability.

9-12. Tata Motors can potentially succeed in targeting both the very low end and the high end of the auto market with their Nano and JLR vehicles, respectively. However, this approach will require careful management of each brand to ensure that they do not cannibalize each other's market share. Tata Motors will need to maintain the distinct brand identities of the Nano and JLR while leveraging synergies in manufacturing, research, and development to maintain profitability.

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