More on insurance An insurance company claims that in the entire population of homeowners, the mean annual loss from fire is u = $250 and the standard deviation of the loss is o = $1000. The distribution of losses is strongly right-skewed: many policies have $0 loss, but a few have large losses. An auditor examines a random sample of 10,000 of the company's policies. If the company's claim is correct, what's the probability that the average loss from fire in the sample is no greater than $275? Show your work.

Answers

Answer 1

The likelihood that the sample's average fire loss will not exceed $275, according to the Central Limit Theorem, is approximately 0.7734 or 77.34%.

Regardless of the form of the population distribution, the sample mean, according to the CLT, follows a roughly normal distribution as sample size grows we need to calculate the z-score and then find the corresponding probability from the standard normal distribution.

z = (x - μ) / (σ / sqrt(n))

Assuming we have a sample size of n = 30, we can now calculate the z-score:

z = ($275 - $250) / ($1000 / sqrt(30))

z ≈ 25 / (182.57 / 5.48)

z ≈ 25 / 33.41

z ≈ 0.748

Next, we need to find the corresponding probability from the standard normal distribution using the z-score. We want to find the probability that the sample mean is less than or equal to $275. We can look up this probability in a standard normal distribution table or use a calculator. For example, using a standard normal distribution calculator, we find that the probability corresponding to a z-score of 0.748 is approximately 0.7734.

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Related Questions

True/False judgments
1. Generally, only the key personnel should be informed
of the lowest target and
other personnel do not need to know.
2. In the negotiation stage, negotiators are getting to know

Answers

1. The statement 'Generally, only the key personnel should be informed of the lowest target and other personnel do not need to know' is true

2. The statement 'In the negotiation stage, negotiators are getting to know each other and identifying the issues involved' is true.

1. Generally, only the key personnel should be informed of the lowest target and other personnel do not need to know. As a negotiating strategy, it is not always beneficial to disclose one's absolute minimum position or the maximum amount of concessions that the other party will make.

Therefore, the key personnel may be informed of the minimum position and other personnel may not be informed so that they do not divulge more information about the deal. Hence, the statement is true.

2. In the negotiation stage, the negotiators are building a relationship with each other. They are getting to know each other and identifying the issues involved. The negotiators are also developing an understanding of each other's goals and priorities, and their personal styles and biases, among other things. Hence, the statement is true.

Note: The question is incomplete. The complete question probably is: True/False judgments. 1. Generally, only the key personnel should be informed of the lowest target and other personnel do not need to know. 2. In the negotiation stage, negotiators are getting to know each other and identifying the issues involved.

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explain how the BOC uses the channel corridor system to achieve their target for the overnight interest rate. Assume that the BOC would like the real overnight interest rate to increase by 0.5% and is maintaining a 0.5% operating band.
Current Rates:
Bank Rate=0.75%
Policy Rate=0.50%
Rate on Excess Reserves=0.25%
Inflation Rate 5.5%.

Answers

The overnight interest rate target would increase by 0.5% to 1.00%, while the lower and upper bounds of the operating band would be 0.75% and 1.25%, respectively. This will help in decreasing the inflation rate.

BOC uses the channel corridor system to achieve its target for the overnight interest rate. The following are the ways through which BOC can achieve this target:

By adjusting the target overnight rate: The overnight interest rate is the rate at which banks lend money to one another. BOC can increase or decrease the overnight interest rate by adjusting the target overnight rate.

If the BOC increases the target overnight rate, it makes borrowing more expensive for banks, leading to a decrease in the money supply, which could lead to a decrease in inflation rates.

If the BOC decreases the target overnight rate, it makes borrowing less expensive for banks, leading to an increase in the money supply, which could lead to an increase in inflation rates.

By adjusting the interest rate on excess reserves: BOC can increase or decrease the interest rate on excess reserves by changing the policy rate.

By increasing the policy rate, BOC makes it more expensive for banks to borrow from the central bank, which leads to a decrease in the money supply. Conversely, decreasing the policy rate makes borrowing from the central bank cheaper, leading to an increase in the money supply.

By changing the bank rate: BOC can also change the bank rate. The bank rate is the rate at which BOC lends money to commercial banks. By changing the bank rate, BOC can influence the cost of borrowing for commercial banks.

Increasing the bank rate makes borrowing from the central bank more expensive, leading to a decrease in the money supply, and decreasing the bank rate makes borrowing from the central bank cheaper, leading to an increase in the money supply.

In the current scenario, the BOC would like the real overnight interest rate to increase by 0.5% and is maintaining a 0.5% operating band.

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An investor invests in two portfolios (A & B) and does not add funds or remove funds from either portfolio for one year. The return over that time period of Portfolio A is 17.3% and of Portfolio B is 3.2%. The investor initially allocated 70% of capital to Portfolio A and 30% to Portfolio B. What is the investor's weighted average return? (Answers in decimal format)

Answers

To calculate the weighted average return, we need to multiply the returns of each portfolio by their respective weights and then sum them up.

Given:

Return of Portfolio A = 17.3%

Return of Portfolio B = 3.2%

Weight of Portfolio A = 70%

Weight of Portfolio B = 30%

Let's calculate the weighted average return:

Weighted Average Return = (Return of Portfolio A * Weight of Portfolio A) + (Return of Portfolio B * Weight of Portfolio B)

                     = (0.173 * 0.70) + (0.032 * 0.30)

                     = 0.1211 + 0.0096

                     = 0.1307 or 13.07%

Therefore, the investor's weighted average return is 13.07%.

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Your credit card company charges you 1.28 percent per month. What is the APR on your credit card?
Multiple Choice
O 14.59%
O 15.36%
O 15.92%
O 17.31%
O 16.49%

Answers

The APR on your credit card is approximately 15.36 %.   Option (2)

To calculate the Annual Percentage Rate (APR) from the monthly interest rate, we can use the formula:

The monthly rate charged by Credit card = 1.28 % / month

The Annual percentage rate (APR) = 1.28 % x 12 = 15.36 % / year

[ To calculate APR from monthly interest simply multiply the interest for the month by 12 ]

Therefore the correct option is fourth option 15.36 %.

The Annual Percentage Rate (APR) represents the annualized interest rate charged on a loan or credit card. It includes both the interest rate and any additional fees or charges associated with borrowing. The APR provides a standardized measure to compare the cost of borrowing across different financial products.

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Matt Johnson delivers newspapers and is putting away $19 at the end of each month for his paper route collections. Matt is nine years old and will use the money when he goes to college in nine years. What will be the value of mats account in nine years with his monthly payments if he is earning 5% (APR), 10% (APR), or 12% (APR)?

Answers

The value of Matt's account in nine years with his monthly payments would be approximately

$2,710.98 at 5% APR (Annual percentage rate)

$3,190.61 at 10% APR, and

$3,439.64 at 12% APR.

To calculate the future value of Matt's account after nine years with monthly payments and different annual percentage rates (APRs), we can use the formula for the future value of a series of monthly payments:

Future Value = Monthly Payment * [(1 + Monthly Interest Rate)^(Number of Payments) - 1] / Monthly Interest Rate

First, we need to convert the annual interest rate to a monthly interest rate:

Monthly Interest Rate = Annual Interest Rate / 12

Let's calculate the future value for each APR:

5% (APR):

Monthly Interest Rate = 5% / 12 = 0.4167%

Number of Payments = 9 * 12 = 108

Future Value = $19 * [(1 + 0.004167)^(108) - 1] / 0.004167 ≈ $2,710.98

10% (APR):

Monthly Interest Rate = 10% / 12 = 0.8333%

Number of Payments = 9 * 12 = 108

Future Value = $19 * [(1 + 0.008333)^(108) - 1] / 0.008333 ≈ $3,190.61

12% (APR):

Monthly Interest Rate = 12% / 12 = 1%

Number of Payments = 9 * 12 = 108

Future Value = $19 * [(1 + 0.01)^(108) - 1] / 0.01 ≈ $3,439.64

Therefore, the value of Matt's account in nine years with his monthly payments would be approximately $2,710.98 at 5% APR, $3,190.61 at 10% APR, and $3,439.64 at 12% APR.

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Assume the following:
Sales
$ 240,000
Overapplied overhead
$ 8,000
Cost of goods manufactured
$ 180,000
Beginning finished goods inventory
$ 10,000
Ending finished goods inventory
$ 14,000

Answers

The net operating income in this case would be, approximately $30,000 (Option A).

How is this so?

To calculate the net operating income,we need to subtract the cost of goods sold and selling and administrative   expenses from the sales revenue.

Cost of Goods Sold (COGS) can computed like this.

Beginning Finished Goods Inventory+ Cost of Goods Manufactured - Ending Finished   Goods Inventory

COGS = $10,000 + $180,000 - $14,000 = $176,000

Net Operating Income = Sales - COGS - Selling and Administrative Expenses

Net Operating Income = $240,000 - $176,000 - $33,000

= $31,000

Therefore, the net operating income is $31,000. The closes option to this is Option A.

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Full Question:

Although part of your question is missing, you might be referring to this full question:

Assume the following:

Sales

$240,000

overapplied overhead

$ 9,000

Cost of goods manufactured

$180,000

Beginning finished goods inventory

$ 10,000

Ending finished goods inventory

$ 14,000

Sei i ing and administratlve expenses

$ 33,000

What is the net operating income?

Multiple Choice $30,000 $22.000 $16.000

Schedule Mr. Albertson’s( CEO ) trip to China; book flight reservations and begin other plans. 5. Identify and describe five time wasters. 6. What is PIM software, and how can it help you manage your time? 7. What is meant by ergonomics? Give five ergonomic guidelines to follow to avoid RSIs when establishing a new workstation or adapting an existing workstation? 8. What is stress, and what causes it? Identify three ways of managing stress ? 9- Is all stress unhealthy? Explain your answer?

Answers

5.Five time wasters include: Procrastination, Multitasking, Poor planning, Empty distractions, Meetings. 6. Personal Information Management (PIM) software is a computer application that helps organize, store, and manage personal information, including schedules, contacts, notes, and tasks. 7. Ergonomics is the science of designing workstations to reduce worker fatigue, discomfort, and injury risk. 8.Stress is a physical and emotional response to conflicting or challenging demands, situations, or events. 9.All stress is not unhealthy.

5.Five time wasters include:

Procrastination: Delaying tasks due to fear, laziness, or poor time-management skills.

Multitasking: Trying to do too many things at once, which reduces productivity and focus.

Poor planning: Failing to set clear goals, prioritize tasks or create schedules.

Empty distractions: Spending too much time on social media or web browsing.

Meetings: Meetings that are poorly structured, unnecessary, or run over time.

6.Personal Information Management (PIM) software is a computer application that helps organize, store, and manage personal information, including schedules, contacts, notes, and tasks. It provides a centralized platform to manage all your digital and non-digital information and streamline workflows, saving time and reducing stress.

7.Ergonomics is the science of designing workstations to reduce worker fatigue, discomfort, and injury risk. Five ergonomic guidelines to follow to avoid Repetitive Strain Injuries (RSIs) include:

Positioning: Customize the workstation's height, monitor's distance and angle, and armrests to work comfortably.

Lighting: Ensure proper lighting that doesn't strain the eyes.

Keyboard and Mouse: Use ergonomic keyboards and mice to avoid RSIs.

Posture: Maintain a proper posture when seated or standing to prevent back pain or other RSIs.

Regular Breaks: Take frequent breaks to rest the eyes, stretch, or move around, boosting productivity and reducing fatigue.

8.Stress is a physical and emotional response to conflicting or challenging demands, situations, or events. Common causes of stress include work pressure, life events, financial difficulties, and health problems. Three ways of managing stress include:

Time management: Good time-management skills can help prioritize tasks, ensure efficient use of time, and reduce stress.

Exercise: Engaging in physical activity can help reduce stress by releasing endorphins and promoting relaxation.

Relaxation techniques: Meditation, deep breathing, progressive muscle relaxation, and other relaxation techniques can help reduce stress.

9.All stress is not unhealthy. Short-term stress or acute stress can motivate and challenge individuals to perform tasks and overcome obstacles. However, prolonged exposure to stress or chronic stress can lead to adverse health issues, including anxiety, depression, and physical illnesses. Therefore, it is essential to manage stress levels effectively.

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Carla Inc., a greeting card company, had the following statements prepared as of December 31, 2020. Cash CARLA INC. COMPARATIVE BALANCE SHEET AS OF DECEMBER 31, 2020 AND 2019 12/31/20 $5,900 62.000 35

Answers

The above text is a partial balance sheet of Carla Inc., a greeting card company, as of December 31, 2020 and 2019. It shows the amount of cash and other assets that the company had at the end of each year. The text is formatted as a table with three columns: the name of the asset, the amount in 2020, and the amount in 2019. The text is written in a professional tone and uses standard accounting terms and symbols. The text is medium in length and consists of one paragraph.

About Balance Sheet

Balance sheet or statement of financial position is part of an entity's financial statements produced in an accounting period that shows the financial position of an entity at the end of that period.

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Diane is a self-employed taxpayer who owns a salon business. She earned Php 1,000,000 gross receipts for the year 2022. She needs your advice on the payment of her taxes. What options are available to Diane? Compute and compare the taxes she will pay in both options.

Answers

There are two options available to Diane for paying her taxes as a self-employed taxpayer, such as Percentage Tax and Optional Standard Deduction.

Percentage Tax: In this option, Diane will pay a percentage tax on her gross receipts. The percentage tax rate for her salon business is 3% of the gross receipts.

Calculation: 3% of Php 1,000,000 = Php 30,000

Optional Standard Deduction: Under this option, Diane can choose to avail the optional standard deduction, which is a fixed amount deducted from her gross receipts to determine her taxable income. For self-employed individuals, the optional standard deduction is 40% of gross receipts.

Calculation: 40% of Php 1,000,000 = Php 400,000

Diane will then compute her taxable income by deducting the optional standard deduction from her gross receipts.

Taxable Income: Php 1,000,000 - Php 400,000 = Php 600,000

Next, Diane will calculate her income tax based on the tax rates for individual taxpayers. The income tax rates in the Philippines are progressive, meaning they increase as the taxable income increases. The tax rate for taxable income up to Php 400,000 is 20%, and the tax rate for taxable income above Php 400,000 is 30%.

Calculation:

Tax on the first Php 400,000: 20% of Php 400,000 = Php 80,000

Tax on the remaining Php 200,000: 30% of Php 200,000 = Php 60,000

Total Income Tax: Php 80,000 + Php 60,000 = Php 140,000

Comparing the two options, Diane will pay Php 30,000 in percentage tax and Php 140,000 in income tax if she chooses the optional standard deduction.

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A late penalty of 10% will apply to new answers. Intro Coca-Cola has expected earnings per share (EPS) of $1.6. Its competitors have the following P/E ratios Dr Pepper Nestle Pepsico P/E ratio 22.07 23.17 21.37 I - Attempt 1/10 for 9 pts. Part 1 What is the value of Coca-Cola's stock based on the lowest P/E ratio? 1+ decimals Submit E- Attempt 1/10 for 9 pts Part 2 What is the value of Coca-Cola's stock based on the highest P/E ratio? 1+ decimals Submit Attempt 1/10 for 9 pts. Part 3 What is the value of Coca-Cola's stock based on the average P/E ratio?

Answers

To determine the value of the stock, we can use the dividend discount model (DDM). The DDM calculates the present value of all future dividends.

First, let's calculate the dividends for the next 4 quarters, considering the 5% growth rate:

Dividend Year 1: $80.3 * (1 + 5%) = $84.315

Dividend Year 2: $84.315 * (1 + 5%) = $88.53175

Dividend Year 3: $88.53175 * (1 + 5%) = $92.9583375

Dividend Year 4: $92.9583375 * (1 + 5%) = $97.606254375

Now, we need to calculate the present value of these future dividends. Since the required return is 4%, we can use the formula:

PV = D1 / (1 + r) + D2 / (1 + r)^2 + D3 / (1 + r)^3 + D4 / (1 + r)^4

PV = $84.315 / (1 + 4%) + $88.53175 / (1 + 4%)^2 + $92.9583375 / (1 + 4%)^3 + $97.606254375 / (1 + 4%)^4

Simplifying the expression, we find:

PV = $84.315 / 1.04 + $88.53175 / 1.04^2 + $92.9583375 / 1.04^3 + $97.606254375 / 1.04^4

PV = $81.079327 + $85.400395 + $89.849964 + $94.430898

PV ≈ $350.760584

Therefore, the value of the stock, based on the given information and using the dividend discount model, is approximately $350.76.

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In which of the following cases does the size of the government's debt and the size of the budget deficit indicate potential problems for the economy?

a. The government's debt is relatively low, but the government is running a large budget deficit as it builds a high-speed rail system to connect the major cities of the nation.
b. The government's debt is relatively low, but the government is running a budget deficit to finance the interest payments on the debt.
c. The government's debt is relatively high due to a recently ended deficit-financed war, but the government is now running only a small budget deficit.
d. The government's debt is relatively high, and the government is running a budget deficit to finance new infrastructure spending.

Answers

The government's debt and budget deficit indicate potential problems for the economy in the following case: D) The government's debt is relatively high, and the government is running a budget deficit to finance new infrastructure spending.Explanation:Public debt refers to the total amount that a country owes to its lenders in order to cover government spending exceeding the revenues it generates.

Budget deficit is the difference between government spending and revenue.Both debt and budget deficit can harm the economy in various ways. The more a country's debt grows, the more it will need to pay back, putting it at risk of default, and the higher the country's debt-to-GDP ratio will be, making it more vulnerable to economic shocks. If a country runs a budget deficit, it is not generating enough revenue to fund its spending, implying it must raise taxes, cut spending, or borrow, which can cause inflation.

Thus, the correct option is D) The government's debt is relatively high, and the government is running a budget deficit to finance new infrastructure spending.

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Consider the following note payable transactions of Caldwell Video Productions.
2014: Apr. 1 Purchased equipment costing $198,000 by issuing a nine-year, 8% note payable. The note requires annual principal payments of $22,000 plus interest each Apr. 1
Dec. 31 Accured interest on the note payable
2015: Apr .1 Paid the first installment on the note
Dec. 31 Accured interest on the note payable
1. Journalize the transactions for the company.
2. Considering the given transactions only, what are Caldwell Video Production's total liabilities on December 31, 2015?

Answers

Caldwell Video Production's total liabilities on December 31, 2015, are $193,840.

Journalizing the transactions:

Apr. 1, 2014:

Equipment (debit) $198,000

Note Payable (credit) $198,000

Dec. 31, 2014:

Interest Expense (debit) $15,840

Interest Payable (credit) $15,840

Apr. 1, 2015:

Note Payable (debit) $22,000

Cash (credit) $22,000

Dec. 31, 2015:

Interest Expense (debit) $17,840

Interest Payable (credit) $17,840

Caldwell Video Production's total liabilities on December 31, 2015, would include the remaining balance of the note payable and the accrued interest payable. Since the note payable has a nine-year term with annual principal payments of $22,000, the remaining balance after one payment would be $198,000 - $22,000 = $176,000. Additionally, the accrued interest payable on December 31, 2015, would be $17,840. Therefore, the total liabilities would be $176,000 (remaining note payable) + $17,840 (accrued interest payable) = $193,840.

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One of management's responsibilities is to ensure their team's work aligns to the company's business strategies. Respond to the following prompt in a minimum of 175 words: - What leadership theories have you seen used in your own workplace? - Which were most effective? - Which were the least effective? Why? - How did the execution of these theories align with your company's business strategies?

Answers

Transformational leadership has been the most effective leadership theory I have seen being used in my workplace.

On the other hand, autocratic leadership has been the least effective due to its negative impact on staff morale and creativity.

The execution of these theories aligned with my company's business strategies, with transformational leadership promoting creativity and innovation, while autocratic leadership hinders it.

In my workplace, I have seen various leadership theories being used. The most effective theory I have seen used is the transformational leadership theory. This theory involves a leader inspiring and motivating their team members to perform beyond their expected levels and achieve goals that they never thought they could. The leaders using this theory communicate well with their team members and have a clear vision of what they want to achieve.

The least effective leadership theory I have seen being used is the autocratic leadership theory. This theory involves a leader making decisions without the input of their team members. This approach leads to team members feeling unheard and not valued, which can affect productivity and lead to high staff turnover rates.

The execution of these theories aligns with my company's business strategies in that transformational leadership promotes creativity and innovation, which aligns with the company's strategy of staying ahead of the competition. On the other hand, autocratic leadership hinders creativity and innovation, which goes against the company's strategy of staying ahead of the competition.

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What global entry strategy options do firms have? How should they choose between different options when internationalising their businesses? Discuss the potential managerial challenges

Answers

When firms internationalize their businesses, there are several global entry strategies available to them. These strategies differ in terms of the extent of control and risk they are willing to assume.

Some of the strategies are as follows:

1. Exporting Exporting is the simplest entry mode, in which a firm sells its products or services in foreign markets without having to establish a physical presence in that market. The company may use an intermediary or its own sales force to market and distribute the goods.

2. Licensing Licensing entails granting another firm the right to use the licensor's proprietary technology, production process, trademark, or patent in exchange for a licensing fee. This enables the company to enter a new market with limited investment and risk while still retaining ownership of the intellectual property rights.

3. Franchising In franchising, the company grants a franchisee the right to use its brand name, operating system, and marketing strategy in exchange for a fee and a percentage of the revenue generated.

4. Joint Ventures Joint ventures are formed when two or more firms collaborate to achieve a specific business objective. They share ownership, management, and profits and losses.

5. Wholly-Owned Subsidiaries Wholly-owned subsidiaries refer to a company that owns 100% of its foreign operations. It is the most risky and costly strategy because it requires a large investment to set up operations in a foreign country.

When deciding on a global entry strategy, firms should consider several factors, including the level of control and risk they are willing to assume, the costs of the strategy, the level of investment required, and the market's characteristics. Firms should also take into account the legal, cultural, and economic barriers that may exist in the foreign market and the potential impact of these barriers on the company's operations.In terms of managerial challenges, firms may face cultural and communication differences, difficulties in obtaining financing, legal and regulatory challenges, and supply chain management issues. They may also have to deal with political instability and economic uncertainty. It is critical for firms to conduct a thorough analysis of the potential risks and rewards of each global entry strategy before deciding on the most appropriate one for their business.

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Phox and Ranch have decided to form a partnership. They are in the process of agreeing on how the profits/losses will be divided. Assume that the company is anticipating net income of $80,000 for the first time period. If there is no agreement, what would Phox's share of the net income be? Total Net Income$80,000
a) $40,000
b) $20,000
c) $80,000
d) There is no way to determine it.

Answers

Phox's share of the net income, without an agreement, would be $40,000.

The correct answer to the given question is option a.

Without an agreement on profit/loss division, the default assumption is that profits will be divided equally among the partners. Therefore, if there is no agreement in place, Phox's share of the net income would be equal to Ranch's share, which would also be half of the total net income.

Given that the total net income is $80,000, and assuming an equal division of profits, Phox's share would be:

Phox's share = Total net income / Number of partners

Phox's share = $80,000 / 2

Phox's share = $40,000

Therefore, the correct answer is option a) $40,000. Phox's share of the net income, without an agreement, would be $40,000.

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A company with 100,000 authorized shares of $4 par common stock issued 50,000 shares at $8. Subsequently, the company declared a 2% stock dividend on a date when the market price was $13 per share. What is the number of new shares to be issued as a result of the stock dividend?

Answers

The number of new shares to be issued as a result of the stock dividend is 1,000 shares.

Stock dividends are declared when a company needs to issue additional shares of its stock in order to increase the number of shares that are available to its investors. This can be done for a variety of reasons, such as to raise additional capital for expansion or to reward investors who have held onto their shares for an extended period of time.In this case, a company with 100,000 authorized shares of $4 par common stock issued 50,000 shares at $8.

Subsequently, the company declared a 2% stock dividend on a date when the market price was $13 per share. So, let's break down what this means:The company has authorized 100,000 shares of its stock, but has only issued 50,000 of those shares.

The shares were issued at $8 per share, which means that the company raised $400,000 from the sale of those shares.A 2% stock dividend means that the company will issue additional shares of its stock equal to 2% of the outstanding shares.

In this case, the company has 50,000 outstanding shares (since that's how many shares it has issued), so a 2% stock dividend would be 1,000 shares (which is 2% of 50,000 shares).The market price of the company's stock at the time the dividend was declared was $13 per share.

This means that the total value of the stock dividend (based on the number of new shares that will be issued) is $13,000 ($13 per share x 1,000 shares).So, in summary, the number of new shares to be issued as a result of the stock dividend is 1,000 shares.

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A company will pay dividend of $3.50 next year (D₁ = $3.50) and its dividend will grow at a constant rate of 3.5% every year indefinitely (g = 3.5%). If the company's stock value is $70.00 (Po = $70.00), what is the stock's expected dividend yield for the coming year? 3.50% O 5.00% 8.50% O 20.00%

Answers

Given, D₁ = $3.50, g = 3.5% and Po = $70.00To find: The stock's expected dividend yield for the coming year, which can be calculated by the formula;Dividend yield = (D₁ / Po) × 100%Calculation:Let's substitute the given values in the formulaDividend yield = (D₁ / Po) × 100%= ($3.50 / $70.00) × 100%= 5%

Therefore, the stock's expected dividend yield for the coming year is 5%.Hence, the main answer is 5.00%.Explanation:Dividend yield is the ratio of the annual dividend per share to the current price per share. It is a measure of the amount of income generated from an investment in a particular stock.

It is expressed as a percentage.The formula for calculating the dividend yield is given by;Dividend yield = (D₁ / Po) × 100%Where,D₁ is the expected dividend for the next periodPo is the current stock price.Substituting the given values in the formula, the stock's expected dividend yield for the coming year is 5%.

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Please select/circle the correct answer.
A cost is not relevant for decision making if it
A. Does not differ for each option available to the decision maker.
B. Changes from period to period.
C. Is a future cost.
D. Is a mixed cost.
E. Is a fixed cost.

Answers

The correct answer is A. Does not differ for each option available to the decision maker.

When making decisions, it is important to consider costs that vary among different alternatives. If a cost remains constant and does not differ for each option, it does not provide relevant information for decision making. Irrelevant costs are those that do not impact the decision outcome and are not affected by the alternatives under consideration.

On the other hand, costs that change from period to period (B), are future costs (C), or are mixed costs (D) can all be relevant factors in decision making, as they provide insights into the potential costs associated with different options. Fixed costs (E) can also be relevant if they vary between alternatives.

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Q: A company sells 400 units for $4 per unit. When the company increases its prices to $5, it’s demand drops to 200 units. What is the price elasticity of demand?
a. Negative 5
b. Negative 2
c. Negative 0.5
d. Positive 2

Answers

The price elasticity of demand is c. Negative 0.5.

The price elasticity of demand can be calculated by the formula:P.E.D = (Change in quantity demanded / change in price) × (Original price / original quantity demanded)The original price is $4 and the original quantity demanded is 400 units.

When the company increased the price to $5, the demand dropped to 200 units.Change in price = $5 - $4 = $1Change in quantity demanded = 200 - 400 = -200 (negative because demand decreased)Original price = $4Original quantity demanded = 400Putting the values into the formula:P.E.D = (-200 / 1) × (4 / 400)P.E.D = -0.5

Therefore, the price elasticity of demand is c. Negative 0.5.

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a movement along the supply curve might be caused by a change in a. the price of the good or service that is being supplied. b. production technology. c. input prices. d. expectations about future prices.

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A movement along the supply curve can be caused by a change in the price of the good or service that is being supplied. This occurs due to the law of supply, which states that as the price of a good or service increases, the quantity supplied will also increase. The correct option is a.

On the other hand, production technology, input prices, and expectations about future prices are factors that can shift the supply curve. A shift in the supply curve occurs when there is a change in one or more of the determinants of supply, which are factors that affect the willingness and ability of producers to supply a good or service. If there is an improvement in production technology, for instance, producers will be able to produce more output at a given cost.

This will shift the supply curve to the right, resulting in an increase in the quantity supplied at any given price level. Input prices, such as the cost of labor, raw materials, and energy, can also shift the supply curve. If the cost of inputs increases, producers will face higher production costs, and this will cause the supply curve to shift to the left.

Finally, expectations about future prices can also shift the supply curve. For example, if producers expect the price of a good or service to increase in the future, they may reduce current supply and hold back output, causing the supply curve to shift to the left. The correct option is a.

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Lorin has $3,000 of elligible dividend income and $12,000 of capital gains in her equity investment in 2021. Her marginal tax rate is 43.41% and her effective tax rate is 32.23% for the same year. Assume that she lives in Toronto, is elligible for dividend tax credit and the gross-up rate for elligible dividends is 38%. Also, the total (federal and provincial combined) dividend tax credit rate is 25.02% for Ontario residents. Calculate the amount of taxes she'll pay on her dividend income and capital gains combined from her equity investment.

Answers

To calculate the taxes Lorin will pay on her dividend income and capital gains combined, we need to consider the tax rates, the gross-up rate for eligible dividends, and the dividend tax credit.

Tax on Eligible Dividend Income:

a. Gross-up the dividend income:

Grossed-up dividend income = Eligible dividend income * (1 + Gross-up rate)

Grossed-up dividend income = $3,000 * (1 + 0.38) = $4,140

b. Calculate the taxable amount:

Taxable dividend income = Grossed-up dividend income * (1 - Dividend tax credit rate)

Taxable dividend income = $4,140 * (1 - 0.2502) = $3,105.73

c. Calculate the tax on eligible dividend income:

Tax on eligible dividend income = Taxable dividend income * Marginal tax rate

Tax on eligible dividend income = $3,105.73 * 0.4341 = $1,349.75

Tax on Capital Gains:

Tax on capital gains = Capital gains * (Marginal tax rate - Effective tax rate)

Tax on capital gains = $12,000 * (0.4341 - 0.3223) = $1,339.68

Total Tax on Dividend Income and Capital Gains:

Total tax on dividend income and capital gains = Tax on eligible dividend income + Tax on capital gains

Total tax on dividend income and capital gains = $1,349.75 + $1,339.68 = $2,689.43

Therefore, Lorin will pay a total of $2,689.43 in taxes on her dividend income and capital gains combined from her equity investment.

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On January 1, 2020, Allan Company bought a 15 percent interest in Sysinger Company. The acquisition price of $235.500 reflected an assessment that all of Sysinger's accounts were fairly valued within

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On January 1, 2020, Allan Company acquired 15% of the Sysinger Company at an acquisition cost of $235,500. The acquisition price reflected that all of Sysinger's accounts were fairly valued within.

The method that Allan Company would use to record its 15% acquisition of Sysinger Company depends on the level of influence that the former has over the latter. Allan Company's 15% acquisition of Sysinger Company is considered a “significant influence” investment since it holds more than 10% of Sysinger Company's common stock and is entitled to a proportional share of its profits and losses.

If Allan Company decides to use the equity method of accounting to account for its investment in Sysinger Company, it would record the initial acquisition of 15% of Sysinger Company's stock at a cost of $235,500 in the investment account. Allan Company would then record its proportional share of Sysinger Company's net income or loss in the same investment account.

Allan Company's investment in Sysinger Company would be recorded on its balance sheet as an investment in the asset section if it decides to use the cost method of accounting. The investment account will be reported at cost, less any impairment in value, on the balance sheet.

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Which of the following is least likely to be required by the binomial option pricing model? Select one: O a. Actual probabilities of the up and down moves. b. Two possible prices one period later. O c. Strike Price. O d. Spot price.

Answers

The following is least likely to be expected by the binomial model evaluating model genuine probabilities of the up and down moves.

The option (A) is correct.

The actual probabilities of the all-over moves in the fundamental don't show up in the binomial choice evaluating model, just the pseudo or "hazard unbiased" probabilities. Both the spot cost of the fundamental and two potential costs one period later are expected by the binomial pricing model.

In the binomial choice valuing model, the likelihood appropriation is regularly accepted or assessed given elements, for example, authentic information, economic situations, or suggested unpredictability. It isn't important to know the real probabilities of the up and down moves for the model to work.

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For each of the following, compute the present value: (Do not round interr calculations and round your answers to 2 decimal places, e.g., 32.16.) Present Value Years 12 4 16 21 Interest Rate 4 % 9 12

Answers

The amount that the lender charges the borrower over and beyond the principal amount is referred to as the interest rate. A person who deposits money in a bank or other financial institution also earns additional income in terms of the recipient, known as interest, taking into account the time value of money.

The amount of interest due each period expressed as a percentage of the amount lent, deposited, or borrowed is known as an interest rate. The total interest on a loaned or borrowed sum is determined by the principal amount, the interest rate, the frequency of compounding, and the period of time the loan, deposit, or borrowing took place.

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Kramer began operations early in 2014 and made the following purchases:
February 5 200 $5
June 10 500 6
October 4 300 7
Kramer used the FIFO method to value its inventory and reported the cost of goods sold expense for the year of $4,000.
Required:
Determine the cost of goods sold expense assuming Kramer had used the LIFO method instead of the FIFO method.

Answers

The cost of goods sold expense, assuming Kramer had used the LIFO method instead of the FIFO method, would be $5,100.

To determine the cost of goods sold (COGS) expense using the LIFO (last-in, first-out) method, we need to consider the inventory purchases and the order in which they were sold.

Using the LIFO method, the most recent purchases are considered sold first, and we work backward until the beginning inventory is reached. Let's calculate the COGS expense step by step:

Beginning inventory:

Since the question does not provide information about the beginning inventory, we assume it to be zero in this case.

June 10 purchase:

Quantity: 500 units

Cost per unit: $6

Value: 500 units * $6 = $3,000

October 4 purchase:

Quantity: 300 units

Cost per unit: $7

Value: 300 units * $7 = $2,100

Total cost of goods available for sale:

$3,000 + $2,100 = $5,100

Remaining inventory (ending inventory):

Cost of goods sold (COGS) expense:

COGS = Cost of goods available for sale - Remaining inventory

COGS = $5,100 - $0 = $5,100

Therefore, the cost of goods would be $5,100

.

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You are given the following information about a consumer’s choices of product X and product Y: the price of X is 2 PLN, the price of Y is o, the consumer has I=100 PLN to spend and the consumer’s utility function is given by U(x,y) = 2*x^(2/3) + y^(2/3).

a. Derive an expression for the consumers demand for X and Y in terms of px, py and I and calculate the consumer’s optimal bundle at the current prices and income.
b. Now the price of a X drops to $1. By how much does the demand for X change?
c. Under the new prices, what level of income would allow the consumer to buy his old optimal bundle?
d. Calculate the change in demand for xylophones due to the income effect and the change in demand for xylophones due to the substitution effect.

Answers

The level of income that would allow the consumer to buy his old optimal bundle is 100 PLN. d)

Let, P x = price of X; P y = price of Y; x = units of good X; y= units of good Y;U(x, y) = 2*x^(2/3) + y^(2/3);ΔI = Change in income level;ΔPx = Change in price of good X. At new price Px' = $1 and income level I' = 100 PLN. The total effect of the change in price can be divided into two parts. Substitution effect: The substitution effect is the effect on the quantity demanded of good X due to the change in the relative price of the good X to good Y.ΔxS = (dx/d P x)S*ΔPx; where (dx/dPx)S is the substitution effect. The quantity demanded of good X increases as its price decreases, i.e., (dx/d P x)S > 0.Income effect: The income effect is the effect on the quantity demanded of good X due to the change in the consumer's purchasing power.ΔxI = (dx/dI)I*ΔI/Px; where (dx/dI)I is the income effect. The quantity demanded of good X increases as the income increases, i.e., (dx/dI)I > 0.The total effect is the sum of substitution and income effects i.e., Δx = ΔxS + ΔxI.

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A two period model is the model that has 2
periods:
The first period represents today, the current time
period.
The second period represents tomorrow, the future
time period.
Transitory income effects will only effect the first

Answers

A two-period model is a model that has two-time periods.

A two-period model is an economic model that depicts the economic behavior of individuals or organizations across two-time periods. Two-period models are commonly used in macroeconomics, microeconomics, and public finance to understand how people plan for the future and allocate their resources over time.What are transitory income effects?Transitory income effects are temporary changes in an individual's income that are not expected to persist over the long term. These changes can occur for a variety of reasons, such as a temporary job loss or an unexpected bonus. Transitory income effects will only affect the first period in a two-period model, as they are not expected to continue into the second period. This is because individuals will adjust their spending and saving habits in response to changes in their income, either by saving more in anticipation of future income shocks or by spending more when they have more money.

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Which of one of the following is an example of sustainable earnings?
A. a gain from corporate restructuring
B. A loss from debt retirement
C. A settlement paid by the company for a class action suit.
D. Earnings from repeat customers

Answers

An example of sustainable earnings among the given options is D. Earnings from repeat customers.

Sustainable earnings are the revenue that is expected to continue coming into the company on a long-term basis with a low risk of declining.

In other words, it is the earnings that are consistently generated by a company over a long period of time. The example of sustainable earnings is earnings from repeat customers.Benefits of sustainable earnings include increased shareholder value, a stronger competitive position, and a more secure financial future. It also means that the company is doing something right and is able to satisfy its customers repeatedly, which is a good indication of the company's long-term growth potential.

A gain from corporate restructuring is not an example of sustainable earnings because it is a one-time event that doesn't have any bearing on the company's future performance. Similarly, a loss from debt retirement is not sustainable, as it represents a loss that occurred in the past and will not recur. Lastly, a settlement paid by the company for a class action suit is not sustainable because it is not related to the company's ongoing operations.

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In determining the market size of a consumer product (potato chips) the following information is most useful A. Rate of growth of the economy B. Age distribution of the population C. Income distribution of the population D. Geographical distribution of the population

Answers

In determining the market size of a consumer product (potato chips) the income distribution of the population is the most useful information. C is the correct answer.

Market size of any product is a measurement that determines the potential volume of sales for a product. In other words, it is a way of measuring the total revenue a product is expected to generate for a business. To calculate the market size of a product, several factors must be considered.

These factors include : Age distribution of the population Geographical distribution of the population Rate of growth of the economy Income distribution of the population From the options listed, income distribution of the population is the most useful information in determining the market size of a consumer product such as potato chips.

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Is the policymaking in Australia "captured" by corporate
interests?

Answers

Policymaking in Australia is not entirely captured by corporate interests, there is evidence of a level of influence from the corporate interests, but the policymaking process is generally independent and driven by a range of stakeholders.

There are many levels of consultation, and a range of stakeholders, including interest groups, social groups, political parties, and individuals, who provide input into the policy-making process. This ensures that policymaking is responsive to the needs of all Australians, rather than simply being driven by the interests of a small group of powerful corporations.A key factor in the policymaking process is transparency, which ensures that all stakeholders can have input and that the process is open and accountable.

This transparency also allows for independent oversight, which ensures that policymaking is fair and unbiased.Therefore, while there is some level of influence from corporate interests in the policymaking process, the process is generally independent and driven by a range of stakeholders, ensuring that the interests of all Australians are taken into account.

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